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This article analyses taxation practices in colonial, post-colonial rebel-led, and independent South Sudan and argues that the ethos of taxation in the region has been and remains primarily oriented around predatory and coercive strategies of rule. This overarching pattern endures because the fundamental structure and rationale of revenue-raising practices, which collectively constitute South Sudan’s revenue complex, have not changed since at least Anglo-Egyptian occupation of the region in 1899. The paper explains how tax collecting as predation began when the first colonial administration deployed taxes to acquire loyalty from customary authorities such as chiefs and sheikhs, who personally benefitted from their taxation powers. From the early 1960s to 2005, armed groups in the region periodically fought against Khartoum-led rule, and rebels extorted taxes from the population to help fuel their war efforts. Taxes in today’s South Sudan, which acquired independence in 2011, are not collected to raise revenue except to pay off the individuals collecting them, and they continue to generate predation. The rise of international aid and windfalls from oil revenues have further diminished taxation’s financial significance for the national government and have altered local authorities’ coercive demands for payment. The portrait that emerges from the practices of South Sudan’s successive war-makers and state-makers is one of taxation wielded as a technology of rule, one of coercion and often extortion, to fulfil the self-interests of tax collectors. The article is based on archival research in Sudanese and South Sudanese national archives, British colonial archives, and 205 interviews conducted in South Sudan.
Why do rebel splinter groups emerge during peace processes, and who chooses to defect? Since Colombia's landmark peace agreement with the FARC in 2016, roughly half of the territory once controlled by the group has seen a resurgence of rebel activity by FARC splinter groups. I argue that the FARC's return to arms is a case of “middle-out fragmentation,” whereby opportunities for profit induce mid- or low-ranking rebel commanders to establish splinter groups. In Colombia, I argue that profits from the cocaine trade incentivized local-level FARC officers to defect from the peace agreement and allowed them to rapidly mobilize viable splinter groups. I offer several lines of evidence for this argument. I first construct a chronology of splinter group formation, which demonstrates that mid- and low-level commanders, rather than high-level commanders, were the key drivers of fragmentation. Second, I show that splinter groups emerged in areas where opportunities for profit were greatest. Among areas previously controlled by the FARC, those with coca cultivation prior to the peace agreement were up to thirty-seven percentage points more likely to see splinter groups emerge by 2020 than areas without significant production. Using soil and weather conditions to instrument for coca cultivation produces similar results. Further, I use a novel measure of how critical each municipality is to drug trafficking to show that areas that are theoretically most important for drug trafficking are also more likely to see FARC resurgence. I also address competing explanations related to state capacity, terrain, and popular support for the rebels. These findings highlight an important challenge to peacebuilding: satisfying the political demands of rebel leadership is a necessary but insufficient component of peace agreements in cases where opportunities for profit motivate fragmentation from the middle out.
Nonbank lenders have been playing an increasing role in supplying debt, especially after the Great Recession. How important are the distortions in the greater regulation of banks that differentially limit risk-taking across alternative providers of credit? How might the growing role of nonbanks in credit markets affect financial stability? This selective review addresses these questions and discusses how banks and nonbanks helped provide liquidity to the nonfinancial sector during the COVID-19 pandemic shock. We argue that tighter bank regulation has created incentives for nonbanks to increase their participation in credit markets, a trend that creates concerns about financial stability.
The consumption of shaojiu or distilled liquor played a significant role in Qing legal culture and contributed to a rise in alcohol-related crimes. Qing officials’ attitudes towards intoxication not only influenced their judgments on many cases, but also reflected important trends of popular beliefs, notions, and practices that constituted shared knowledge and feelings between ordinary people and judges. This paper examines the transformation of Qing judicial practices and concerns regarding alcohol intoxication and crimes, arguing that specific cultural value and ideas that underpinned the public configuration of drinking behaviour during the Qing period contributed to a social pathology around intoxication. Due to the lack of a consistent interpretation of the effects of alcohol on the mind, early Qing officials tended to be lenient towards intoxicated offenders. However, mid-Qing law-makers and rulers recognized the serious administrative concerns associated with heavy drinking and began to conceptualize it as a serious social problem.
Paratonia is a form of hypertonia characterized by an inability to relax muscles in the setting of cognitive impairment. Paratonia results in pain, refusal of care, and caregiver burden. We sent surveys to 67 Canadian physiatrists and neurologists regarding their experience treating paratonia with botulinum toxin A (BoNT-A). Twenty-seven survey respondents were included in the analysis. Thirteen percent of survey respondents treating paratonia with BoNT-A reported a significant clinically relevant improvement; 74% endorsed a moderately clinically relevant improvement; 13% endorsed a slight clinically relevant improvement. Ninety percent of survey respondents endorsed significant barriers in treating paratonia with BoNT-A.
Drawing from publications by Swami Achutanand and the Adi-Hindu Mahasabha press between 1916 and 1940, this article examines the role of this north Indian Dalit organization in creating language and categories of liberalism in the Hindi vernacular. The Mahasabha poet-activists published numerous song-booklets in a variety of Hindi song genres to intervene in ongoing discussions on the subjects of representation and equality which they characterized as mulki-haq and unch-niche. Histories of liberties in late colonial India have typically examined its emergence within dominant Hindu and Muslim middle-class groups. This article uncovers the unique contributions of Dalit poet-activists who recognized the value of liberal ideas and institutions in challenging caste and abolishing “Manu’s Kanun” (lawgiver Manu’s Hindu law codes). It highlights the methodological importance of mohalla (neighborhood) sources usually located in Dalit activists’ houses in untouchable quarters. The chapbooks found in mohalla collections have enabled the writing of a new history of the Mahasabha’s activism and of the initiatives taken by poet-activists in founding a new Dalit politics in northern India. I explore the emergence of a Dalit literate public which sustained the activities of the Mahasabha and which responded with enthusiasm to its articulation of the new social identity of Achut (untouched) and a new political identity of Adi-Hindus—original inhabitants of Hindustan (India). Offering a new methodological approach in using mohalla sources and song-booklets composed in praise of liberal institutions, this essay makes a significant contribution to the recovery of a forgotten Dalit public sphere in early twentieth-century India.
This article conducts an analytical review of the works of three prominent Thai comparative law professors: Professor Preedee Kasemsup, Professor Phijaisakdi Horayangkura and Professor Sanunkorn Sotthibandhu. Although influential in Thailand, their works are mostly in Thai and therefore have received little academic attention outside the kingdom. The authors argue that the works of these scholars have the potential to shine new light on comparative law theory and bring voices from the Global South to add fresh perspectives and contexts to a discipline dominated by scholars from the Global North. Moreover, this examination highlights the challenges that comparative law faces in freeing itself from this hegemony when using internally developed concepts and modes of questioning.
In April 1802, the leaders of the Haitian Revolution faced a choice that would expose fundamental differences in their vision of liberty in post-emancipation society: join General Leclerc's army or continue the fight against French expeditionary forces. Henri Christophe, Toussaint Louverture, and Jean Jacques Dessalines agreed, whilst Kongo leader Macaya and Sans-Souci refused, the latter describing his forces as “defenders of liberty.”1 Following his arrest, Louverture famously declared: “In overthrowing me, you have cut down in Saint Domingue only the trunk of the tree of the liberty of the blacks; it will grow back from the roots, because they are deep and numerous.”2 The most obvious roots of liberty were Sans-Souci's mainly African troops, known as the “Congos,” who continued the revolution using tactics honed in 1791. But when Christophe, Dessalines, and Alexandre Pétion defected from the French and joined the newly-united “indigenous army,” the conflict over who would lead the “defenders of liberty” persisted, culminating in Henri Christophe's assassination of Sans-Souci, after whom he would famously name his palace.3 Sans-Souci's death foreshadowed a broader discursive victory in post-revolution historiography, which celebrated the role of Creole and mixed-race leaders, and the political ideology of the French Revolution, to the exclusion of African people and ideas.4
Music teacher identity is constructed at the intersection between musician and teacher. This study investigated the meaning of music-making among Korean novice music teachers and its role in constructing music teacher identity. Five music teachers participated in this study, and I used two data collection methods, reflective journaling and individual interviews. The results showed that while playing their instruments outside the classroom, several music teachers understood the importance of music in their lives, which was essential in constructing music teacher identities. In addition, playing outside the classroom allowed these participants to demonstrate their musical abilities to students, parents and other teachers and gain credibility as music teachers. However, other participants did not appear to recognise the importance of the intersection between music-making outside the classroom and teaching, which was an obstacle to music-making. Music-making inside the classroom was an important pedagogical tool to teach low-level students effectively. Importantly, regardless of their level of music-making inside the classroom, novice music teachers commonly viewed professional playing skills with primary and secondary instruments as important for teaching.
Numerical simulations have been conducted to examine the structure of diffusive-convection staircases in the presence of vortical-mode-induced turbulent forcing. By modulating the input power $P$ and the background density ratio $R_\rho$, we have identified three distinct types of staircase structures in these simulations: namely staircases maintained in the system driven by double-diffusion, by turbulence or by a combination of both double-diffusion and turbulence. While we showed that staircases maintained in the double-diffusion-dominated system are accurately characterised by the existing model originally proposed by Linden & Shirtcliffe (J. Fluid Mech., vol. 87, no. 3, 1978, pp. 417–432), we introduced new physical models to describe the staircase structures maintained in the turbulence-dominated system and the system driven by both turbulence and double-diffusion. Our integrated model reveals that turbulence fundamentally governs the entire life cycle of the diffusive-convection staircases, encompassing their formation, maintenance and eventual disruption in the Arctic Ocean's thermohaline staircases. While our previous work of Ma & Peltier (J. Fluid Mech., vol. 931, 2022b) demonstrated that turbulence could initiate the formation of Arctic staircases, these staircases are sustained by both turbulence and double-diffusion acting together after formation has occurred. Strong turbulence may disrupt staircase structures; however, the presence of weak turbulence could lead to unstable stratification within mixed layers of the staircases, as well as enhancing vertical heat and salt fluxes. Turbulence can even sustain a stable staircase structure factor when $R_\rho$ is relatively large, following a similar mechanism to the density staircases observed in laboratory experiments. Consequently, previous parameterisations (e.g. Kelley, J. Geophys. Res.: Oceans, vol. 95, no. C3, 1990, pp. 3365–3371) on the vertical heat flux across the diffusive-convection staircases may provide a significant underestimation of the heat transport by ignoring the influences of turbulence.
We consider local level and local linear estimators for estimation and inference in time-varying parameter (TVP) regressions with general stationary covariates. The latter estimator also yields estimates for parameter derivatives that are utilized for the development of time invariance tests for the regression coefficients. Our theoretical framework is general enough to allow for a wide range of stationary regressors, including stationary long memory. We demonstrate that neglecting time variation in the regression parameters has a range of adverse effects in inference, in particular, when regressors exhibit long-range dependence. For instance, parametric tests diverge under the null hypothesis when the memory order is strictly positive. The finite sample performance of the methods developed is investigated with the aid of a simulation experiment. The proposed methods are employed for exploring the predictability of SP500 returns by realized variance. We find evidence of time variability in the intercept as well as episodic predictability when realized variance is utilized as a predictor in TVP specifications.