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A theoretical intervention into the challenge of thinking through the complexities of life, in Iran or elsewhere. Hannah Arendt and Michel Foucault offer us a model of thinking as a practice. Each attempted one project in which they were thinking systematically about ongoing events, and offering that thinking as a contribution to public understanding. Arendt traveled to Jerusalem to observe the Adolf Eichmann trial, and her contemporaneous writing was published in The New Yorker magazine. Foucault traveled to Iran to observe the early stages of the revolution, and his contemporaneous writing was published (mostly) in the Corriere della Sera newspaper. These two projects have commonly been regarded as their author’s most controversial and have often been ignored or used to denigrate the writer’s entire theoretical oeuvre. Yet they offer compelling models of thinking as a practice that critically links the self and the world. Rescuing theory from the confines of academic specialization restores it, and us, to the possibility of thinking as a practice of freedom, and freedom as the daily possibility of beginning anew.
This chapter describes the daily functioning of the Desolate Boedelskamer. It examines the Amsterdam insolvency procedure through the eyes of the actors involved. How did the court evolve over time, and where is it possible to discern the influence of its staff on such changes? Social and cultural attitudes towards overindebtedness and the insolvents themselves softened during the seventeenth century. While one might expect that such developments were detrimental to the position of creditors, they actually went hand in hand with important changes to Amsterdam’s legal institutions that also sought to protect the creditors’ interests. This chapter discusses to what extent the introduction of the Desolate Boedelskamer had an impact on the management of the insolvent estates that were placed in its care. Through a careful combination of formal work instructions and archival evidence from the daily practice, it analyzes the functioning of the court as part of its broader legal and institutional context.
The book ends by tracking the legacy of the Minorities Commission. The commission set a precedent for managing minority anxieties as Nigeria entered nation-statehood in 1960. It also failed to resolve the political tension these anxieties caused, leaving the newly independent Nigerian state with a crisis of citizenship that lingers to this day. This crisis of citizenship informed the national breakdown that led to the devastating civil war (also known as the Biafran War, 1967–70) and the ongoing fragmentation of Nigeria into smaller and more numerous states. Because certain Niger Delta peoples have been fixed as minorities in Nigeria, the needs and well-being of Niger Delta communities are not priorities, especially as they are construed as being at odds with national needs and priorities. It is in this context that their status as minorities has had the most devastating implications. The book closes by exploring the various ways these communities have used their minority status to simultaneously challenge and insist upon inclusion within the Nigerian state, asking what might be possible for their future as Nigerian citizens.
The minority claims made by the various minority movements that emerged in the 1950s coalesced in separate state movements. Separate states claims were made by minority communities in all three major regions and these claims were championed by their political elites who strategically occupied seats in the regional houses of assembly, starting in 1953. Niger Delta elites formed provisional alliance, supressing local disputes and differences, in order to keep their claim for a separate Mid-West state alive in the constitutional reform process. Their efforts succeeded in halting the final constitutional conference, which was to be held in London in 1957. The push for separate states was strong enough to threaten the decolonization process altogether, and the British government decided to establish a Minorities Commission to address and resolve these claims prior to formal independence.
This chapter explores the intersection of historical linguistics and psycholinguistics by investigating the role of core psycholinguistic factors and phenomena in language change: frequency, salience, chunking, priming, analogy, ambiguity and acquisition. Recent research from cognitive sciences, particularly within a complex systems framework, reveals that language change is influenced by patterns of use and is interconnected with language acquisition and cognition. Bridging the gap between community and individual research, the chapter highlights studies that explore this relationship. It also examines the potential of psycholinguistic methodologies for diachronic research. Additionally, the chapter suggests avenues for further research where psycholinguistic perspectives have had less impact on the study of historical language change. Furthermore, it discusses how psycholinguistic factors have been incorporated into various theoretical approaches to English language change, such as generative and usage-based modelling.
In two of Kierkegaard’s earliest works, The Concept of Irony and Either/Or, imaginary construction (i.e., thought experiment, or Experiment) is often characterized negatively. However, the three core features of thought experiment shared by Ørsted and Mach also begin to emerge, laying foundations for a more positive view in other works. Kierkegaard’s characterizations of thought experiment indicate that imaginary construction guides mental action. This focus contrasts with the standard emphasis in Kierkegaard scholarship on thought experiment as supplying the concreteness of (empirical) actuality. In The Concept of Irony, Kierkegaard critiques irony as a retreat from reality but also shows it can be used to achieve new kinds of wholeheartedness and unity. In this chapter, I will argue that thought experiments can similarly lead the experimenter away from reality but, like irony, may also be a useful tool for self-development.
In 1636, a set of nine paintings was installed on the ceiling of the Banqueting Hall in Whitehall Palace. Three central and six side panels. The set had arrived from the studio of Peter Paul Rubens in Antwerp, and had been commissioned by King Charles I in honour of his father James. They were intended to summate three aspirations which defined James’s reign. The three central panels were entitled The Apotheosis of King James, The Peaceful Reign of King James, and The Union of Crowns. Each spoke to a matter of constitutional urgency, then and now; respectively, the nature of monarchy, relations with the rest of Europe, and the possibility of forging a union between England and Scotland. The purpose of this chapter is to revisit the reign of King James I and see if we can spot some resonances.
Chapter 5 explores a wide range of passages where the Sectarians identify themselves as the present-time victims or potential victims of violence perpetrated by empowered others: Rome and the local Jewish priestly and political authorities. The imagery of the powerful priests in Jerusalem and their leader the Wicked Priest waging a campaign of violence and intimidation against the Sectarians is part of a broader attempt by the disempowered and disenfranchised Sectarians to craft a narrative of victimhood.
This chapter focuses on the way the Livian conception of political leadership reflects the corresponding Ciceronian theory. Although Livy does not seem to use any specific term for ‘leadership’, the latter is given a prominent role in his theory regarding the progress and the decline of the res publica: in his much-commented-on passage of his preface (praef. 9), both the relaxation of disciplina and the role of the leaders (uiri) are elucidated by reference to Cicero’s theory and terminology of leadership. Disciplina should then be defined as a way of moral and political life transmitted from one generation to the other, which is essentially based on the principle of obedience to an ‘enlightened’ political leadership. The characteristics of efficient leadership are expressed by Livy in various comments or speeches throughout the work. The role attributed to the people and the leaders in Livy’s scheme also reveals a close affinity with Cicero’s theory of the ideal leader as a moderator rei publicae, especially in the De re publica. Livy also promotes some leaders of the Roman past as exempla which have incarnated the Ciceronian ideal of leader.
Shakespeare may have returned to his first tetralogy when writing the second tetralogy to develop connections between English bravery and hunger, as well as English cowardice and gluttony. Especially relevant are hitherto overlooked parallels between Sir John Oldcastle and Jack Cade in Shakespeare’s treatment of dishonourable conduct and appetite.
This chapter deals with child labour in value chains, whether global value chains (GVCs) or domestic value chains (DVCs). This chapter goes beyond the usual question of the regulation of child labour in value chains to consider the conditions necessary for the elimination of child labour. This chapter is the product of many years of research on this topic by the two authors, sometimes jointly and at times along with other researchers. The empirical base of the analysis in this chapter comprises the various studies carried out by the authors, jointly or separately, of child labour in the garment GVCs in Delhi (Bhaskaran et al., 2010); in the global and DVCs of handicrafts in Jaipur, matches in Sivakasi, stone quarries in Rajasthan, brick kilns in Malda, West Bengal, knitwear and fireworks in Tirupur, Tamil Nadu (Nathan and George, 2012); cotton production in Punjab and Haryana (IHD and Save the Children, 2014); and of gems, lac bangles, and embroidered garments in Jaipur (The Freedom Fund, 2018). One of the authors (Varsha Joshi) led the Child Helpline, which is the key agency in the identification and rescue of child labour in Jaipur, so we were able to use the insights gathered in the course of her work in rescuing child labourers. While the data leading to the chapter's analysis are mainly from Indian cases, the analysis itself is applicable to other, developing countries in the Global South where child labour still exists in serious dimensions. The chapter's policy prescription of combining higher adult earnings at the base of the labour force pyramid with compulsory and quality education is relevant to all developing countries of the Global South.
After this introduction, the next section deals with types of child labour and the implications for different types of interventions. This is followed by a summary of the different types of interventions of both public and private regulation that have been undertaken to eliminate child labour in value chains, both global and domestic. The elimination of child labour involves a change in the business strategy of both the lead firm or principal employer and the supplier.
This chapter provides insights into the health-related aspects of beer law, both in contemporary society, and through history. It highlights the health benefits and health issues associated with beer, and explores how the law has sought to address both. It starts with examples where the law has looked favourably on beer, predominantly approached from the perspective of individual health. However, it is also important to consider beer law from a public health perspective, and the chapter includes discussion by Michal Koščík on this topic. The chapter covers areas of law that aim to limit or prevent the production, distribution, and/or consumption of beer, followed by a few observations about how beer-related health data are collected and used. It concludes by expressing some thoughts about beer, law, health, and the future.