To save content items to your account,
please confirm that you agree to abide by our usage policies.
If this is the first time you use this feature, you will be asked to authorise Cambridge Core to connect with your account.
Find out more about saving content to .
To save content items to your Kindle, first ensure no-reply@cambridge.org
is added to your Approved Personal Document E-mail List under your Personal Document Settings
on the Manage Your Content and Devices page of your Amazon account. Then enter the ‘name’ part
of your Kindle email address below.
Find out more about saving to your Kindle.
Note you can select to save to either the @free.kindle.com or @kindle.com variations.
‘@free.kindle.com’ emails are free but can only be saved to your device when it is connected to wi-fi.
‘@kindle.com’ emails can be delivered even when you are not connected to wi-fi, but note that service fees apply.
Building on an analytical framework of agent-based institutionalization, this qualitative study uses narrative accounts to explore a historical evolution of Japanese philanthropy and corporate philanthropy from the 1970s to 1990s. Using primary data, such as interviews with key actors and archival resources, as well as secondary and publication data, I examine the process of how Japanese philanthropy and corporate philanthropy progressed simultaneously and how the American concept of philanthropy was integrated into different cultural contexts and emerged as the Japanese concept of philanthropy, firansoropii. This study also reveals that the three-decade process of institutionalizing Japanese philanthropy was driven by Japanese institutional actors who bridged the philanthropic, political, and economic boundaries between Japan and the United States.
The traditional narrative of Europe’s first wave of democratization is that elites extended the franchise in response to revolutionary threats and reformed majoritarian electoral systems to limit rising working-class parties. This stylized account does not fit early twentieth-century South America, where democratization was driven by internal competition within incumbent parties, without strong working-class parties to contain. I study Argentina’s 1912 electoral reform that introduced elements of democracy (secret and compulsory voting) and simultaneously changed the electoral system from multi-member plurality to the limited vote. To study the motivations behind the electoral system change component of the reform package, I analyze expert surveys, legislative debates, and a 1911 public opinion poll. Granting representation to political minorities was regarded not as an electoral containment strategy to benefit incumbents, but a progressive measure to make opposition parties more competitive. An analysis of roll-call votes shows that legislators who supported the reform were those expecting to not be adversely affected.
Chapter 3 analyses the normativity of sustainable development in international law and politics as expressed beyond the questions on its present (domestic) manifestations or the endless struggle to place the concept within general legal (normative) registers. It highlights how international law tends to subordinate non-Western experiences in its elevation of sustainable development into a global standard. What emerges from this process is that the more the world pursues sustainable development in its current form, the more we unwittingly contribute to the global dissemination of a particular strand of Eurocentrism. Sustainable development thus reveals itself as an amalgam of power and knowledge while simultaneously establishing itself as a vital component in international legal governance. What emerges in this chapter is that, although the concept of sustainable development is always at the forefront of international public discourse, little is done, in fact, to achieve its presumed objectives. Thus, while sustainable development’s quick ascent to become a universalist concept is central to this book, the concept’s character must be understood as quietly operating to mute global ecological violence that disproportionately affects marginalised peoples in the Global South.
This article provides an analysis of the potential danger to a president’s policy agenda that comes from appointing a sitting elected official to the cabinet. We present historical data on cabinet secretaries since the founding and demonstrate that concerns about seats falling to the other party following the appointment of an elected official to the cabinet date back at least to Martin Van Buren’s establishment of the first American mass political party in 1828. We then focus on the post-Seventeenth Amendment cabinet and show that almost 30 percent of cabinet secretaries in this era who were elected officials at the time of their appointment left seats that flipped to the other party by the next regular general election. We conclude by discussing how our results compare with Alexander Hamilton, Martin Van Buren, and Woodrow Wilson’s differing views on the cabinet and the implications for the president’s policy agenda.
The legal evidentiary approach to “solving” statelessness can sometimes lead to the issue being framed in terms of certain groups of people not meeting objective citizenship criteria or lacking required legal documents. Building on critical interdisciplinary scholarship in anthropology, history and legal studies, this article demonstrates the “constructedness” of citizenship and statelessness through the lens of the politics of recognition and documentation. Using Thailand as a case study, I highlight how global economic, political and social contexts play a significant and dynamic role in delineating the legal line of membership. By tracing how Thai nationality has been instrumentalised by the state throughout the twentieth century, this article contextualises statelessness as a legal and social by-product of statemaking. As such, it challenges the framing of nationality as a non-discriminatory mode of recognition founded in legal objectivity and reiterates the politics of statelessness. In emphasising the fragility of citizenship when granted without genuine social, political and moral recognition, I argue that the objective of statelessness advocacy should not simply be about turning stateless persons into citizens, but rather about creating a more equitable society wherein one's rights are upheld regardless of legal status.
South Korea has been faced with a widening economic gender gap during the recent Covid-19 pandemic. To inform discussion of Korean women’s future following the pandemic, this article explores the country’s history of women’s empowerment. It identifies cultural, educational, economic, and political changes, and their long-term effects on women’s role and status. The analysis is based on data collected from Korea’s national statistical database and a review of relevant literature. Findings inform policy directions for advancing women’s economic empowerment in Korea and other countries following a similar development path and contribute to expanding our understanding of the factors and relations influencing women’s empowerment.
The ideas and practices of constitutions and constitutionalism were first imported into China in the late 19th century. There were three eras of constitution-making in modern Chinese history: the last decade of Qing imperial rule, the republican era, and the communist era. Dr Sun Yat-sen, founding father of the Republic of China (RoC), developed a three-stage theory of China’s political development in which the last stage was to be constitutionalism (xianzheng). Although this was realized in theory when the RoC Constitution of 1946 was enacted, the Constitution became largely suspended as the RoC regime moved to Taiwan and introduced martial law after its defeat by the Communists in the Chinese Civil War. The People’s Republic of China (PRC) was established in the Mainland, which witnessed a new era of constitution-making under the Soviet Union’s influence. However, even today, the discussion of “constitutionalism” (xianzheng) is still discouraged by the PRC regime, although the concepts of the (socialist) Rule of Law and human rights have been affirmed by constitutional amendments. This chapter will review and assess the history of constitution-making in modern China and the discourse of constitutional law scholarship in contemporary China, and it will explore how the case of China both illuminates and challenges conventional understandings of the meaning and significance of constitutions and constitutionalism in the contemporary world.
Chapter 1 provides the rationale and the context for the book while also highlighting the novelty of the study. Existing research in international relations and African politics has yet to provide a thorough analysis of military intervention into or within Africa. This initial chapter discusses the utility of studying the continent as a whole (rather than sub-Saharan Africa alone), defines terms, and offers basic data on intervention patterns in Africa. It then presents the book’s theoretical framework, which is built upon three components: diversionary theory (domestic level), rebel movement theory (transnational level), and role theory (international level). The chapter continues by outlining the three research methods used to explain intervention in Africa and to evaluate the utility of the theory: quantitative analysis, historical narrative, and qualitative comparative analysis (QCA). It explains the benefits of triangulation across the three methods and how this offers a more comprehensive understanding of African intervention. The chapter then analyzes a large N quantitative results that offer a foundation for more detailed historical and qualitative work in later chapters. As further preparation for the qualitative chapters to come, it provides details on the QCA approach before outlining the remaining chapters in the book.
Transnational legal orders are an important feature of the contemporary global order, but they are challenging to study since they take many different forms, change over time, and consist of both formal and informal legal mechanisms. They lack the centralized political and legal systems of nation states, which are more capable of exerting formal control. Focusing on the processes, practices, and ideologies of transnational legal orders, as the chapters in this volume do, provides a valuable way to understand the way such orders develop and function. The chapters analyze the dynamics of creation, transformation, and demise of these forms of social organization through the in-depth analysis of individual TLOs engaged in controlling criminal behavior. Taken together, these chapters provide a rich understanding of this important and complex phenomenon.
The second chapter explores the main idea contained in the responsibility to protect, namely that national and international authority can be based on a capacity to provide protection. This core idea is subjected to a historical analysis, which shows that the responsibility to protect emanates from a long process evolving in the Western world in the course of several centuries. In this period, appeals to protection were regularly invoked in order to take international action and justify authority. Over time, international action for protective ends has been marked by recurrent patterns as well as normative changes – which both set the stage for the emergence of the responsibility to protect at the beginning of the twenty-first century. The chapter concludes by arguing that the responsibility to protect holds the promise to avert mass atrocities, but that the potential of the principle is compromised by a number of problematic aspects. Most importantly, a number of crucial questions regarding the legitimacy of international authority and the relationship between international actors and local actors remain essentially unresolved by the principle as currently defined.
Pathogen spillover from wildlife to humans or domestic animals requires a series of conditions to align with space and time. Comparing these conditions between times and locations where spillover does and does not occur presents opportunities to understand the factors that shape spillover risk. Bovine rabies transmitted by vampire bats was first confirmed in 1911 and has since been detected across the distribution of vampire bats. However, Uruguay is an exception. Uruguay was free of bovine rabies until 2007, despite high-cattle densities, the presence of vampire bats and a strong surveillance system. To explore why Uruguay was free of bovine rabies until recently, we review the historic literature and reconstruct the conditions that would allow rabies invasion into Uruguay. We used available historical records on the abundance of livestock and wildlife, the vampire bat distribution and occurrence of rabies outbreaks, as well as environmental modifications, to propose four alternative hypotheses to explain rabies virus emergence and spillover: bat movement, viral invasion, surveillance failure and environmental changes. While future statistical modelling efforts will be required to disentangle these hypotheses, we here show how a detailed historical analysis can be used to generate testable predictions for the conditions leading to pathogen spillover.
Mutiny is often regarded as a consequence of dire conditions and failed leadership. This reflection on Ken Parry's work suggests it is neither and much more the consequences of a socially constructed world.
Art centres fulfil many functions in remote regions as a source of Indigenous identity and creativity; as a link to the global art market; as centres for community engagement and participation; and as a source of social capital providing a range of services for local communities. They are dependent on funding from State and Federal authorities and they are identified as one of the success stories in remote community development. However, they face an uncertain future in the light of their multiple functions and their position as both a source of traditional identity and a link to an external art market. The article highlights the challenges faced by government in the evaluation of their effectiveness and contribution; and in particular discusses the suitability of the hybrid economy model as a representation of their functions.
State capacity - the government's ability to accomplish its intended policy goals - plays an important role in market-oriented economic development today. Yet state capacity improvements are often difficult to achieve. This Element analyzes the historical origins of state capacity. It evaluates long-run state development in Western Europe - the birthplace of both the modern state and modern economic growth - with a focus on three key inflection points: the rise of the city-state, the nation-state, and the welfare state. This Element develops a conceptual framework regarding the basic political conditions that enable the state to take effective policy actions. This framework highlights the government's challenge to exert proper authority over both its citizenry and itself. It concludes by analyzing the European state development process relative to other world regions. This analysis characterizes the basic historical features that helped make Western Europe different. By taking a long-run approach, it provides a new perspective on the deep-rooted relationship between state capacity and economic development.
This research studies industry exit in the Japanese context, by examining the process followed five Japanese flat panel display manufacturers as they de-committed to and later exited from the industry. The five cases examine firms with systematically different exit barriers due to the presence or absence of strategic centrality and vertical integration in each firm. With one exception, all the firms followed multi-staged exit processes involving cooperative arrangements with other industry participants. Firms with middle to high levels of commitment and exit barriers went through more steps in the process than those with the lowest levels of commitment. The effect of top management succession and long-term employment upon the exit process are considered, and the role of cooperative arrangements in reducing exit barriers are discussed.
The ground covered by psychophysiology throughout the decades prior to its constitution as an independent discipline has not been well documented, despite its historical interest. A bibliometric study of the research published in scientific journals by 66 of the most relevant psychophysiologists from 1930 to 1964, analyzing the contents of the records indexed in the PsycINFO database, gives us an image of the state of the emergent discipline during that period. This study reveals that this was a period of consolidation, marked by the refinement of instruments and procedures, the characterization of measurements, and the establishment of the basic relationships between physiological and psychological variables, the development and validation of basic constructs such as activation, or interest in the study of psychopathology. In these years the foundations of psychophysiology were laid, leading to the formalization of the discipline at the end of the period.
Recommend this
Email your librarian or administrator to recommend adding this to your organisation's collection.