A Repeatable Strategic Planning Model for Quasi-Governmental Port Entities

Author(s):  
Lisa S. McBride ◽  
R. Adam McBride

A repeatable strategic planning model for quasi-governmental port entities which recognizes and includes the aspects of blended public and political interests in port ownership is presented in this chapter. This model, developed over a period of forty years, has been successfully implemented in quasi-governmental port entities in the United States and Canada. It is supported by the strategic planning literature, best practices in port planning, and the perspectives and experiences of a port chief executive officer. This model consists of the sequential components of Legitimacy and Support, Public Value Proposition, Mission Statement, SWOT Analysis, Objectives and Strategies, Evaluation and Review, and Renewal as well as the dynamic elements of ongoing Communication and Consultation, where Legitimacy and Support for the strategic plan is maintained with both public and private constituencies throughout the process.

Author(s):  
William R. Burch ◽  
Gary E. Machlis ◽  
Jo Ellen Force

This chapter demonstrates how the Human Ecosystem Model (HEM) offers a unity of understanding with shared concepts, a framework, and a model for resolving complex human ecosystem problems. With it, decision-makers from different organizations—public and private—may coordinate their work with that of local citizens. The emphasis is on the whole system, which combines issues such as trends in crime, housing, education, health, natural resources, and community stability into an integrated network. The chapter illustrates how the framework and model was applied in a major city in the United States: Baltimore, Maryland. The Baltimore story emphasizes that certain universal problems and solutions confront all human societies. The universality of problems and the search for integrated solutions required a framework like the HEM to identify, apply, and store learning.


2014 ◽  
Vol 1 (1) ◽  
pp. e5 ◽  
Author(s):  
John Torous ◽  
Steven Richard Chan ◽  
Shih Yee-Marie Tan ◽  
Jacob Behrens ◽  
Ian Mathew ◽  
...  

Background Despite growing interest in mobile mental health and utilization of smartphone technology to monitor psychiatric symptoms, there remains a lack of knowledge both regarding patient ownership of smartphones and their interest in using such to monitor their mental health. Objective To provide data on psychiatric outpatients’ prevalence of smartphone ownership and interest in using their smartphones to run applications to monitor their mental health. Methods We surveyed 320 psychiatric outpatients from four clinics around the United States in order to capture a geographically and socioeconomically diverse patient population. These comprised a state clinic in Massachusetts (n=108), a county clinic in California (n=56), a hybrid public and private clinic in Louisiana (n=50), and a private/university clinic in Wisconsin (n=106). Results Smartphone ownership and interest in utilizing such to monitor mental health varied by both clinic type and age with overall ownership of 62.5% (200/320), which is slightly higher than the average United States’ rate of ownership of 58% in January 2014. Overall patient interest in utilizing smartphones to monitor symptoms was 70.6% (226/320). Conclusions These results suggest that psychiatric outpatients are interested in using their smartphones to monitor their mental health and own the smartphones capable of running mental healthcare related mobile applications.


2021 ◽  
Vol 7 (1) ◽  
pp. 20-32
Author(s):  
Michael Lee Humphrey

In one of the foundational articles of persona studies, Marshall and Barbour (2015) look to Hannah Arendt for development of a key concept within the larger persona framework: “Arendt saw the need to construct clear and separate public and private identities. What can be discerned from this understanding of the public and the private is a nuanced sense of the significance of persona: the presentation of the self for public comportment and expression” (2015, p. 3). But as far back as the ancient world from which Arendt draws her insights, the affordance of persona was not evenly distributed. As Gines (2014) argues, the realm of the household, oikos, was a space of subjugation of those who were forced to be “private,” tending to the necessities of life, while others were privileged with life in the public at their expense. To demonstrate the core points of this essay, I use textual analysis of a YouTube family vlog, featuring a Black mother in the United States, whose persona rapidly changed after she and her White husband divorced. By critically examining Arendt’s concepts around public, private, and social, a more nuanced understanding of how personas are formed in unjust cultures can help us theorize persona studies in more egalitarian and robust ways.


2021 ◽  
Vol 5 (2) ◽  
pp. 49-57
Author(s):  
Paul F. Gentle

Here in the beginning of 2021, two of the truly relevant federal public finance issues are presented in this article. One is the Debt-to GDP Ratio. The second topic is the true nature of deficits, surpluses and future liabilities treated in budgets constructed via the Unified Budget Act. Two graphs on these issues are included. This article shows that the present Debt-to-GDP ratio is relatively high, as if the nation similar to when the United States was in a period of a major war. This graph is shown in this article’s Figure 1. There has been evidence in the macroeconomic literature that indicates a high Debt-to-GDP ratio can possibly result in some degree of slowed economic growth. Though the literature is varied on that point. The reason for the possible crowding out effect has to do with the competition for loanable funds. There is competition from both the public and private demanders of those loanable funds. Furthermore, there is the reality that all federal trust fund balances of the United States must be used to hold U.S. Treasury bonds. For figure 2, two categories on U.S trust funds are shown. One category is the combined total of Social Security. Medicare, Disability and related funds. This is shown in a red line. All the other federal trust funds are indicated in a blue line. There is a graph that shows these two lines. The graph is of the percentage share between the two categories. As a result, the red and blue lines are inverse functions of each other. Over the eighty-year period (1940-2020), there has been variation if both the red and blue lines. The goal of this articles is for leaders and government analysts to be more aware of the issues of the USA Federal Debt to GDP Ratio and the Unified Budget Act’s lack of Generally Accepted Accounting Principles.


2018 ◽  
Vol 53 (5) ◽  
pp. 2261-2292
Author(s):  
Luyao Pan ◽  
Xianming Zhou

In Mar. 2010, Japan’s financial regulator implemented the country’s first legislation concerning the disclosure of director compensation for named individuals. Using the first publicly available data for Japanese executives, we document direct evidence on the level, structure, and mechanisms of chief executive officer (CEO) compensation in Japan and perform a matched-sample comparison between Japan and the United States. In contrast to the findings of recent studies showing that international differentials in CEO pay have largely disappeared since the mid-2000s, our results show strikingly large differences between the Japanese and American systems that are difficult to explain by differences in conventional incentive contracts.


Author(s):  
Andrew Rudalevige

The president of the United States is commonly thought to wield extraordinary personal power through the issuance of executive orders. In fact, the vast majority of such orders are proposed by federal agencies and shaped by negotiations that span the executive branch. This book provides the first comprehensive look at how presidential directives are written — and by whom. The book examines more than five hundred executive orders from the 1930s to today — as well as more than two hundred others negotiated but never issued — shedding vital new light on the multilateral process of drafting supposedly unilateral directives. The book draws on a wealth of archival evidence from the Office of Management and Budget and presidential libraries as well as original interviews to show how the crafting of orders requires widespread consultation and compromise with a formidable bureaucracy. It explains the key role of management in the presidential skill set, detailing how bureaucratic resistance can stall and even prevent actions the chief executive desires, and how presidents must bargain with the bureaucracy even when they seek to act unilaterally. Challenging popular conceptions about the scope of presidential power, the book reveals how the executive branch holds the power to both enact and constrain the president's will.


Author(s):  
John H. Perkins

American power at the end of World War II was paramount. The usual image of this might, however, is formed more by the array of military and industrial components of American culture than by something as seemingly mundane as wheat breeding. Nuclear-tipped missiles, airplane and tank factories, engineering prowess, and motivated soldiers are more generally assumed to be the components of military strength, not scientists patiently crossing one strain of wheat with another and searching through the progeny for a better variety. In the direct exercise of military power, of course, the weapon systems and soldiers are the most important elements of power. Armies, however, exist only on the foundation of food supplies that are adequate for both the military personnel and their civilian support force. American strategists in both world wars were acutely aware of the role of agriculture in the projection of military might, and they considerably amplified agriculture’s importance in the aftermath of World War II. Specifically, through a variety of public and private initiatives, wheat breeding and other lines of agricultural science became an integral part of postwar American strategic planning. Put somewhat differently, after 1945, wheat breeding by American scientists became more than just an exercise in the modernization of agriculture. Old motivations for seeking new varieties did not disappear, but new motivations arose to justify expenditures. In addition, American scientists came to do their work not only in the United States for American farmers but overseas for foreign governments. Wheat breeding acquired ideological dimensions more elaborate than simply “the promo tion of progress.” Instead, wheat breeding and other agricultural science became part of the “battle for freedom.” In the process, many countries moved to new relationships with each other and with their own natural resource base. How did wheat breeding get caught up with strategic and national security considerations? It is necessary to follow a somewhat convoluted trail to answer this question, and the story can begin with the status of the United States after the collapse of Germany and Japan in 1945.


2019 ◽  
pp. 290-316
Author(s):  
Joshua R. Itzkowitz Shifrinson

Most discussions of cross-domain deterrence focus on variation in the means of coercion, but variation in political ends can be just as consequential. Cross-domain deterrence in the context of linkage politics, in which disparate political interests are tied together to create incentives for favorable outcomes, gives potential adversaries the opportunity to avoid confrontational meeting engagements by playing for time to clarify interests and choosing the means most suited to achieving new goals. A broader diplomatic conception of cross-domain deterrence can also highlight the potential of using financial, institutional, or other nonmilitary actions that render the threat or use of force less attractive. This chapter draws on newly available archival evidence to examine issue linkage politics in the context of changing strategic interests in the case of U.S. efforts to deter Soviet repression in Poland and East Germany at the end of the Cold War. In both cases, U.S. policymakers used diplomatic reassurance and threats of isolation to shape Soviet policy as the United States pressed its new-found political interests in Eastern Europe rather than its traditional preoccupation with military affairs.


2015 ◽  
pp. 918-933
Author(s):  
Eric P. Jiang

With the rapid growth of the Internet and telecommunication networks, computer technology has been a driving force in global economic development and in advancing many areas in science, engineering, health care, business, and finance that carry significant impacts on people and society. As a primary source for producing the workforce of software engineers, computer scientists and information technology specialists, computer science education plays a particularly important role in modern economic growth and it has been invested heavily in many countries around the world. This chapter provides a comparative study of undergraduate computer science programs between China and the United States. The study focuses on the current curricula of computer science programs. It in part is based on the author's direct observation from his recent visits to several universities in China and the conversations he had with administrators and faculty of computer science programs at the universities. It is also based on the author's over two decades experience as a computer science educator at several public and private American institutions of higher educations. The education systems in China and the United States have different features and each of the systems has its strengths and weaknesses. This is likely also true for education systems in other countries. It would be an interesting and important task for us to explore an innovative computer science education program, which perhaps blends the best features of different systems and helps better prepare graduates for the challenges working in an increasingly globalized world. We hope the study presented in this chapter provides some useful insights in this direction.


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