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Cuba’s current economic struggles are due to a number of factors. These include an economic structure resulting from colonialism and neocolonialism and Cuba’s geopolitical alliance with the Soviet Union, which had mixed results in terms of economic performance. In the twenty-first century, there have been attempts in Cuba at market-oriented structural reforms, without a great deal of success. Thus far, these reforms have not shown major significant macroeconomic effects. However, it cannot plausibly be denied that Cuba’s post-1959 development strategy has been severely impacted by the system of unilateral economic sanctions imposed by the US. The US’s system of unilateral coercive economic sanctions disrupts Cuba’s international economic relations by making it expensive and risky for other countries to do business with the island and causing Cuba’s investment in infrastructure to perform below expectations. Sanctions create obstacles to accessing new technologies and foreign direct investment for key sectors of the Cuban economy, such as biotechnology and tourism, both of which are important elements of Cuba’s development strategy. Consequently, the US system of unilateral coercive measures affects Cuba’s overall economic health, has inflicted considerable damage to the Cuban population, and has interfered in many ways with the realization of Cuba’s development goals, violating the island nation’s right to development.
The final and concluding chapter reflects on diasporic state-building, drawing out the implications for how this transforms our understanding of state-building under military intervention. It critiques the limitations of diasporic state-building when approached through Western military and developmental interventions and their Euro-centric positionality. The chapter discusses how the optic of diasporic state-building allows us to witness transformations in how we conceive the nation-state and transnational civil society, since diasporas are constitutive actors transforming homelands states and societies in significant and contradictory ways, which can simultaneously bolster and undermine the state. Diasporic state-building also sheds light on transformations in our understanding of concepts such as citizenship, belonging, and nationhood in a globalised world when the nation-state is unshackled from state boundaries and occupies a transnational space. Finally, the chapter ends with the significance of diasporic state-building, when we consider the persistence of conflicts and migrations and the emergence of new diasporas. It offers probing questions for future research for exploring diasporic state-building of other global diasporas in other non-Western contexts.
In an age where change accelerates at an exponential pace, the world is grappling with a unique and volatile set of challenges. Mohamed El-Erian, the foreword author of our first publication (Reimagining Philanthropy in the Global South: From Analysis to Action in a Post-COVID World), uses the term “permacrisis” to describe the compounding issues of climate change, geopolitical instability, and technological disruption that now dominate the global landscape. These crises have revealed the fragility of systems once deemed resilient, highlighting the urgent need for transformative financing approaches to support sustainable development and achieve lasting systemic change in an ever-evolving world. This book explores the promise of catalytic capital and the emerging dynamics of development finance in this new global landscape.
Research on life stories has a short history but has emerged as a thriving field. While several key papers have spurred research (e.g., McAdams, 1985; Pasupathi, 2001) from a philosophy of science perspective, it is interesting how an individual paper helps a field to flourish. We traced the impact of one early theoretical paper, Habermas and Bluck (2000), using structural topic modeling. Grounded in classic lifespan theory (Baltes et al., 1998), this article bridged the gap between telling individual memories in childhood and narrating life stories in adulthood. The authors made the first formal argument for the emergence of the life story in adolescence. Since publication, the article has provided a reference for the study of life stories (> 2,000 citations; APA PsycNet, 2022) for authors in over forty countries. Structural topic modeling uses an unsupervised learning algorithm sensitive to temporal context. It was applied to the abstracts text of all articles ever citing Habermas and Bluck (2000). Modeling identified nine topic areas, showing their citation fluctuation. We report these historic trends, providing a lens for examining the evolution of the field of life stories over time.
We use recent theories of the politics of economic development and of economic interdependence and war to construct an analytic narrative of the events covered in this volume. We trace the end of China’s hegemony, and the instability that attended it, to the different policies the region’s states chose toward commerce, development, and reform. States that pursued modernization gained wealth and power relative to those that did not. These choices had fateful consequences for the regional balance of power and encouraged modernized upstarts to overthrow the traditional order. A more dynamic order arose as great powers competed to impose a new hegemony or at least a new stability, forming coalitions with the region’s other states and offering new ideologies to legitimize their rule. While existing theories shed light on the evolution of East Asian order, our consideration also reveals important gaps in explanation that merit further investigation.
Chapter 2 interrogates the development schemes between Ghana and the Soviet Union – notably the Cotton Textile Factory and the Soviet Geological Survey Team. These engagements were supposed to embody Ghana’s new postcolonial socialist modernity and highlight the benefits, opportunities, and possibilities of Soviet partnership. It demonstrates how pro-Soviet and Eastern bloc stories in the Ghanaian press were not simply intended to offer hagiographic praise or to support Nkrumah’s commitment to geopolitical nonalignment. Instead, they were part of a concentrated movement to dismantle and deconstruct the myth of Western scientific and cultural superiority and anti-Soviet bias, which were introduced and reinforced by Western colonial education and rule. In addition, Chapter 2 focuses on the relationships, expertise, livelihoods, and contestations of the technicians, bureaucrats, and local Ghanaian actors who were essential to overseeing the actual success of Ghana-Soviet relations in tangible ways for the Ghanaian people. It demonstrates how everyday Ghanaians employed Ghana–Soviet spaces to demand rights and protections against ethnic-discrimination and favoritism, and to make citizenship claims.
Whereas political and intellectual debates about the 1948 Universal Declaration of Human Rights have received considerable scholarly attention, the intellectual history of international economic and social human rights in the 1950s remains an understudied topic. This chapter investigates this history, zooming in upon Ralph Bunche, Gunnar Myrdal, and Moses Moskowitz, and mapping their main arguments in favor of economic and social human rights. Within the domineering horizon of the global Cold War, they argued in favor of internationalizing economic and social human rights, even if their chances of success, admittedly, looked very slim. It was a human rights advocacy that included a criticism of material inequality. This advocacy flowed from several actors in various parts of the UN – from Bunche’s and Myrdal’s UN leadership positions preoccupied, respectively, with political conflicts and decolonization and economic development, to Moskowitz representing the Jewish minority at the UN and dedicated solely to human rights advocacy. Little noted in the scholarly literature, economic, and social human rights had some degree of salience within the burgeoning discourses on development too.
This article provides a capabilities analysis of the financial behaviour of United Kingdom-based Zimbabwean senders of international remittances to Zimbabwe. It elaborates an expanded analytical framework of financial capability to investigate the effects of remitting on the financial capabilities of the senders of remittances. The data presented draw on the findings of a survey (n = 347) and semi-structured interviews (n = 23) conducted with Zimbabweans in the United Kingdom. The data reveal adverse effects of remitting on the respondents’ personal financial practices in respect of budgeting, saving and preparing for their retirement. It also shows the limits of FinTech services in transferring remittances and provides insights into how personal finance and -related capabilities constitute a social remittance. Overall, discourses on migration and development need to incorporate an expanded financial capabilities perspective to understand better how remittance fields are structured and to contribute to public policy reforms aiming to enhance the efficacy of remittances.
This chapter examines the political economy of the hub-and-spokes alliance system in Asia during the Cold War. Focusing on the strategic competition between the United States and the Chinese Communists, it argues that state-building and development were major features of the United States’ efforts to maintain the security of its allies and partners. Because US officials exhibited a heightened concern about the risk of subversion, which could not be contained through military alliances alone, US strategy focused on addressing the perceived causes of its allies’ and partners’ vulnerability. In Northeast Asia, the United States played a significant role in the creation of the developmental state. In Southeast Asia, the United States proved to be less capable or willing to support state-led industrialization, choosing not to do so in the Philippines and failing to do so in South Vietnam. Throughout Asia, containment was as much about economics as it was about military strategy.
The fluidity of the continuum between colonization and sovereignty is particularly evident in the case of small islands generally and Pacific Island states specifically. Colonialism arrived late to much of the Pacific and was thus short-lived compared to other regions. Imperial powers also struggled to extend control beyond their administrative capitals. Yet newly independent states remain enmeshed in relations of dependence with metropolitan countries via Official Development Assistance and forms of “non-sovereignty” or “free association” with states such as the United States, UK, France, and New Zealand. These alternative forms of sovereignty reflect a century-long process of experimentation with political forms for island communities and demonstrate historical legacies and the ambiguity of sovereignty itself. To substantiate this claim, this chapter traces the history of the ways island communities in the North Pacific have been governed over more than a century.
This chapter analyzes different methodologies for using the history of international development and economic growth to study US foreign relations. Early efforts to historicize development, driven largely by the scholarship of anthropologists, political theorists, and historical sociologists, focused on the intellectual origins and discursive effects of development and growth discourse. I show how, over the past two decades, historians have expanded upon this work in multiple ways. They have used governmental and nonstate archival collections to analyze the intellectual and political origins of ideas about development and growth in the United States. They have used documents in foreign languages from across the world to analyze how those receiving development assistance alternately resisted, challenged, accepted, adapted, and integrated US foreign aid into their domestic state-building and development initiatives. Historians have likewise integrated analytic frameworks from other subfields and disciplines – such as environmental history, science and technology studies (STS), and the history of economic thought – to assess the short- and long-term legacies of development initiatives. The chapter explores these approaches to analyzing development and growth as entry points to study how, why, and to what ends the United States exercised power in myriad ways across the world.
‘Late colonialism’ is a widely used concept in African, colonial, and imperial history and neighbouring fields. It evokes a particular chronological moment, but also suggests distinctive, novel processes of colonial governance. The concept has been used to interrogate and explain different trajectories of late colonial governance and decolonisation, addressing distinct chronologies and specific, but comparable, historical dynamics associated with the political disintegration of European colonial empires. What – if anything – characterised ‘late colonialism’ across Africa? What were the roots and genealogies of late colonial ideas and practices? And what were the connections and variations between late colonialism within, and across, African territories and regions? How can we think about them in a comparative, meaningful way? This special issue seeks to interrogate and elucidate the concept of ‘late colonialisms’ in Africa, contributing to debates around these questions. Engaging with varying chronologies, geographies, themes, and case studies, this collection of texts explores the plurality of idioms and repertoires that shaped late colonialisms in Africa, from political and cultural imaginaries and practices to security and developmental policies.
How we create believable characters. Resisting the urge to decide exactly who your character is before you know who your story needs them to be. The interdependence of character and plot and the emotional journey of the character. Moving beyond ‘show; don’t tell’: the interaction between characters allows the reader to get to know characters by observation rather than instruction. Managing minor characters. Conflict, consistency and contradiction all have a part to play in plausible characterisation. Characters come from you but they’re not you: the importance of freeing ourselves as writers from ourselves as people.
In the 1940s and 1950s, the concepts of surplus labor, disguised unemployment, and underemployment emerged as key tools for thinking about economic development in the emerging “Third World.” This article examines how these concepts were developed and debated in Egypt, a country that was at the forefront of postcolonial planning efforts internationally. To this end, the article examines the statistical construction of the “labor problem” and the way it shaped competing visions of economic development among national, colonial, and international actors. Using a variety of sources—including Egyptian government archives, documents from the British Foreign Office, and the International Labour Organization—the article contributes to the global history of development and quantification, and contributes to the scholarship on Nasserism in Egypt.
A thorough and detailed understanding of normal development in childhood provides a basis upon which we can build knowledge of children’s mental health difficulties. Development refers to expected patterns of change over time, beginning at conception and continuing throughout the lifespan. It is a lifelong process and encompasses different domains, including the physical, social, emotional, and cognitive.
Is the way my child plays with others suggestive of Autism? Could his bad dreams indicate anxiety? Does the fact she can’t sit through a whole film mean she has ADHD? Only with an in-depth knowledge of what is developmentally ‘normal’, can we begin to elicit whether behaviours that deviate from these norms might indicate disorder. This is the basis of the developmental psychopathology that underpins the practice of Child & Adolescent Psychiatry. What is considered ‘normal’ development involves a complex and continuous interplay between genetic and environmental (including sociocultural) factors. Despite some variation, there is a consistency and reliability of functioning in children that remains steadfast from generation to generation.
In this chapter we will consider areas including the milestones of development in early childhood; attachment theory, temperament and personality; theories of emotional, cognitive and social development; and development in adolescence.
Chapter 3 examines the evolution of caste and democracy.In doing so, it focuses on three aspects – the relationship between caste and electoral politics, the trajectory of caste-based reservations (affirmative action), and the link between development indicators and caste in the contemporary period. Though caste mobilization has indeed pluralized representative politics in India, substantial economic and social gains by the lower castes have been limited.
Examining an all-but-forgotten episode of large-scale protest at the 1970 annual meeting of the World Bank and International Monetary Fund in Copenhagen, Denmark, this article asks how officials at the World Bank understood and reacted to such protest. How did they characterise the protestors’ demands in the moment? Why and how did they feel the need to respond, and what strategies did they use to do so? And what does that response tell us about how officials at the World Bank understood about the relationship between development and social upheaval? Using heretofore unexamined institutional records, this article argues that already in 1970, World Bank officials were deeply concerned with public opinion about their institutions in both the developed and developing worlds—and therefore found themselves having to reckon with the riots that threatened to derail not just their meetings, but their mission.
Following from the overview of regional diversity in the previous chapter, Chapter 6 discusses economic development and political change in four Indian states in turn: Gujarat, Uttar Pradesh, Tamil Nadu, and Punjab.
This chapter will critically assess the role and the impact of corporate philanthropy in the UN development sector, with a specific focus on the activities of the UN Development Program (UNDP) as one of the most active UN bodies when it comes to private sector collaborations. In doing so, this contribution will first provide an overview of the evolution of corporate philanthropy in the UN system. This will be followed by exploration of different forms of corporate funding at the UN, including direct contributions to the organization; indirect contributions through the establishment of a charitable foundation; and public–private partnerships. The chapter will conclude with an assessment of the mechanisms that were put in place by the UN as a whole and the UNDP in particular to mitigate the reputational risks associated with the business sector cooperation.
The Nonet for Winds and Strings follows a four-movement “sonata cycle” design that had become standard in the Classical chamber music tradition by the 1840s: A sonata-form first movement in a fast tempo is followed by a slow movement and an upbeat Scherzo, then a sonata-form finale. Farrenc’s sonata forms demonstrate the influence of her teacher Anton Reicha, whose treatises provide a guide to the informed study of her works. Farrenc’s innovations include continuous development in these movements and colorful harmonic narratives that deviate from later “textbook” explanations of form. Her use of contrapuntal writing, learned variation techniques, and references to familiar pieces from the wind chamber repertoire (Septets by Beethoven and Hummel) demonstrate her compositional mastery. Throughout the Nonet, she writes expertly for the instruments and incorporates playful dialogue and brilliant-style writing for all nine players in every movement. The Nonet became her most popular work, in part, because it balances virtuosity with craftsmanship, and the fun interactions between friends within the ensemble create an atmosphere of learned play for listeners and performers alike.