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2022 ◽  
pp. 004208592110651
Author(s):  
Kavita Kapadia Matsko ◽  
Karen Hammerness ◽  
Robert E. Lee

Teacher education programs are increasingly taking up commitments to prepare new teachers for equitable teaching. Despite best intentions, programs feel challenged to help candidates translate these commitments into classroom practice. Using a context-specific teacher education framework, we conducted a mixed-methods study of seven urban-focused programs to understand how they targeted preparation for urban contexts. We found that while programs offer multiple opportunities to learn about content embedded in context, fewer opportunities exist for candidates to practice in context, and that faculty play a critical bridging role in designing practice opportunities that are informed by program vision.


2021 ◽  
pp. 019791832110615
Author(s):  
Francisco Lara-García

For a century, scholars have studied immigrant integration in a range of destinations. Yet, the precise role of context in shaping integration outcomes remains poorly understood. Drawing from an analysis of an original database of articles and books in migration studies, I argue that this knowledge gap may be due to two closely related tendencies in the scholarship. First, case selection has relied on criteria such as the immigrant population's size and growth rate that are not clearly connected to integration outcomes. Second, most scholars have studied either heavily urban contexts (with large immigrant populations) or very rural contexts (where the immigrant population is growing rapidly), while much less attention has been given to destinations in-between. To improve the understandings of the role of context in immigrant integration, migration scholars should endeavor to move past population criteria when selecting study sites and to study the full range of contexts where immigrants are settling. To contribute to these efforts, I propose a framework that does not rely on population or newness as criteria for case selection and that focuses, instead, on the components of context that existing research has shown matters for intergenerational mobility. I also introduce a typology of contexts based on possible combinations of four of these components and offer some initial hypotheses of how these context types might affect immigrant integration. The arguments presented here recenter the role of local context in migration studies and contribute to debates about where and how scholars should study context moving forward.


2021 ◽  
Vol 13 (24) ◽  
pp. 13844
Author(s):  
Caterina Pietra ◽  
Roberto De Lotto ◽  
Rakan Bahshwan

In recent decades, the concept of the healthy city (HC) has become more and more relevant in many fields, such as city administration and scientific environment, and has become a commonly understood concept in the general public. Due to the breakneck growth of people living in urban contexts, the subsequent necessity to guarantee good urban conditions for all kinds of citizens, and the general deterioration of the hearth environment caused by human activities (concentrated in urban settlements), this issue is increasing in its relevance. In this paper, the authors discuss the concept of the HC from an ontological point of view to organize the highly complex system of elements and the mutual relations that constitute the idea of HC. The main goals of an HC are quite intuitive, but the number of components that define and manage it is vast and related to different disciplines: sustainability, urban management, urban planning, and health and social studies. With the presented research, the authors intend to start an organizational definition of the HC using basic formal ontology (BFO). Considering the definition of HC, the authors focus on the ontology process and the different typologies of ontological structures. Then, the authors describe a first-level scheme of HC ontology and, finally, discuss possible applications of the presented study and next research steps.


Author(s):  
David Taufui Mikato Fa’Avae ◽  
Betty Lealaiauloto ◽  
Tim Baice ◽  
Fire Fonua ◽  
Sonia M. Fonua

2021 ◽  
Vol 940 (1) ◽  
pp. 012022
Author(s):  
D E Purba ◽  
N Arrania ◽  
M Syamila ◽  
D Pranaya ◽  
D E Kusumawardhani

Abstract The lack of a reliable piped water network in Jakarta causes the ongoing exploitation of groundwater. Thus, the government should provide inclusive clean water for all residents. This study aims to review the literature on the inclusive development approach on water services across urban contexts to provide recommendations for the local government. Since the inclusive development approach to water and sanitation is relatively new, the study employs a narrative review method to learn best practices from several cities across the globe. Studies showed that other cities faced a similar problem in providing piped water systems, leading to the reliance on groundwater sources. Some recommendations can be drawn from the study. First, the local government should increase water supply by piped water networks to low-income families in poor neighbourhoods. Second, subsidizing the poor should also be included in the system. Third, strict rules and regulations on groundwater use should also be applied to all to save water and the environment. Fourth, the collaboration between citizens and the government by encouraging community participation in decision making can empower citizens, especially women, to increase their knowledge on water use and their right to have clean water.


Author(s):  
Patricia van der Spuy

Women were the majority of enslaved people in Africa in the 19th and 20th centuries. Slavery was transformed and expanded in the context of so-called “legitimate commerce” that followed the abolition of oceanic slave trading. Abolition proclamations followed, in British colonies in the 1830s, and elsewhere from the 1870s through much of the 20th century, but abolition did not equate to freedom. Gender was at the heart of emancipation everywhere. Colonial merchants and officials colluded with local male elites to ensure the least disruption possible to the status quo. For these male allies, emancipation was a contradiction in terms for women, because masculine authority and control over women was assumed. In many regions, it was difficult for Europeans to distinguish between marriage, pawnship, and slavery. Women engaged strategically with colonial institutions like the courts over such distinctions to assert some form of control over their own lives, labor, and bodies. Where slavery and marriage were categorically distinct, again women might engage with Western gender stereotypes of marriage to extricate themselves from the authority of former slaveholders, or they might withdraw their labor by fleeing from the farms. Whereas for Europeans women were ideally defined as subservient wives within nuclear families, for many women themselves motherhood and access to their children were key to struggles toward emancipation. Women’s decisions about their emancipation were influenced by many factors, including whether or not they were mothers, if they were born into slavery or enslaved as children or adults, their experiences of coercion and cruelty including sexual violence, their status within the slaveholding, and their relationships of dependency and support. Topography and location mattered; urban contexts offered different kinds of post-slavery opportunity for many, and access to land and other economic opportunities and limitations were critical. The abolition of slavery by European colonial officials did not emancipate women, but it did provide the context in which some women might negotiate or claim their own rights to freedom as they defined it—which in some cases meant walking away from systems of involuntary servitude. Some women engaged colonial officers and institutions directly to demand a change in status, whereas others decided to stay in relationships that, in many cases, were subtly redefined.


2021 ◽  
Vol 10 (11) ◽  
pp. 779
Author(s):  
Raymond Low ◽  
Zeynep Duygu Tekler ◽  
Lynette Cheah

Point of interest (POI) data serves as a valuable source of semantic information for places of interest and has many geospatial applications in real estate, transportation, and urban planning. With the availability of different data sources, POI conflation serves as a valuable technique for enriching data quality and coverage by merging the POI data from multiple sources. This study proposes a novel end-to-end POI conflation framework consisting of six steps, starting with data procurement, schema standardisation, taxonomy mapping, POI matching, POI unification, and data verification. The feasibility of the proposed framework was demonstrated in a case study conducted in the eastern region of Singapore, where the POI data from five data sources was conflated to form a unified POI dataset. Based on the evaluation conducted, the resulting unified dataset was found to be more comprehensive and complete than any of the five POI data sources alone. Furthermore, the proposed approach for identifying POI matches between different data sources outperformed all baseline approaches with a matching accuracy of 97.6% with an average run time below 3 min when matching over 12,000 POIs to result in 8699 unique POIs, thereby demonstrating the framework’s scalability for large scale implementation in dense urban contexts.


2021 ◽  
Author(s):  
◽  
Grace Helen Salisbury Mills

<p>In the aftermath of the 2011 earthquake, a state of polycentric urbanity was thrust upon New Zealand’s second largest city. As the city-centre lay in disrepair, smaller centres started to materialise elsewhere, out of necessity. Transforming former urban peripheries and within existing suburbs into a collective, dispersed alternative to the city centre, these sub-centres prompted a range of morphological, socio-cultural and political transformations, and begged multiple questions: how to imbue these new sub-centres with gravity? How to render them a genuine alternative to the CBD? How do they operate within the wider city? How to cope with the physical and cultural transformations of this shifting urbanscape and prevent them occurring ad lib? Indeed, the success and functioning of the larger urban structure hinges upon a critical, informed response to these sub-centre urban contexts. Yet, with an unrelenting focus on the CBD rebuild - effectively a polycentric denial - little such attention has been granted.  Taking this urban condition as its premise and its provocation, this thesis investigates architecture’s role in the emergent sub-centre. It asks: what can architecture do in these urban contexts; how can architecture act upon the emergent sub-centre in a critical, catalytic fashion? Identifying this volatile condition as both an opportunity for architectural experimentation and a need for critical architectural engagement, this thesis seeks to explore the sub-centre (as an idea and actual urban context) as architecture’s project: its raison d’etre, impetus and aspiration.  These inquiries are tested through design-led research: an initial design question provoking further, broader discursive research (and indeed, seeking broader implications). The first section is a site-specific, design for Sumner, Christchurch. Titled ‘An Agora Anew’; this project - both in conception and outcome - is a speculative response to a specific sub-centre condition. The second section ‘The Sub-centre as Architecture’s Project’ explores the ideas provoked by the design project within a discursive framework. Firstly it identifies the sub-centre as a context in desperate need of architectural attention (why architecture?); secondly, it negotiates a possible agenda for architecture in this context through terms of engagement that are formal, critical and opportunistic (how architecture?): enabling it to take a position on and in the sub-centre. Lastly, a critical exegesis positions the design in regards to the broader discursive debate: critiquing it an architectural project predicated upon the idea of the sub-centre.  The implications of this design-led thesis are twofold: firstly, for architecture’s role in the sub-centre (especially to Christchurch); secondly for the possibilities of architecture’s productive engagement with the city (largely through architectural form), more generally. In a century where radical, new urban contexts (of which the sub-centre is just one) are commonplace, this type of thinking – what can architecture do in the city? - is imperative.</p>


2021 ◽  
Author(s):  
◽  
Grace Helen Salisbury Mills

<p>In the aftermath of the 2011 earthquake, a state of polycentric urbanity was thrust upon New Zealand’s second largest city. As the city-centre lay in disrepair, smaller centres started to materialise elsewhere, out of necessity. Transforming former urban peripheries and within existing suburbs into a collective, dispersed alternative to the city centre, these sub-centres prompted a range of morphological, socio-cultural and political transformations, and begged multiple questions: how to imbue these new sub-centres with gravity? How to render them a genuine alternative to the CBD? How do they operate within the wider city? How to cope with the physical and cultural transformations of this shifting urbanscape and prevent them occurring ad lib? Indeed, the success and functioning of the larger urban structure hinges upon a critical, informed response to these sub-centre urban contexts. Yet, with an unrelenting focus on the CBD rebuild - effectively a polycentric denial - little such attention has been granted.  Taking this urban condition as its premise and its provocation, this thesis investigates architecture’s role in the emergent sub-centre. It asks: what can architecture do in these urban contexts; how can architecture act upon the emergent sub-centre in a critical, catalytic fashion? Identifying this volatile condition as both an opportunity for architectural experimentation and a need for critical architectural engagement, this thesis seeks to explore the sub-centre (as an idea and actual urban context) as architecture’s project: its raison d’etre, impetus and aspiration.  These inquiries are tested through design-led research: an initial design question provoking further, broader discursive research (and indeed, seeking broader implications). The first section is a site-specific, design for Sumner, Christchurch. Titled ‘An Agora Anew’; this project - both in conception and outcome - is a speculative response to a specific sub-centre condition. The second section ‘The Sub-centre as Architecture’s Project’ explores the ideas provoked by the design project within a discursive framework. Firstly it identifies the sub-centre as a context in desperate need of architectural attention (why architecture?); secondly, it negotiates a possible agenda for architecture in this context through terms of engagement that are formal, critical and opportunistic (how architecture?): enabling it to take a position on and in the sub-centre. Lastly, a critical exegesis positions the design in regards to the broader discursive debate: critiquing it an architectural project predicated upon the idea of the sub-centre.  The implications of this design-led thesis are twofold: firstly, for architecture’s role in the sub-centre (especially to Christchurch); secondly for the possibilities of architecture’s productive engagement with the city (largely through architectural form), more generally. In a century where radical, new urban contexts (of which the sub-centre is just one) are commonplace, this type of thinking – what can architecture do in the city? - is imperative.</p>


Author(s):  
Valentino Gasparini

The results of the archaeological exploration of the Roman vicus of Falacrinae, placed in the Upper Sabina 78 miles north-east of Rome, represent excellent first-hand material for testing the concept of “rurification” of religion.  The frequentation of the area goes back over time at least to the late Neolithic, but it is only in the Archaic period that a temple was built, soon converting itself into a sort of pole of attraction of the local community. After the Roman conquest (290 BCE), an entire village gradually arose around the monument. 129 sacrificial foci, dated between the late 3rd and the second half of the 1st cent. BCE (probably linked with the festivals of the Feriae Sementivae, Paganalia or Compitalia), and few burials (suggrundaria) belonging to perinatal foetuses of 30/40 weeks of gestation, dated during the 2nd and the first half of the 1st cent. BCE, are the most intriguing ritual practices that the excavations have been able to identify. The analysis of these practices encourages to conclude that the local rural communities: 1) adopted group-styles of religious grouping significantly different from those taking place in urban contexts; 2) could strongly modify hierarchies and rituals performed in the cities; 3) cannot necessarily be considered as “deviant” from the normative point of view; 4) could easily negotiate between local religious traditions and urban patterns.


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