In recent years, social and legal historians have called into question the degree to which the labour that fuelled and sustained industrialization in England was actually ‘free’. The corpus of statutes known as master and servant law has been a focal point of interest: throughout the eighteenth and nineteenth centuries, at the behest of employers, mine owners, and manufacturers, Parliament regularly supplemented and updated the provisions of these statutes with new legislation which contained increasingly harsh sanctions for workers who left work, performed it poorly, or committed acts of misbehaviour. The statutes were characterized by a double standard of sanctions, which treated workers’ breach of contract as a criminal offence, but offered only civil remedies for the broken promises of employers. Surprisingly little scholarship has looked into resistance to the Master and Servant laws. This book examines the tactics, rhetoric and consequences of a sustained legal and political campaign by English and Welsh trade unions, Chartists, and a few radical solicitors against the penal sanctions of employment law during the mid-nineteenth century. By bringing together historical narratives that are all too frequently examined in isolation, Christopher Frank is able to draw new conclusions about the development of the English legal system, trade unionism and popular politics of the period. The author demonstrates how the use of imprisonment for breach of a labour contract under master and servant law, and its enforcement by local magistrates, played a significant role in shaping labour markets, disciplining workers and combating industrial action in many regions of England and Wales, and further into the British Empire. By combining social and legal history the book reveals the complex relationship between parliamentary legislation, its interpretation by the high courts, and its enforcement by local officials. This work marks an important contribution to legal history, Chartist scholarship and to the social history of the nineteenth century more broadly.
This book, written by Dr. Worth Marion Tippy in 1958, is a biography of Robert Richford Roberts (1778-1843), an American Methodist Circuit Rider, Pastor, Presiding Elder, and the first married man in America to serve as Bishop of the Methodist Episcopal Church, elected in 1816. Born in Frederick County, Maryland, his family were communicants of The Church of England. In 1785, they moved to the Ligonier Valley in Westmoreland County, Pennsylvania, where Roberts united with the M.E. Church when he was fourteen years old. Until he was twenty-one, his was a thoroughly frontier existence, with few books and quite simple habits. Despite becoming one of the “foremost religious leaders of his time,” he remained a frontiersman to the day of his death in 1843. “Long after he became a bishop he liked to follow deer in the forest. When he was free, being now a bishop, to live where he chose, he established his episcopal residence in what was then wilderness of the hill country of southern Indiana. Here, in utmost seclusion, he lived for the next quarter century, at first under most primitive conditions. From this isolated place he left on horseback on his amazing episcopal journeys to all parts of the nation, returning after long absences to work on his lands.” Dr. Tippy tells of Bishop Roberts’ move from his native Maryland to the then-frontier of western Pennsylvania, where his father had secured four hundred acres of land in the Ligonier Valley fifty miles east of Pittsburgh, and where the young Roberts would go on to experience the hardships and adventures of migrants before and after him—experiences which “better prepared for the leadership which came to him so early in life.” An invaluable read.
This history of one local church demonstrates the prayerful determination of its membership over five decades to craft a meaningful place of ministry in a spiritually challenging community which dates to the Mayflower Pilgrims. These members purposed to honor God by growing in their relationship with Him and one another through a balanced focus on worship, discipleship, fellowship, ministry, and evangelism. Throughout these years, ups and downs were plentiful, but Gods faithfulness and His joy were always loved by His servants at Dartmouth Bible Church. This history candidly captures those stories and turns the reader back to the Lord with thanksgiving for His loving presence among His people. Includes several appendices of historical data.
Using a collection of over one thousand popular songs from the war years, as well as around 150 soldiers’ songs, John Mullen provides a fascinating insight into the world of popular entertainment during the First World War. Mullen considers the position of songs of this time within the history of popular music, and the needs, tastes and experiences of working-class audiences who loved this music. To do this, he dispels some of the nostalgic, rose-tinted myths about music hall. At a time when recording companies and record sales were marginal, the book shows the centrality of the live show and of the sale of sheet music to the economy of the entertainment industry. Mullen assesses the popularity and significance of the different genres of musical entertainment which were common in the war years and the previous decades, including music hall, revue, pantomime, musical comedy, blackface minstrelsy, army entertainment and amateur entertainment in prisoner of war camps. He also considers non-commercial songs, such as hymns, folk songs and soldiers’ songs and weaves them into a subtle and nuanced approach to the nature of popular song, the ways in which audiences related to the music and the effects of the competing pressures of commerce, propaganda, patriotism, social attitudes and the progress of the war.
Almost everything about the good doctor, his companions and travels, his enemies and friends. Additionally the actors etc. Part three contains all summaries of all TV episodes.Compiled from Wikipedia pages and published by Dr Googelberg.
Environment and Society explores ways to promote the behavioural shifts necessary for creating a 'sustainable society'. Through a critical approach to the links between sustainability, policy and citizen engagement, the book argues that sustainability policy needs to move towards a positive perspective, utilizing the well-known techniques of segmentation and social marketing. Such 'mainstreaming' of sustainable lifestyles is likely to be the only effective means of engaging the majority of citizens in the environmental debate, given the major influence of the consumer society on individual aspirations and beliefs. Comprised of three substantive elements, Environment and Society explores the context for behaviour change policy, the approaches adopted by politicians and academic researchers, and the application of such approaches using empirical data from two major research projects. The book is richly illustrated using both theoretical and empirical data and provides an excellent companion to all researchers interested in sustainable lifestyles.
Astronomy and Astrophysics Abstracts, which has appeared in semi-annual volumes since 1969, is devoted to the recording, summarizing and indexing of astronomical publications throughout the world. It is prepared under the auspices of the International Astronomical Union (according to a resolution adopted at the 14th General Assembly in 1970). Astronomy and Astrophysics Abstracts aims to present a comprehensive documenta tion of literature in all fields of astronomy and astrophysics. Every effort will be made to ensure that the average time interval between the date of receipt of the original literature and publication of the abstracts will not exceed eight months. This time interval is near to that achieved by monthly abstracting journals, compared to which our system of accumu lating abstracts for about six months offers the advantage of greater convenience for the user. Volume 32 contains literature published in 1982 and received before February 11, 1983; some older literature which was received late and which is not recorded in earlier volumes is also included. We acknowledge with thanks contributions to this volume by Dr. J. Bou~a, Prague, who surveyed journals and publications in Czech and supplied us with abstracts in English.
The Lancashire cotton industry doubtless counts among the most thoroughly researched industries in Britain. Cotton processing has attracted attention both as the pioneer of industrialization and the harbinger of industrial decline, in many ways typifying the development of the British economy from unchallenged global leader to the demise of large sectors of its manufacturing industry. Yet among the spate of book and articles published about the industry, there is a conspicuous lacuna. Gender, though rarely addressed specifically, permeates the industry's historiography nonetheless. This study tackles head-on the notion of gender within the cotton industry during the period 1880-1914, not so much to trace its effects on the industry itself, but instead concentrating on the ways gender radicalized particularly the female workers in the Lancashire mills. In so doing, it promotes the view that it was women weavers' experience of the way in which gender inequality in the labour process clashed with varying degrees of inequality in the other spheres of their lives that caused many of them to organize for the franchise. Their experience of equality in the labour process both sensitized them to inequality elsewhere and empowered them to fight against it by showing it to be a product of society rather than nature. 'Drawing on the examples provided by disenfranchized working-class men and middle-class women alike, they accounted for inequality in terms of their exclusion from the polity. In the process of holding their own against male co-workers, supervisory staff, employers, labour activists, politicians, and even many middle-class women, they evolved their own version of working-class femininity, which differed in important ways from the female domesticity that had a vibrant existence in labour rhetoric, but rarely beyond.
Why did certain domestic murders fire the Victorian imagination? In her analysis of literary and cultural representations of this phenomenon across genres, Bridget Walsh traces how the perception of the domestic murderer changed across the nineteenth century and suggests ways in which the public appetite for such crimes was representative of wider social concerns. She argues that the portrayal of domestic murder did not signal a consensus of opinion regarding the domestic space, but rather reflected significant discontent with the cultural and social codes of behaviour circulating in society, particularly around issues of gender and class. Examining novels, trial transcripts, medico-legal documents, broadsides, criminal and scientific writing, illustration and, notably, Victorian melodrama, Walsh focuses on the relationship between the domestic sphere, so central to Victorian values, and the desecration of that space by the act of murder. Her book encompasses the gendered representation of domestic murder for both men and women as it tackles crucial questions related to Victorian ideas of nationhood, national health, political and social inequality, newspaper coverage of murder, unstable and contested models of masculinity and the ambivalent portrayal of the female domestic murderer at the fin de siècle.
This book provides an excellent introduction to the sociology of industry. It comprises of three sections, which in turn address: the relation between industry and other sub-systems or institutions in society; the internal structure of industry and the roles people play within that structure; the social actions of individuals and groups within an organisational structure. It is an excellent resource for students of sociology who have an interest in its application to the ‘world of work’.
This book explores the intertwining of politics and ontology, shedding light on the ways in which, as our ability to investigate, regulate, appropriate, ‘enhance’ and destroy material reality have developed, so new social scientific accounts of nature and our relationship with it have emerged, together with new forms of power. Engaging with cutting-edge social theory and elaborating on the thought of Foucault, Heidegger, Adorno and Agamben, the author demonstrates that the convergence of ontology with politics is not simply an intellectual endeavour of growing import, but also a governmental practice which builds upon neoliberal programmes, the renewed accumulation of capital and the development of technosciences in areas such as climate change, geoengineering and biotechnology.
Since the naming of hepatitis C in 1989, knowledge about the disease has grown exponentially. So too, however, has the stigma with which it is linked. Associated with injecting drug use and tainted blood scandals, hepatitis C inspires fear and blame. Making Disease, Making Citizens takes a timely look at the disease, those directly affected by it and its social and cultural implications. Drawing on personal interviews and a range of textual sources, the book presents a scholarly and engaging analysis of a newly identified and highly controversial disease and its relationship to philosophies of health, risk and harm in the West. It maps the social and medical negotiations taking place around the disease, shedding light on the ways these negotiations are also co-producing new selves. Adopting a feminist science and technology studies approach, this theoretically sophisticated, empirically informed analysis of the social construction of disease and the philosophy of health will appeal to those with interests in the sociology of health and medicine, health communication and harm reduction, and science and technology studies.
Anthony Eden, who served as both Foreign Secretary and Prime Minister, was one of the central political figures of the twentieth century. He had good looks, charm, a Military Cross from the Great War, an Oxford first and a secure parliamentary constituency from his mid-twenties. He was Foreign Secretary at the age of 38, and the first British statesman to meet Hitler, Mussolini and Stalin. Eden's dramatic resignation from Neville Chamberlain's Cabinet in 1938, outlined here in the fullest detail yet, made an international impact. This ground-breaking book examines his controversial life and tells the inside story of the Munich crisis (1938), the Geneva Conference (1954), Eden's battles with Churchill over the modernisation of the post-war Conservative Party and his rivalry with Butler and Macmillan in the early 1950s, culminating in a fascinating analysis of the Suez crisis.
Ovidian Bibliofictions and the Tudor Book examines the historical and the fictionalized reception of Ovid’s poetry in the literature and books of Tudor England. It does so through the study of a particular set of Ovidian narratives-namely, those concerning the protean heroines of the Heroides and Metamorphoses. In the late medieval and Renaissance eras, Ovid’s poetry stimulated the vernacular imaginations of authors ranging from Geoffrey Chaucer and John Gower to Isabella Whitney, William Shakespeare, and Michael Drayton. Ovid’s English protégés replicated and expanded upon the Roman poet’s distinctive and frequently remarked ‘bookishness’ in their own adaptations of his works. Focusing on the postclassical discourses that Ovid’s poetry stimulated, Ovidian Bibliofictions and the Tudor Book engages with vibrant current debates about the book as material object as it explores the Ovidian-inspired mythologies and bibliographical aetiologies that informed the sixteenth-century creation, reproduction, and representation of books. Further, author Lindsay Ann Reid’s discussions of Ovidianism provide alternative models for thinking about the dynamics of reception, adaptation, and imitatio. While there is a sizeable body of published work on Ovid and Chaucer as well as on the ubiquitous Ovidianism of the 1590s, there has been comparatively little scholarship on Ovid’s reception between these two eras. Ovidian Bibliofictions and the Tudor Book begins to fill this gap between the ages of Chaucer and Shakespeare by dedicating attention to the literature of the early Tudor era. In so doing, this book also contributes to current discussions surrounding medieval/Renaissance periodization.
About the Book With the rapid change in statutory environment, Corporate Law has also been evolving at faster pace from past several decades. The complexities in the laws have also been rising, which poses constant challenge to practising professionals. There also exist a lot of issues which perhaps may not be addressed by legislation and delegated legislation, some of which are addressed by the judiciary. The present book is a Compendium of Key Issues under Corporate Laws covering a wide spectrum of subjects in Corporate Laws, in five Volumes. This book brings out issues in Corporate Law covering aspects that professionals face in practice. It also brings out a lot of aspects that readers should be aware of. Legislation and case laws from other jurisdictions have been analysed to provide insight into the issues. Key Features ? Topic-wise detailed analysis of various Corporate Law issues. ? Various issues organised under topic heads addressing the key issues concerning the topic. ? Detailed analysis of statutory provisions along with relevant judicial pronouncements and provisions of allied laws (wherever applicable) for each topic has been provided; e.g. SEBI Act and various Regulations issued by the SEBI. ? Analysis of certain landmark judicial pronouncements. ? Comparative position of various topics between Companies Act, 2013 and Companies Act, 1956. ? Certain new concepts of Companies Act, 2013 explained in detail. ? Rules of interpretation of statutes have been discussed wherever necessary.
Although interest in the theology of Karl Barth is greater today than at any time since his death, Barth's moral thought continues to be widely misunderstood. This groundbreaking study of the twentieth-century's most important Christian thinker offers the first treatment of Barth's ethics from a Roman Catholic perspective. Focusing particularly on Barth's 'ethics of creation' in the Church Dogmatics, Rose reclaims Barth from a number of misinterpretations and presents Barth's account of the good life within his distinctively Christian metaphysics. Among the most provocative of Rose's claims is that Barth sees the Christian life as guided by reason and nature, an interpretation that finds Barth in conversation with ancient and medieval ethical theories about the nature of human happiness. A significant contribution to Barth studies and current debates in contemporary Christian theology, Ethics with Barth sheds valuable light on the connection between metaphysics and ethics, the trinitarian dimensions of Christian moral thought, the nature of the divine good, the role of Christian philosophy, Barth's conception of moral reasoning, and his views on eudaimonism and the natural law.
Michael Curtiz (1888-1962) was without doubt one of the most important directors in film history, yet he has never been granted his deserved recognition and no full-scale work on him has previously been published. The Casablanca Man surveys Curtiz' unequalled mastery over a variety of genres which included biography, comedy, horror, melodrama, musicals, swashbucklers and westerns, and looks at his relationship with the Hollywood studio moguls on the basis of unprecedented archive research at Warner Brothers. Concentrating on Curtiz' best-known films - Casablanca, Angels With Dirty Faces, Mildred Pearce and Captain Blood among them - Robertson explores Curtiz' practical creative struggles and his friendships and rivalries with other film celebrities including Errol Flynn, Bette Davis and James Cagney, and his discovery of future stars. Casablanca Man is the first comprehensive critical exploration of Curtiz' entire career and, linking his European work and his subsequent American work into a coherent whole, Robertson firmly re-establishes Curtiz' true standing in the history of cinema.
The work of art theorist Anton Ehrenzweig is explored in this original and timely study. An analysis of the dynamic and invigorating intellectual influences, institutional framework and legacy of his work, this book uses previously unexamined archival material and unseen artworks to reveal the context within which Ehrenzweig worked, and how that influenced him and those artists with whom he worked closely.
The 1930s policy of appeasement is still fiercely debated by historians, critics and contemporary political commentators, more than 70 years after the signing of the 1938 Munich Agreement. What is less well-understood, however, is the role of public opinion on the formation of British and French policy in the period between Munich and the outbreak of the Second World War; not necessarily what public opinion was but how it was perceived to be by those in power and how this contributed to the policymaking process. It therefore fills a considerable gap in an otherwise vast literature, seeking to ascertain the extent to which public opinion can be said to have influenced the direction of foreign policy in a crucial juncture of British and French diplomatic history. Employing an innovative and unique methodological framework, the author distinguishes between two categories of representation: firstly, 'reactive' representations of opinion, the immediate and spontaneous reactions of the public to circumstances and events as they occur; and secondly, 'residual' representations, which can be defined as the remnants of previous memories and experiences, the more general tendencies of opinion considered characteristic of previous years, even previous decades. It is argued that the French government of Édouard Daladier was consistently more attuned to the evolution of 'reactive' representations than the British government of Neville Chamberlain and, consequently, it was the French rather than the British who first pursued a firmer policy towards the European dictatorships. This comparative approach reveals a hitherto hidden facet of the diplomatic prelude to the Second World War; that British policy towards France and French policy towards Britain were influenced by their respective perceptions of public opinion in the other country. A sophisticated analysis of a crucial period in international history, this book will be essential reading for scholars of the origins of World War II, the political scenes of late 1930s Britain and France, and the study of public opinion and its effects on policy.
Occasionally, a great manuscript is written about someone great, and that great manuscript is A Race to the Finish Line, and that someone great is Barack Hussain Obama, the first African American to be elected president of the United States of America. Rose's work is a brilliant analysis of the struggles that Barrack Obama overcame to reach the Oval Office and as the commander-in-Chief of the Armed Forces in the United States. The book is intellectually stimulating and insightful. It chronicles Obama's life from birth and examines the forces that shaped his life and made him the forty-fourth president of the United States. It explains how Obama defeated three renowned, admired, and experienced politicians--former first lady and Senator Hillary Clinton, former prisoner of war and Senator John McCain, and former Governor of Massachusetts, Mitt Romney--to become president of the United States. Rose's work presents fresh insights into Obama's life--from his birth in Honolulu, Hawaii, on August 4, 1961, to Seattle and then Jakarta, Indonesia. The book is a definitive account of Barack Obama's formative years, which made him the man he became. After graduating from Punahou School, a private, elite all-white academy in Honolulu, the young Obama entered Occidental College in Los Angeles, California, and after two years, he transferred to Columbia University, an Ivy League college in New York City, and to Harvard University Law School, where he was elected as the first African American president of the prestigious Harvard Law Review. Dr. Rose's penetrating and captivating work describes Barack Obama's tumultuous upbringing as a young man of mixed race who was raised almost exclusively by his white grandparents, his marriage to Michelle Robinson in Chicago in 1992, and his work as a community organizer on the South Side of Chicago, an Illinois state senator from 1997 to 2004, and serving as a US senator from 2004 to 2008 when he was elected President of the United States. The book reveals that Occidental College has had a profound impact on Obama's life, because according to him, it was at Occidental College that he took life seriously and was awakened to the notion that he could make a difference in the world. Rose's epic work is a rich tapestry of a life little known or understood prior to his keynote address at the 2004 Democratic National Convention in Boston, which instantly catapulted him into the national spotlight. The book is a classic narrative drawn from hundreds of interviews, including several of President Obama's advisers, friends, and classmates and a trove of articles, journals, and other documents. It tells the human story of a man--Barack Hussain Obama--who changed the course of history and the world in a way that no one else can and no one expected. As a result, he is considered one of the most significant figures of the twenty-first century. It is a groundbreaking and multigenerational manuscript; a richly textured account of President Obama's life from childhood to adulthood as he tried to make sense of his past, established his own identity as he prepared for his political future. It is a beautifully written and powerful book that captured Barack Obama's time as a community organizer in one of Chicago City's roughest neighborhoods as he grappled with the role that faith has in store for him. It is a fascinating account about a young man born into uncommon family and perhaps unusual circumstances--son of a black man from Kenya, Africa, and a white woman from the state of Kansas in the United States. It is a first-rate account of the human struggles of one of the most interesting and exciting presidents of our time, Barack Hussain Obama.
In the early 1900s, thirty-five individuals left their current church to venture on a journey of starting a new church. This journey would change not only the community, but the lives of many. In Making a Difference in Our Father’s House, authors Bernice H. Eaton and Reverend Dr. Gregory E. Moore chronicle the history of the creation of Trinity Baptist Church in Fort Valley, Georgia. Eaton and Moore pieced the history together from written and oral resources including financial records, the first warranty deed, programs, conference minutes, minute books, newspaper articles, correspondence, written and oral histories, books, manuscripts, and census records. It presents a look at everything from the church founders to its pastors and leadership, and its programs and outreach. Making a Difference in Our Father’s House shows that throughout its history, the members demonstrated their faith, their hope, and their courage as they went about doing God’s will. They worked to make a better community for the people of Fort Valley and Peach County becoming known as the People’s Church.
This book reconnects class and the urban through an ethnographically detailed analysis of a neighbourhood undergoing gentrification which historicises class formation, critiques policy processes and offers a new sociological insight into gentrification from the perspective of working-class residents. This ethnography of everyday working-class neighbourhood life in the UK serves to challenge denigrated depictions which are used to justify the use of gentrification-based restructuring. By exploring the relationship between urban processes and working-class communities via gentrification, it reveals the ‘hidden rewards’ as well as the ‘hidden injuries’ of class in post-industrial neighbourhoods.
Few measures, if any, could claim to have had a greater impact on British society than the poor law. As a comprehensive system of relieving those in need, the poor law provided relief for a significant proportion of the population but influenced the behaviour of a much larger group that lived at or near the margins of poverty. It touched the lives of countless numbers of individuals not only as paupers but also as ratepayers, guardians, officials and magistrates. This system underwent significant change in the nineteenth century with the shift from the old to the new poor law. The extent to which changes in policy anticipated new legislation is a key question and is here examined in the context of London. Rapid population growth and turnover, the lack of personal knowledge between rich and poor, and the close proximity of numerous autonomous poor law authorities created a distinctly metropolitan context for the provision of relief. This work provides the first detailed study of the poor law in London during the period leading up to and after the implementation of the Poor Law Amendment Act of 1834. Drawing on a wide range of primary and secondary sources the book focuses explicitly on the ways in which those involved with the poor law - both as providers and recipients - negotiated the provision of relief. In the context of significant urban change in the late eighteenth and nineteenth century, it analyses the poor law as a system of institutions and explores the material and political processes that shaped relief policies.
In continuation of Volumes 8, 9, 22, and 23, this new volume deals with the regeneration of plants from isolated protoplasts and genetic transformation in various species of Actinidia, Allocasuarina, Anthurium, Antirrhinum, Asparagus, Beta, Brassica, Carica, Casuarina, Cyphomandra, Eucalyptus, Ipomoea, Larix, Limonium, Liriodendron, Malus, Musa, Physcomitrella, Physalis, Picea, Rosa, Tagetes, Triticum, and Ulmus. These studies reflect the far-reaching implications of protoplast technology in genetic engineering of plants. The book contains a wealth of useful information for advanced students, teachers, and researchers in the field of plant tissue culture, molecular biology, genetic engineering, plant breeding, and general biotechnology.
Debates over who belongs in Europe and who doesn't increasingly speak the language of mixing, but how are the figures commonly described as 'mixed' actually embodied? The Biopolitics of Mixing invites us to reckon with the spectres of pathologization past and present, placing the celebration of mixing beside moral panics over terrorism and trafficking and a post-race multiculturalism that elevates some as privileged members of the neoliberal community, whilst ghosting others from it. Drawing on a broad archive including rich qualitative interviews conducted in Britain and Germany, media and policy debates, popular culture, race-based research and queer-of-colour theories, this book imagines into being communities in which people and places normally kept separate can coexist in the same reality. As such, it will appeal to scholars across a range of sociological and cultural studies, including critical race, ethnic and migration studies, transnational gender and queer studies, German and European studies, Thai and Southeast Asian studies, and studies of affect, performativity, biopolitics and necropolitics. It should be read by all those interested in thinking critically on the intersections of race, class, gender, sexuality and disability.
Contributing an original dimension to the study of women in 16th-century England, this pioneering work examines the largest corpus of women’s private writings available: their wills. Through an intensive analysis of more than 1200 wills, women from all parts of the country and all strata of society are revealed as articulate, opportunistic, and capable individuals who, despite legal and cultural limitations, exercised authority over their own lives and influenced the lives of their heirs after their death.
Daily life and living conditions in the Byzantine world are relatively underexplored subjects, often neglected in comparison with more visible aspects of Byzantine culture, such as works of art. The book is among the few publications on Greek Byzantine populations and helps pioneer a new approach to the subject, opening a window on health status and dietary patterns through the lens of bioarchaeological research. Drawing on a diversity of disciplines (biology, chemistry, archaeology and history), the author focuses on the complex interaction between physiology, culture and the environment in Byzantine populations from Crete in the 7th to 12th centuries. The systematic analysis and interpretation of the mortality profiles, the observed pathological conditions, and of the chemical data, all set in the cultural context of the era, brings new evidence to bear on the reconstruction of living conditions in Byzantine Crete. Individual chapters look at the demographic profiles and mortality patterns of adult and non-adult populations, and study dietary habits and breastfeeding and weaning patterns. In addition, this book provides an indispensable body of primary data for future research in these fields, and so furthers an interdisciplinary approach in tracing the health of the past populations.
Often seen as the host nation's largest ever logistical undertaking, accommodating the Olympics and its attendant security infrastructure brings seismic changes to both the physical and social geography of its destination. Since 1976, the defence of the spectacle has become the central feature of its planning, one that has assumed even greater prominence following the bombing of the 1996 Atlanta Games and, most importantly, 9/11. Indeed, the quintupled cost of securing the first post-9/11 summer Games in Athens demonstrates the considerable scale and complexity currently implicated in these operations. Such costs are not only fiscal. The Games stimulate a tidal wave of redevelopment ushering in new gentrified urban settings and an associated investment that may or may not soak through to the incumbent community. Given the unusual step of developing London's Olympic Park in the heart of an existing urban milieu and the stated commitments to 'community development' and 'legacy', these constitute particularly acute issues for the 2012 Games. In addition to sealing the Olympic Park from perceived threats, 2012 security operations have also harnessed the administrative criminological staples of community safety and crime reduction to generate an ordered space in the surrounding areas. Of central importance here are the issues of citizenship, engagement and access in urban spaces redeveloped upon the themes of security and commerce. Through analyzing the social and community impact of the 2012 Games and its security operation on East London, this book concludes by considering the key debates as to whether utopian visions of legacy can be sustained given the demands of providing a global securitized event of the magnitude of the modern Olympics.
In this book, Daniel Cadman examines the development of neo-Senecan drama, also known as ‘closet drama’, during the years 1590–1613. In analyzing how these plays illuminate various aspects of early modern political culture, the book addresses gaps in the scholarship of early modern drama and explores new contexts in relation to more familiar writers, as well as extending the critical debate to include hitherto neglected authors.
A gripping true-to-life account of a tragic incident in U.S. history that needs to be read by everyone." Congressman Jack Metcalf, U.S. House of Representatives. THE DAY AFTER THANKSGIVING On November 26, 1943, one day after Thanksgiving and one day out to sea, one thousand, nine-hundred and eighty one young American soldiers were presented with the most challenging and terrifying experience of their lives. On that day, they became players in what was to become one of the greatest at-sea tragedies in United States history. More than half of them never survived to tell their story. On that day, two of the WWIIs least known but historic incidents occurred. The United States suffered its greatest loss of troops at-sea in its history when the HMT ROHNA a British transport was sunk by a guided missile launched from a German bomber over the Mediterranean Sea, off the coast of North Africa. The ship, with officers and crew of one hundred ninety five was transporting American troops and Red Cross workers to the China-Burma-India Theater of war One thousand and fifteen American troops, three Red Cross workers and one hundred and twenty ships officers and crewmen perished, a loss second only to that of the Arizona at Pearl Harbor. In addition to the record number of casualties that were incurred, the bombing itself was historic because it was the first ever, successful "hit" by a remote-controlled rocket-boosted bomb, launched in the air from a German bomber, on a merchant vessel chartered for military use in war time. This incident was, in effect, the dawning of the missile age. The ship, badly in disrepair, was part of Convoy KMF-26 en-route to Bombay, India with men and supplies needed for the little known China - Burma -India theater of WWII. It was a noteworthy historic event that received little notice and still has not been acknowledged by the United States government. Understandably, for security reasons, the War Department immediately suppressed news of this catastrophe. Compounding this tragedy, no details were ever provided to the grieving fathers and mothers. Parents went to their graves never to learn the fate of their sons. Families still do not know how their loved ones died and this disaster continues to remain virtually unknown to the public. Over eight hundred bodies were never recovered, and their remains are scattered over hundreds of miles at the bottom of the Mediterranean Sea. THE ROHNA DISASTER (227P) describes that tragic, but little known incident at sea. Each chapter presents electrifying eyewitness accounts of the inhumane shipboard conditions, the actual bombing and sinking, and the struggles to survive and be rescued in heavy seas at night. Accounts of heroism and courage are woven through each chapter, and the anquish of families, as they waited fifty years in an emotional void, is poignantly told. THE ROHNA DISASTER is, in many respects, told by the people who played their different roles as survivors, rescuers and family members. Every survivor was willing, if not anxious, to share his experience, painful though it often was, some because they wanted to help the author in his search for information about his brother, most, because they felt very strongly that this story should be told and that the casualties should be given an honored place in American history. It is important that history be chronicled, and that this story, an important part of our history, be told, heard, taught and remembered. It is also important that those who played roles in this incredible drama, the survivors, rescuers and casualties, be given their due honor and recognition, and that the families of those who perished, who have a right to know what happened to their loved ones, be given an opportunity to learn that truth. This book was written for those reasons. "We are slowly losing a unique breed of people, the likes of which we will never s
“Not only a just appraisal of the campaigns waged by Marines in World War II; it is a documentation of the Marine struggle to prove the feasibility of amphibious warfare....Relentlessly accurate and impartial.”—N.Y. Times Originally published in 1951, this book is a widely regarded classic on US Marine amphibious doctrine and operations employed in the Pacific during the Second World War. The authors describe in detail the development of the theoretical aspects of amphibious assault in the inter-war period, but devote the vast majority of the narrative to the various landings and their core strategies, using Japanese documents “to sketch in the background of military decisions made by the enemy.” A must for those who wish to understand the American war against Japan.
In the contemporary United States, matters of life and health have become key political concerns. Important to this politics of life is the desire to overcome racial inequalities in health; from heart disease to diabetes, the populations most afflicted by a range of illnesses are racialized minorities. The solutions generally proposed to the problem of racial health disparities have been social and environmental in nature, but in the wake of the mapping of the human genome, genetic thinking has come to have considerable influence on how such inequalities are problematized. Racial Prescriptions explores the politics of dealing with health inequities through targeting pharmaceuticals at specific racial groups based on the idea that they are genetically different. Drawing on the introduction of BiDil to treat heart failure among African Americans, this book contends that while racialized pharmaceuticals are ostensibly about fostering life, they also raise thorny questions concerning the biologization of race, the reproduction of inequality, and the economic exploitation of the racial body. Engaging the concept of biopower in an examination of race, genetics and pharmaceuticals, Racial Prescriptions will appeal to sociologists, anthropologists and scholars of science and technology studies with interests in medicine, health, bioscience, inequality and racial politics.
New Labour deployed community as a conceptual framework to rearticulate the state / citizen relationship to be enacted at and through new spaces of governance. An important example of this was how successive New Labour governments sought to renovate the social, political and economic cultures of poor neighbourhoods and generate trajectories of strong, empowered and ordered civic space. This was pursued through programmes such as the New Deal for Communities (NDC) that sought to invigorate and embed socially excluded citizens within localised regeneration projects. In attempting to construct community as a space through which personal and spatial renewal could be achieved, New Labour relied on problematic assumptions about the nature, scope and meaning of community and its relationship with individual social agents. Drawing on original research conducted in an NDC neighbourhood, Remaking Community addresses the interlinking uses of community in government rhetoric and practice. It explores why this concept was so central to the New Labour governing project and what it meant for individuals enveloped in the 'regeneration' of their citizenship and locality. It seeks to understand how community is conceptualised, applied, constructed, misunderstood, exploited, experienced, contested, mobilised and activated by both policy actors and neighbourhood residents and situates this discussion within an examination of the political, emotional and cultural impact of the regeneration experience. Offering a timely analysis of New Labour, regeneration and the politics of community, this book makes an original and important contribution to debates around new spaces of governance, citizen participation and the tackling social exclusion in poor neighbourhoods.
Whilst the early modern period has long been recognized as witnessing a growth in trade and consumerism, the majority of studies to date have tended to focus upon London and southern England. In order to provide a more balanced understanding of the dynamics at work on a national level, this book explores the local economy and waterborne trades of Newcastle and the River Tyne, in North East England. Drawing upon a variety of primary sources - including parish records, probate inventories, Newcastle Exchequer port books and the previously unpublished diary of an apprentice hostman - none of which have been examined previously in this context, the study adds significantly to our understanding of the growing community in North East England. In particular, it underlines the expansion of a thriving middling class with an associated culture of consumption driving a rapid increase in the import, and often re-export of a wide range of luxury items of food, clothing and soft furnishings. As the coal trade and a flourishing general trade with London and other home and overseas ports grew, the book highlights the major impact upon the size and variety of work in the port, and the subsequent increasing size and complexity of the water trades community and its associated business networks.
While disciplines such as anthropology, sociology, politics, social policy and the health and medical sciences have a tradition of exploring the centrality of alcohol, drinking and drunkenness to people's lives, geographers have only previously addressed these topics as a peripheral concern. Over the past few years, however, this view has begun to change, accelerated by an upsurge in interest in alcohol consumption relating to political and popular debate in countries throughout the world. This book represents the first systematic overview of geographies of alcohol, drinking and drunkenness. It asks what role alcohol, drinking and drunkenness plays in people's lives and how space and place are key constituents of alcohol consumption. It also examines the economic, political, social, cultural and spatial practices and processes that are bound up with alcohol, drinking and drunkenness. Designed as a reference text, each chapter blends theoretical material with empirical case studies in order to analyse drinking in public and private space, in the city and the countryside, as well as focusing on gender, generations, ethnicity and emotional and embodied geographies.
This book, the first full-length text on the subject, explores the everyday use of music listening while driving a car. It presents the relationship between cars and music in an effort to understand how music behaviour in the car can either enhance driver safety or place the driver at increased risk of accidents. A great deal of work has been done to investigate and reduce driver distraction and inattention, but this book is the first to focus on in-cabin aural backgrounds of music as a contributing factor to human error and traffic violations. Driving With Music begins by outlining the automobile, its relationship to society, and the juxtaposition of music with the automobile as a complete package. It then highlights concepts from the fields of music perception and cognition, and, within this framework, looks at the functional use of background music in our everyday lives. Driver music behaviours - both adaptive and maladaptive - are explored, with the focus on contradictions and ill-effects of in-car music listening. To conclude, implications, applications and countermeasures are suggested.
In her study of anonymous infanticide news stories that appeared from 1822 to 1922 in the heart of the British Empire, in regional Leicester, and in the penal colony of Australia, Nicola Goc uses Critical Discourse Analysis to reveal both the broader patterns and the particular rhetorical strategies journalists used to report on young women who killed their babies. Her study takes Foucault’s perspective that the production of knowledge, of 'facts' and truth claims, and the exercise of power, are inextricably connected to discourse. Newspaper discourses provide a way to investigate the discursive practices that brought the nineteenth-century infanticidal woman - known as ‘the Infanticide’ - into being. The actions of the infanticidal mother were understood as a fundamental threat to society, not only because they subverted the ideal of Victorian womanhood but also because a woman’s actions destroyed a man’s lineage. For these reasons, Goc demonstrates, infanticide narratives were politicised in the press and woven into interconnected narratives about the regulation of women, women's rights, the family, the law, welfare, and medicine that dominated nineteenth-century discourse. For example, the Times used individual stories of infanticide to argue against the Bastardy Clause in the Poor Law that denied unmarried women and their children relief. Infanticide narratives often adopted the conventions of the courtroom drama, with the young transgressive female positioned against a body of male authoritarian figures, a juxtaposition that reinforced male authority over women. Alive to the marked differences between various types of newspapers, Goc's study offers a rich and nuanced discussion of the Victorian press's fascination with infanticide. At the same time, infanticide news stories shaped how women who killed their babies were known and understood in ways that pathologised their actions. This, in turn, influenced medical, judicial, and welfare policies regarding the crime of infanticide and created an acceptable context for how society viewed these women. Alive to the marked differences between various types of newspapers, Goc's study offers a rich and nuanced discussion of the Victorian press's fascination with infanticide.
In all industrialised countries, closed head injuries are responsible for vast numbers of hospital admissions and days of work lost. For instance, about 120,000 patients are admitted to hospital in the United Kingdom each year with a diagnosis that reflects closed head injury. Such injuries are a major cause of deaths following accidents, especially those that involve children and young people, and they are also a major cause of handicap and morbidity among the survivors. This clinical condition is intrinsically a neurological one, but its proper evaluation demands an understanding of the associated psychology and psychopathology. At the same time, a major neurological condition with such a high level of incidence ought to be extremely informative about the functioning of the human brain and hence provide a major focus for neuropsychological investigation. In this book, the author seeks to integrate these two different perspectives by reviewing the clinical and neuropsychological aspects of closed head injury in a manner that is equally intelligible to researchers interested in the effects of brain damage upon human behaviour and to practitioners who are responsible for the assessment, management and rehabilitation of head-injured patients. This is the second edition of a book which was first published in 1990, and which has been extensively revised in the light of the subsequent research in the field. The book begins by considering the epidemiology, causes and structural neuropathology of closed head injury. It then considers the impact of closed head injury on memory, cognition, language, communication, personality and social behaviour. Finally it outlines the outcome, the mechanisms of recovery and the prospects for rehabilitation.
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