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This chapter presents the central claim of the book, arguing that sovereignty practices emerge at the confluence of struggles – on the one hand, by actors asserting the political authority over a specific territory and, on the other hand, through resistance to this move by actors pursuing accountability and the responsibilisation of sovereign actors. I claim that practices of political authority – expressed through effective rule over territory – are central, constitutive acts of world politics, entailing specific obligations. Broadening the study of sovereignty practices beyond state relations, I argue that understanding how specific actors such as international organisations act as sovereign actors opens up new perspectives on international accountability and obligations in world politics.
Biomaterial design is often celebrated as a sustainable alternative to industrial material production, promising to replace extractive processes. Yet, this vision sits uneasily beside critiques that see it reproducing extractive logics through the instrumentalisation of living systems. Drawing on ethnographic research among UK-based biomaterial designers, this paper examines how relationships between biomaterial designers and organisms are lived, negotiated, and ethically charged in practice. It argues that care, far from resolving tensions of exploitation, functions as a mechanism through which hierarchies of value are stabilised, justified, and sometimes unsettled. Through practices of growing, attuning to, and killing organisms, biomaterial designers cultivate what Donna Haraway (2008) calls non-innocent care: an engagement that acknowledges complicity in harm while sustaining responsiveness to more‑than‑human worlds. Attending to these ambivalent, affective, and creative entanglements reveals how care in biodesign operates simultaneously as an ethical aspiration, a condition of production, and a site where ecological promise and capitalist value production intertwine unevenly.
Do other people limit or even threaten our freedom and our projects, or are they necessary to their realisation? Do we only answer to ourselves for our actions, or are we accountable to other people as well, and if so, to whom? Do we have a responsibility for the welfare of other people? These questions, which Beauvoir addressed in the works she wrote from the Second World War onwards, have lost none of their relevance. Chapter 3 explores them by analysing many of her works, including The Ethics of Ambiguity, Pyrrhus and Cineas, America Day by Day, and her novels The Blood of Others and The Mandarins, which focus on social responsibility, communal action, and groups. Her anti-individualistic concept of freedom, focussed on projects and solidarity, is contrasted with the so-called negative concept of freedom and versions of the liberal concept of freedom. Beauvoir’s concepts of freedom, solidarity, and responsibility are proposed as tools to reflect on current issues, including some uses of social media, assisted suicide, the environment, and what should be done about historical wrongs such as slavery.
This chapter concerns international organisations, from their inception to their rise. Regional organisations are described in Europe, Central and South America, Arabia, Africa and South East Asia. This is followed by an examination of some legal aspects of international organisations, such as their definition, and the question of legal personality. A discussion of the constituent instruments of such organisations is noted before the question of their powers is examined. The applicable law of such organisations is described, followed by an analysis of the responsibility of international organisations. The liability of member states of international organisations is considered, as is the accountability of the organisations. This is followed by a consideration of the privileges and immunities of international organisations. The chapter concludes with a look at the questions of withdrawal from such organisations, the dissolution of international organisations and the succession of international organisations.
Completing the arc from the desire to assert membership and rights as an handicapé, the final chapter considers how disabled Kinois turned away from this identity to pursue one of becoming a responsable, someone ‘responsible [for others]’. While controversial, begging and brokering gave access to hard-won economic resources that made it possible to have and care for children. Aspiring to such responsibilities, disabled people showed that integrating economic and social values was both means and ends. By successfully fulfilling the responsibilities of parenthood – the comparatively stable, higher value of social respectability that was once considered impossible for disabled people to achieve – they sought to become ‘valuable people’ (batu ya valeur). Claiming full adult personhood, they both conformed to and transformed the measurement of this highest regime of personhood, enjoining a debate over whether it is good to have many or fewer, well-supported children. Between action and aspiration, a testing and critiquing disposition towards value demonstrates how the extraordinary livelihood strategies of disabled people in the margins of urban society may be a most productive stage from which to examine the emerging debates about what is, or should be, good in society.
Alcohol and other drug use (AOD) use tends to hold a privileged position within legal decision-making (Seear, 2020; Flacks, 2023), and the criminal case of R v Taj (2018) was no exception. The defendant, who was – it was agreed by all parties – experiencing paranoia and psychosis, launched a violent attack on a man he suspected of being a terrorist. Mr Taj had been drinking on eve of the incident, and the night before that, but tests on the day found no trace of alcohol in his bloodstream. He was nevertheless unable to plead self-defence on the basis that he honestly believed there was a risk to life and limb because, successive courts argued, he was already at fault for drinking alcohol, which led to the psychotic thoughts. There were some significant and potentially far-reaching claims in the case, including that intoxication-related behaviour does not require the presence of alcohol in the body, and that psychosis can be caused by alcohol alone. This allowed the court to conclude that Mr Taj was wholly responsible for his actions and so could not claim excuse or mitigation.
International organizations perform activities in areas in which states can no longer operate effectively in isolation, and in which there is a common interest in cooperation within a permanent international framework. This chapter will examine international organizations primarily from a legal perspective. The chapter aims to present a general overview of the law of international organizations. This chapter discusses the legal status, privileges, and immunities of international organizations. The chapter further deals with membership issues, powers, and institutional structures. The chapter also looks at decisions of international organizations: the way in which they are taken and the different types of decisions. The chapter briefly examines the finances of international organizations. There has been an exponential increase in the activities of international organizations over the years. Not all of these activities have been successful, however, and there have been failures and wrongdoings. In recent years, a much-debated issue is to what extent international organizations and/or their members may be held responsible for such failures and wrongdoings.
The criminal law comprises a state response to wrongdoing on the part of the population, proscribing conduct that lies outside of the normal expected conduct of citizens. As such, the criminal law seeks to regulate socially transgressive or unacceptable (criminal) behaviour.In providing a framework of rules to address these behaviours, the criminal law actually comprises two discrete branches: substantive criminal law and procedural criminal law. This chapter is divided into two main sections. Section 1.2 looks at the nature of the criminal law; its purposes, limits and sources. This part examines a number of important issues, such as the purposes of the criminal law, the legitimate limits on its scope and its sources. Section 1.3 examines the notion of criminal responsibility, looking at who may be held liable for a criminal offence and the principles that underlie the state’s obligations in proving an offence.
In various organizational settings, a team member is given the authority to make an investment decision that influences the value of the jointly produced surplus. We experimentally investigate the effect of asymmetric status, investment decisions, and the outcome of these decisions on bargaining behavior and outcomes. Agents’ initial contributions to the surplus are determined by their relative performances in a real-effort task. Three treatments vary in how the final surplus value is determined. We observe that when low-contributors take a risk, they are punished (rewarded) for failure (success), whereas high-contributors receive a fixed share independent of the outcome. Analysis of bargaining process variables, subjects’ communication during bargaining, and third parties’ normative judgments provides further insights into the possible mechanism behind this observation.
This chapter delves into everyday administrative work at the Ministry of Culture, with a specific focus on the Mass Culture Institute, the ancestor of the current General Organisation for Cultural Palaces. Based on the personal papers of Saad Kamel, this chapter provides a brief institutional history of the Institute and the low- and mid-ranking bureaucrats who worked to accomplish its mission of cultivating the rural masses. This mission was influenced by diverging ideas about Arab socialism after the socialist turn of 1961. Thus, this chapter contributes to an intellectual history of Arab socialism, by showing how the Mass Culture Institute enacted a grounded version of ‘the socialism of culture’ (ishtirakiyyat al-thaqāfa). Moreover, the chapter explores the key relationship between responsibility and achievement at the Mass Culture Institute. Low- and mid-ranking bureaucrats are constantly concerned by what falls under their responsibility, which is managed by both avoiding to take responsibility for problems and seeking to take credit for achievements (however small). These everyday achievements embody, on a smaller scale, the postrevolutionary state project.
Microplastics are widely discussed as a pervasive environmental issue, yet decisive action and turning them into a governable “policy object” has proven to be slow and challenging. This paper investigates the shifting and heterogeneous problem framings of microplastic pollution and the regulatory complexities that emerge from them. Drawing on research from science and technology studies, we analyze how microplastics remained “hidden in plain sight” for decades, obscured by limited scientific standardization, competing problematizations, debates over scientific evidence, widespread cultural imaginaries and economic interests. The research reveals that the path from scientific knowledge to policy action is not linear but a process of co-production, where public concern, scientific capabilities and political agendas continuously reshape one another. We trace the evolution of the issue – from marine pollution to other media, human health and now nanoplastics – highlighting how each shift opens up new questions posing new (regulatory) challenges. The findings demonstrate that effective environmental governance requires more than data; it demands a critical understanding of the complex innovation pathways that produce such residues. We conclude that durable solutions require extended infrastructures of responsibility and care and the development of adaptive institutional frameworks capable of navigating scientific uncertainty and contested values.
Takes up another aspect of free will, the challenge of scientific determinism. I argue that Jewish tradition contains surprisingly many thinkers who either deny free will or (more commonly) greatly limit its scope, question its value, or embrace compatibilism (the thesis that free will and determinism are compatible). Some of what these thinkers say can be transferred to the challenge of determinism as it exists today.
This chapter illustrates how a biblical text can bring certain philosophical problems to the fore, especially when attention is paid to its literary techniques. Such techniques are used in midrashic interpretations but have been put to extensive use by contemporary biblical scholars like Robert Alter. The story in Genesis of Joseph and his brothers provides a dramatic rendition of a philosophical problem: the seeming opposition between God’s control of history and human free will. I show how the problem is expressed through the narrative; discuss how a variety of midrashim and biblical exegeses address the problem; and relate the issue at hand to work by analytic philosophers such as Harry Frankfurt, Thomas Flint, and Peter Van Inwagen.
Deals with divine actions: are events in the world caused by divine interventions or by laws of nature? If both, which dominates? While some Jewish thinkers maintain that God is the only cause of anything, and that belief in other causes is a form of paganism or idolatry, others surprisingly endorse some form of naturalism (the idea that events in the world are brought about by natural causes). In the chapter I explore, through Jewish texts reasons that have been used to ground a theistic naturalist position.
The book begins by situating my key phrase ‘making-good-again’ through contrasting the history of the terms Wiedergutmachung and restitution. I give a brief history of understandings of responsibility and introduce my argument regarding material practice. Part two gives a brief overview of the methods used in the book, situating my approach in relation to jurisprudence and current approaches in law, humanities and their intersections.
Remote work in Korea rapidly accelerated mainly with digitalization and covid-19, posing challenging issues for traditional labor law in this country. The practice of long working hours, and the crisis of the country’s low birth rate and aging population demand fundamental changes of working style. With the development of information and communication technology, traditional ways of direct command and supervision by employers seem to be reduced, while the discretion of workers expanded. However, technologies themselves also make possible more detailed direction by employers - even by the contractors of the employers. The character of the employment contract as a mutual contract presupposes fair distribution of obligation and responsibility. Changing situations surrounding working conditions such as remote work may encourage the re-distribution of responsibility. This chapter explores the impact of remote work on the employers’ responsibility from the standpoint of the response by Korean regulation and policies.
Much philosophical literature on sweatshop ethics assumes that the individual branded marketers that sell consumer goods either employ sweatshop workers or can strongly influence the conditions under which those workers labor. This oversimplification misidentifies the rationale for and details of the responsibilities of big buyers for the labor standards in their supply chains. Throughout this article, we illustrate how philosophers’ “vertical integration” and “control” assumptions distort our understanding of the internal dynamics within supply chains. Under the more realistic assumption that big buyers have “constrained influence” over labor conditions in their supply chains, we show that big buyers retain the responsibility to work toward social upgrading goals. However, fulfilling such a responsibility requires big buyers to collectively cede power to third parties in supply chains in formalized and accountable ways. Recent developments in transnational industrial agreements, such as the International Accord, are examples of this commitment.
What does decolonial justice require in response to the epistemic devastation of colonisation? Recent work proposes restoring lost epistemic status or compensating victims with epistemic goods. I argue that neither restitution nor compensation is a viable response to the destruction of Indigenous knowledge systems. Drawing on international law and reparations theory, I show that these frameworks neglect the role of proportionality as a normative constraint on adequate redress. Once this constraint is taken seriously, it becomes clear that the logic of repair is incompatible with the aims of decolonisation.
The introduction opens the book, it offers its argument in short, situates the work in the existing scholarship, and offers a chapter-by-chapter overview of the book.
Hydraulic improvement aimed to abolish recurrent flooding in wetland commons and generate an environment capable of supporting intensive cultivation. In practice, however, the interventions of Dutch engineer Cornelius Vermuyden and his collaborators created new flooding in unfamiliar patterns and places. As communities were left more exposed to risk and less able to adapt or recover, a fraught hydro-politics rippled out of drainage in Hatfield Level, pivoting on disputes over risk and responsibility. Displacing customary methods of water management, improved hydraulic systems generated institutional as well as environmental disruption. In 1635, a new sewer commission was established to manage Hatfield Level as a hydrological unit defined by improvement. Lacking legitimacy, it struggled to control flow, contain disorderly commoners, or compel cooperation from improving landowners. Wetland communities negotiated new risks by adapting customary practices, launching petitioning campaigns, and high-profile destruction of improved infrastructure during the English civil wars. In this context, water management became highly politicised and precariously balanced.