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As a famous reformer of late Qing China, Zheng Guanying was the earliest advocate of representative and participatory political system in the 1870s, the earliest to call for commercial warfare against Western economic imperialism, and one of the earliest to seriously study international law and its relevance to China s national identity and foreign relations. He was also one of the earliest Chinese to emphasize the combination of Western medicine and Chinese medicine. Unlike most of his contemporary reformers, Zheng was not a foreign educated diplomat or scholar; rather, he was the only merchant among all well-known late Qing reformers and had never traveled to the West. He worked for foreign enterprises in Shanghai and managed and cofounded Chinese government-sponsored enterprises such the China Merchants Steamship Company, which still exists today. In addition, Zheng Guanying was a staunch believer and practitioner of the indigenous Chinese Daoism. Although his life, career, and thought was very much influenced by his home town, which is adjacent to Macao and Hong Kong, it was the urban culture as well as the educational and job opportunities of Shanghai (to which he migrated when he was sixteen years old) that were the driving forces behind his life.In fact, the originality and sophistication of Zheng s thought was closely related to his identity as a member of a new type of professional intellectuals arising in treaty ports since the 1870s. In this first critical study of Zheng Guanying s career, cultural milieu, political and economic thoughts, as well as his spirituality, Guo Wu steers us into examining Zheng Guanying as a hybrid product of the late Qing treaty port culture, professionalism, and tradition, and he illuminates the contribution that this Chinese merchant made in the social and political transformation of China into an urban, commercial environment. This book is also valuable because there is an even greater dearth of research on the cultural environment of Zheng and his spirituality. First, he was a comprador merchant by profession and not a leader of political and intellectual movement, although it was the latter position that drew attention to him in past decades. Second, he was a committed modernizer but also avid practitioner of Daoism, which was then dismissed by researchers as conservative and superstitious. Third, he was more a moderate reformist than a political radical. In addition, the book covers the urbanization of China and the urban cultural space. It also reveals how Zheng s migration and sojourning between Guangdong and Shanghai shaped the formation of his reformist ideas in response to China s late-nineteenth century national crisis as well as how he upheld Daoism as his fundamental ideology to maintain national identity and pursue self-salvation. This book also examines the rise of late Qing Chinese print capitalism in Shanghai as well as the relationship between the Western founders, the Chinese editors, and Chinese contributors (which also involved Zheng because he was a representative). The author argues that late Qing Chinese intellectuals appropriated Western-founded Chinese language print media to articulate their own concerns about China s progress and reform. In addition, the book looks into the personal network of Zheng Guanying, specifically his relationships with other like-minded bureaucrats, journalists, and reformers. This comprehensive study of such a critical figure in China s political and social history is an important book for all collections in Chinese studies.
"This book covers Egyptian history from the Predynastic to the late Roman Period. It also introduces early contemporary literary references to ancient Egypt and uses a number of theoretical approaches to interrogate the archaeological and textual data. The book engages with wider trends from the humanities, which have found currency in archaeological studies, such as materiality, performativity, corporeality, embodiment, identity, and popular culture studies. Egyptian material is explored via these themes, to create nuanced and contextual interpretations of particular sites, events, artefacts and practices. It makes an important contribution to furthering the fields of Egyptology and Egyptian archaeology, as well as in the wider context of archaeological theory."--Provided by publisher.
Reassessing key intellectual and cultural traditions using an interdisciplinary approach, this book examines the legacy of the Baroque, the dynastic past in visual culture and the concurrence of different artistic styles in Germany during the eighteenth century, such as the Italianate, Francophile and Anglophile within the courtly sphere. The following arenas of enquiry represent organizing strands; courtly society and employment practices; court and artist, and print culture. The study addresses how elite patronage and Princely taste impacted the social formation of artistic culture at courts in northern and central Germany, Austria, and England. Contributions drawn from a variety of disciplinary perspectives in the arts and fine arts including visual culture, philosophy and comparative literature discuss the volume's theme in a series of focused case studies by experts in these distinctive fields. As such, the volume fills an important gap in English language scholarship on courtly Germany and Austria. Although previous publications have addressed patronage in the eighteenth-century Austro-German context, major questions relating to artistic influence, changing contexts of viewing and the employment of itinerant musicians and artists in eighteenth-century German courts still remain unaddressed. To address this, the book offers an interdisciplinary perspective, and gathers its conclusions from the interrelated fields of philosophy, visual culture, literature and print culture. Through its specific case-focused approach, the volume makes a departure from prior scholarship by identifying these as mutually exclusive fields. Topics discussed include discourses of luxury and sumptuary excess, changing contexts of viewing, the advent of universal collections, and the lure of the classical past. In literature, patron-author relationships were informed by contemporary ideas of 'genius' together with the reality of changing readerships. Connecting artistic forms to social formation in particular, case studies address the transmission of taste through aristocratic family networks, the creation of new audiences for art through print culture, and the permeation of courtly values into bourgeois cultural forms during the late eighteenth century. The book is aimed at a wide interdisciplinary audience, (history, philosophy, European studies, art history and comparative literature) and will also be of interest to specialist scholars, graduate students, and academic libraries.
The book Shakespeare s Sonnets (1609) contains a famous major section which editors and other scholars long ago dubbed the Rival Poet sequence. In these poems, Shakespeare speaks anxiously of another pastoral sonneteer who is competing with him for the love of his male addressee. Some authorities have held the view that Shakespeare is not the autobiographical I of his sonnets, and therefore that this rival poet and the male beloved of both were not real people either. Other authorities have argued that these three may have been real, but that it does not matter to us now as readers as the question is of little or no critical importance. However, most authorities over the years have believed that they were indeed real people in the real world and that it is important who they were simply because one of them was Shakespeare. The trend in recent scholarly work has been toward establishing a reliable historical grounding for all works of art including poems in cases where such a ground has not been adequately established. Shakespeare s Sonnets is such a case and is perhaps the most famous one in Western culture. This book provides the best evidence yet brought forward for that grounding. Many other books and articles have taken the position that real historical persons are represented in Shakespeare s Sonnets and have attempted to identify them. But no previous study has considered the large amount of new evidence presented here (some of it historical and some of it textual), and none has made a logical case as powerful and persuasive regarding these identifications as the one constructed here. This book is the first to argue that the Rival Poet of Shakespeare s Sonnets is the well-known young Elizabethan writer Richard Barnfield (1574 1620), long suspected to have been one of Shakespeare s private friends (as they were termed by Francis Meres in 1598), with whom (as Meres also tells us) Shakespeare shared some of his sonnets. This is also the first book to argue that William Stanley (1561 1642), sixth earl of Derby, is the young man to whom they addressed their respective sonnets and other love poems in the period c. 1592 1595. In making these identifications, this is the first book to examine in detail the dialogue between Shakespeare s Sonnets and three of Barnfield s books of poetry (all published within a little more than one year) a dialogue only known to be discussed in a conference paper and one other book. William Shakespeare, Richard Barnfield, and the Sixth Earl of Derby will likely appeal to all readers interested in Shakespeare s life and love poetry, both specialist scholars and non-specialist enthusiasts alike.
This book presents thirteen essays that address the numerous ways in which Australian literature is postcolonial and can be read using postcolonial reading strategies. The collection addresses a wide variety of Australian texts produced from the colonial period to the present, including works by Henry Lawson, Miles Franklin, Patrick White, Xavier Herbert, David Malouf, Peter Carey, Rodney Hall, Andrew McGahan, Elizabeth Jolley, Judith Wright, Kate Grenville, Janette Turner Hospital, Melissa Lucashenko, Kim Scott, and Alexis Wright. The chapters focus on works by Indigenous authors and writers of European descent, and examine specifically postcolonial issues, including hybridity, first contact, resistance, appropriation, race relations, language usage, indigeneity, immigration/invasion, land rights and ownership, national identity, marginalization, mapping, naming, mimicry, the role of historical narratives, settler guilt and denial, and anxieties regarding belonging. The essays emphasize the postcolonial nature of Australian literature and utilize postcolonial theory to analyze Australian texts. This is an important book for all literature and Australasian collections. The collection is primarily aimed at students, teachers and scholars of Australian and postcolonial literature, including undergraduate and postgraduate students, faculty who teach courses in Australian and postcolonial literature, and scholars who conduct research on Australian and postcolonial literature. The book will be useful for courses on both Australian literature and postcolonial literature, especially postcolonial courses that include Australian texts. The collection includes contributions addressing the work of many internationally recognized leading contemporary Australian novelists, providing the collection with broad appeal to students and scholars around the world with an interest in prominent, award-wining authors and works.
ord Ferdinando Stanley was the fifth earl of Derby, a leading claimant to the throne. Considered a man who had everything, he was also the patron of the company of players which was fortunate enough to include William Shakespeare. At the time, Shakespeare was an up-and-coming junior member who had just begun to write plays for them--plays which were already the talk of London. Lord Stanley was incalculably rich, having married one of the wealthiest heiresses in England. His home in Lancashire was called the "Northern Court" because of its grandness, surpassing any in England but (perhaps) the Queen's own. Then one day, April Fool's Day, 1594, he was reportedly approached by a witch (one of the famous legion of "Lancashire witches") and they engaged in brief conversation while strolling outside his largest palace, Lathom Hall. Four days later, he fell violently ill. For twelve days he lingered, while four of the best doctors in the country, including the famous Dr. John Case of Oxford, labored in vain to save him. Two of his retainers wrote gruesomely detailed accounts of the progress of his "diseases"--accounts that survive in manuscript today. When he died, Dr. Case was heard to murmur (as reported by Sir George Carey, the earl's brother-in-law): "Flat poisoning. And none other but." For months after his passing and interment, no one could get close enough to the family crypt to pay his or her respects because of an overwhelming stench that continued to emanate from his body. Who killed him and why? Historians started debating that question almost as soon as he died, and outraged gossip was to be heard everywhere in England. This book studies the death of Lord Derby within the immediate contexts of Elizabethan power politics, succession mania, passionate religious controversy, the records of prominent families in the North, and the cult of personality just then beginning to become a major factor in the nation's social history. The book's scope also includes subcultural contexts such as Elizabethan poetry (Lord Derby was a pastoral love poet, some of whose work survives), witchcraft, medicine, spy networks, and both approved and disapproved methods of political assassination (with poison being the most frowned upon because of its disreputable "Italianate" connotations). This book is the first to survey and analyze the nearly 420-year-old documentary record relating to the death of Lord Derby, including all relevant original manuscripts, some of which have remained unprinted until now. This is the first study to piece together all these fragmentary, disparate scraps of information to form a coherent narrative--a story not just of the assassination of one of the most prominent persons of the fascinating "Age of Elizabeth" but also of European power politics as a whole during the last decade of the sixteenth century. It is also the first to offer a solution to the "murder mystery" that is based on original documents (most of them being heated back-and-forth letters written on the spot to and from the principals, both immediately before and immediately after the assassination). This book will be of interest to all readers interested in Elizabethan history, literature, and politics, perhaps especially those who are interested in the dazzling major players of the age: Elizabeth, Essex, Lord Burghley, his son and successor Sir Robert Cecil, and the Stanleys of Lancashire--the latter so prominent in the early history plays of the young Shakespeare, who spun those plays in order to flatter his Stanley patrons.
Folk tales of Burma (now known as Myanmar) have been preserved for centuries as part of a long folk tradition reflecting Burmese humor, romance, and wisdom. This book provides the first in-depth overview of the narrative structures in Burmese folk tales. Earlier studies of Burmese folk tales have focused on the narrative motifs or contents and the ethnic or geographical areas, but have left out the study of the structural patterns that make up the storylines in different types of tales. Much of the literature on tales is based on the narrative motifs or contents of the stories (e.g., animal tales, fairy tales, etc.), and such thematic categorizations, on the basis of a tale s subject matter or content, can lead to some problems due to the inconsistency in the choice of criterion. It can be argued that the theme of an animal tale can be the same as that of a fairy tale, and that animals can be taking the narrative roles in a wonder tale. This study, therefore, focuses on narrative structures and sets out to identify the different structural patterns in the folk tales of Burma. Through a clear analysis and examples of various types of tales, this study shows how the story structure can be an alternative criterion in categorizing tales, as well as a means of gaining insight into the cultural determination of the narrative motifs or contents within possibly transcultural forms. The discussion of the structural study of tales is done with consideration of Vladimir Propp s analysis of Russian folk tales in his book Morphology of the Folk Tale. Propp claimed that all tales had an identical sequence of functions or functional events and the same basic structure, despite their differences in the dramatis personae. In this book, besides identifying the functional events in Burmese folk tales, how these events are linked into various plot structures resulting in different types of tales is examined. The functional events identified in the tales are classified into different models, such as reward/punishment, interdiction/violation, problem/solution, trickster tales, and fairy tales. The degree of linearity in terms of the temporal and/or causal relations between functional events of a tale is also examined. Drawing on the concept of sequential meaning, this study aims to explain how a linear coherent storyline is developed for a well-organized narrative structure, even though the sequence of events in a tale may not be identical to that of the other. In cases where a sequence of events does not follow a familiar trajectory, the analysis in this book explains how special effects, such as humor, are created. The possibilities of using a structural analysis of folk tales as a means of understanding the commonalities as well as the uniqueness in the structural patterns, narrative contents, and social purposes of folk tales from different cultures are also explored in this book. A comparison between the two prominent structural patterns identified in the analysis of Burmese folk tales and those proposed by the studies of folk tales from other cultures shows how tales with similar social purposes (e.g., a didactic moral purpose) contain similar structural patterns (e.g., a contrastive narrative structure). It suggests that certain structural patterns are used commonly (if not universally) by various cultures for similar social purpose of storytelling, while the narrative contents (e.g., elements taking up the narrative roles) will remain culture-specific. This observation points to several interesting issues, such as the (im)possibilities of finding a universal grammar of folk tales and the viability of claims about commonalities among folk tales. This book contributes not only to the appreciation of Burmese folk tales and the Burmese culture, but it also aids in the understanding of the relationship between the form (narrative structure), function (social purpose), and field (narrative content) of folk tales with oral storytelling in general. It also highlights a structural analysis of folk tales as a means, rather than an end, by identifying the areas in which further research can be done. Narrative Structures in Burmese Folk Tales is an important and useful reference for anyone working in the fields of narrative studies, classification of tales, folklore, and oral storytelling.
In this book, Ana Lucia Araujo argues that despite the rupture provoked by the Atlantic slave trade, the Atlantic Ocean was never a physical barrier that prevented the exchanges between the two sides; it was instead a corridor that allowed the production of continuous relations. Araujo shows that the memorialization of slavery in Brazil and Benin was not only the result of survivals from the period of the Atlantic slave trade but also the outcome of a transnational movement that was accompanied by the continuous intervention of institutions and individuals who promoted the relations between Brazil and Benin. Araujo insists that the circulation of images was, and still is, crucial to the development of reciprocal cultural, religious, and economic exchanges and to defining what is African in Brazil and what is Brazilian in Africa. In this context, the South Atlantic is conceived as a large zone in which the populations of African descent undertake exchanges and modulate identities, a zone where the European and the Amerindian identities were also appropriated in order to build its own nature. This book shows that the public memory of slavery and the Atlantic slave trade in the South Atlantic is plural; it is conveyed not only by the descendants of the victims but also by the descendants of perpetrators. Although the slave past is a critical issue in societies that largely relied on slave labor and where the heritage of slavery is still present, the memories of this past remain very often restricted to the private space. This book shows how in Brazil and Benin social actors appropriated the slave past to build new identities, fight against social injustice, and in some cases obtain political prestige. The book illuminates how the public memory of slavery in Brazil and Benin contributes to the rise of the South Atlantic as an autonomous zone of claim for recognition for those peoples and cultures that were cruelly broken, dispersed, and depreciated by the Atlantic slave trade. Public Memory of Slavery is an important book for collections in slavery studies, memory studies, Brazilian and Latin American studies, ethnic studies, cultural anthropology, African studies and African Diaspora. Araujo sheds light on the paradoxical understandings of the slave trade in southern Benin and the unintended results of some international efforts to recognise the history of slavery and the slave trade. [...] makes a useful addition to the literature because the reader is only reminded how much Africans and descen- dants of Africans have shaped this vast Atlantic world territory through divergent processes of exchange and recreation, occurring both within and beyond the gaze of Western dis- course. (Itinerario, November 2011) The book is broad ranging and provides an introduction to numerous subjects (...) Recommended. (Choice, June 2011)
"Many citizens, politicians, and pundits routinely complain about the health of the political system, but few attempt a systematic diagnosis and even fewer recommend treatments. In this highly readable book, Anthony Gierzynski identifies many of the shortcomings in U.S. politics and offers some provocative prescriptions to address them." - Paul S. Herrnson, University of Maryland "For those anxious about the health of American democracy, they can do no better than read Gierzynski's book, which offers a sane and informed approach to making our political institutions work better. And like a good doctor, Gierzynski wisely avoids recommending many of the conventional remedies that might do more harm than good." - Ray La Raja, University of Massachusetts "Unlike myopic specialists who are prone to treat only a specific part of the body, Dr. Gierzynski offers scholars, students, and laymen a holistic and rich understanding of what ails us and what we can do to make things better. This is a readable and important book for anyone who cares about the health of our democracy." - David T. Z. Mindich, Saint Michael's College
The Business Research Consortium (BRC) of Western New York was founded in 2006. The BRC hosts an annual conference and publishes the proceedings from this conference. The BRC also publishes five journals (including The BRC Journal of Advances in Education) to support pioneering research in business and education. In addition, the BRC hosts a working papers series to encourage collaboration in research across member colleges and schools of business. The BRC Board of Directors consists of one representative from each college or school that hosts the annual conference. For more information on the BRC, please visit its Web site at http://www.businessresearchconsortium.org (Online) ISSN 2152-8667 (Print) ISSN 2152-8616
The Business Research Consortium (BRC) of Western New York was founded in 2006. The BRC hosts an annual conference and publishes the proceedings from this conference. The BRC also publishes five journals (including The BRC Journal of Advances in Education) to support pioneering research in business and education. In addition, the BRC hosts a working papers series to encourage collaboration in research across member colleges and schools of business. The BRC Board of Directors consists of one representative from each college or school that hosts the annual conference. For more information on the BRC, please visit its Web site at http://www.businessresearchconsortium.org(Online) ISSN 2152-8829(Print) ISSN 2152-8810
The Business Research Consortium (BRC) of Western New York was founded in 2006. The BRC hosts an annual conference and publishes the proceedings from this conference. The BRC also publishes five journals (including The BRC Journal of Advances in Education) to support pioneering research in business and education. In addition, the BRC hosts a working papers series to encourage collaboration in research across member colleges and schools of business. The BRC Board of Directors consists of one representative from each college or school that hosts the annual conference. For more information on the BRC, please visit its Web site at http://www.businessresearchconsortium.org (Online) ISSN 2152-8780 (Print) ISSN 2152-8756
The Business Research Consortium (BRC) of Western New York was founded in 2006. The BRC hosts an annual conference and publishes the proceedings from this conference. The BRC also publishes five journals to support pioneering research in business and education. In addition, the BRC hosts a working papers series to encourage collaboration in research across member colleges and schools of business. The BRC Board of Directors consists of one representative from each college or school that hosts the annual conference. For more information on the BRC, please visit its Web site at http://www.businessresearchconsortium.org
Emerging African Voices is an excellent compendium of literary scholarship offering an assessment of the literary endeavors of the latest generation of select African writers. There exists an abundance of deft scholarship and critical analyses, even in the most recent publications by African and Western theorists, of the works of recognized African authors. However, it is sometimes difficult to access a variety of criticism for some more recent writers, those born just before, at, or just after the independence of many African nations. It seems that either almost all of the recent monographs continue to focus almost entirely on the well-established writers or they focus on one newer writer exclusively. This volume offers insightful general analysis and critical evaluation of new writers' works in order to showcase their contributions to the body of African literature. It examines nine contemporary writers whose works (written almost entirely in the colonial languages of English and French) in some way update and refocus African literature for the new century. The writers whose works are under discussion tackle some of the long-standing difficulties of the colonial project-assimilation, Manicheanism, and othering-in new ways while exposing the challenges and dysfunctions of a locale affected by globalization. During the last 60 years, African literature has been dynamically shaped by African history, especially the colonial exploits of Western nations. A clear and irrefutable raison d'être for this volume is to probe the aims and intentions of these new voices. Seven chapters are devoted to writers of Nigerian descent with the balance dedicated to writers from Senegal and South Africa. Because of the multiplicity of experiences in their geographic locations in Africa and across the Diaspora as well as their encounters and capabilities related to their place in the contemporary world, these writers continue to break new ground in African literature. Their work reflects the times and places where they live and interact, and it is for this reason that their work will permanently occupy at key place in the evolution of African literature here at the beginning of a new century almost fifty years after independence.
Given the dearth of training in archival research, the editors envisioned a book that addresses the "how to" of archival research by involving the perspective of archivists. The editors identified chapter authors who demonstrate in their research-oriented essays how archival research influences and improves empirical political science research. They weave their scholarly contributions together with their practical experiences and "boots on the ground" advice to ease readers toward their first foray into the archives. Because archives were largely abandoned by political scientists in the 1950s, archivists' understanding of their collections and their archival practices is heavily influenced by the habits and methodological concerns of historians. The essays in this volume help archivists better understand the somewhat unique perspectives and habits political scientists bring to archival collections. This volume challenges archivists to think "outside the box" of the conventions of history and reconsider their collections from the perspective of the political scientist. This first-of-its-kind book-traversing political science and library and information science-challenges political scientists' reliance on "easy data" promising in return "better data." The editors propose that the archival record is replete with data that are often superior to current, available public data, both quantitative and qualitative. Substantive chapters in Doing Archival Research in Political Science illustrate how archival data improve understanding across the array of subfields in American politics. It also challenges archivists to rethink their collections through the prism of political science. Doing Archival Research in Political Science holds tremendous cross-disciplinary appeal. Students and faculty in political science are exposed to a fertile but underutilized source of empirical data. Political scientists will benefit from the methodological perspectives, the practical advice about doing archival work, and the concrete examples of archives-based research across the subfields in American politics (e.g., congressional studies, presidential studies, public opinion, national security, interest groups, and public policy). Students and faculty in library and archival studies will benefit greatly from the candid discussion of the unique theoretical and methodological concerns inherent in political science, improving their ability to reach out and promote their collections to political scientists. Examples of archives-based political science research will help library faculty better understand how their collections are being utilized by users.
"While there is much discussion on Africa-China relations, the focus tends to lean more on the Chinese presence in Africa than on the African presence in China. This book focuses on analyzing this new Diaspora and is the first book-length study of the process of Africans travelling to China and forming communities there. Based on innovative intermingling of qualitative and quantitative research methods involving prolonged interaction with approximately 800 Africans across six main Chinese cities--Guangzhou, Yiwu, Shanghai, Beijing, Hong Kong and Macau--sociolinguistic and sociocultural profiles are constructed to depict the everyday life of Africans in China. The study provides insights into understanding issues such as why Africans go to China, what they do there, how they communicate with their Chinese hosts, what opportunities and problems they encounter in their China sojourn, and how they are received by the Chinese state. Beyond these methodological and empirical contributions, the book also makes a theoretical contribution by proposing a crosscultural bridge theory of migrant-indigene relations, arguing that Africans in China act as sociopolitical, socioeconomic, and sociocultural bridges linking Africa to China. This approach to the analysis of Diaspora communities has consequences for crosscultural and crosslinguistic studies in an era of globalization."--Publisher's description.
In the United States alone, burns are the third leading cause of death among children 0 to 14 years of age. In addition, each year greater than 125,000 children suffer serious burn injuries, with a disturbing percentage of those through abuse. Yet the number of specialized burn centers in the U.S. is not near enough to be in proximity or even accessible to the majority of these patients. The situation is even worse in most other regions of the world. Therefore, it is critical that the information in this book reaches as many caregivers as possible because treatment of burn injuries has undergone dramatic changes over time in every area, from surgical procedures to respiratory and fluid resuscitation and even nourishment and metabolic support. The ability to recognize and react appropriately to pediatric injury can greatly affect the outcome and prognosis, up to and including the patient's future quality of life. It is in this context that this comprehensive guide for the diagnosis, treatment and follow up of the burned child from Time Zero through Long-term Rehabilitation was put together. This book is essential for the medical professional involved in attaining the most positive outcome possible for their patients and their families.
The Business Research Consortium (BRC) of Western New York was founded in 2006. The BRC hosts an annual conference and publishes the proceedings from this conference. The BRC also publishes five journals to support pioneering research in business and education. In addition, the BRC hosts a working papers series to encourage collaboration in research across member colleges and schools of business. The BRC Board of Directors consists of one representative from each college or school that hosts the annual conference. For more information on the BRC, please visit its Web site at http://www.businessresearchconsortium.org
There exists a plethora of literature on the relationship between early Christianity and Judaism, but these studies focus on one or two issues. In the tradition of James Parkes, whose1930 study of the break between the Church and the Synagogue remains a classic, this book takes on the larger relationship and shows how the separation evolved over time. Rather than pinpointing a specific date for the break, the study broadens the context and looks at the wider issues, showing that separation took several centuries. In the wake of the Holocaust and in seeking to understand how the relationship between Judaism and Christianity deteriorated over the course of two millennia, this book examines the origins of the conflict. In seeking to cast new light on the separation of early Christianity from Judaism, a number of documented areas that are often treated separately by authors have been examined in order to uncover evidence for the separation. The book covers an enormous amount of material on the relationship between early Christianity and Judaism, but presents this in a highly accessible manner, clearly showing how the separation between the two emerged over time. It also reveals the ways they continued to be related. The author pinpoints two pervasive issues that impelled the separation: the relationship of the early church to Jewish law and the increasing divinization of Jesus.
In Shakespeare and the Dawn of Modern Science, renowned astronomy expert Peter Usher expands upon his allegorical interpretation of Hamlet and analyzes four more plays, Love's Labour's Lost, Cymbeline, The Merchant of Venice, and The Winter's Tale. With painstaking thoroughness, he dissects the plays and reveals that, contrary to current belief, Shakespeare was well aware of the scientific revolutions of his time. Moreover, Shakespeare imbeds in the allegorical subtext information on the appearances of the Sun, Moon, planets, and stars that he could not have known without telescopic aid, yet these plays appeared coeval with or prior to the commonly accepted date of 1610 for the invention and first use of the astronomical telescope. Dr. Usher argues that an early telescope, the so-called perspective glass, was the likely means for the acquisition of these data. This device was invented by the mathematician Leonard Digges, whose grandson of the same name contributed poems to the First and Second Folio editions of Shakespeare's plays. Shakespeare and the Dawn of Modern Science is an important addition to literature, history, and science collections as well as to personal libraries.
America's first Green president, Theodore Roosevelt's credentials as both naturalist and writer are as impressive as they are deep, emblematic of the twenty-sixth President's unprecedented breadth and energy. While Roosevelt authored policies that grew the public domain by a remarkable 230 million acres, he likewise penned over thirty-five books and an estimated 150,000 letters, many concerning the natural world. In between drafts both personal and political, scientific and sentimental, he quadrupled existing forest reserves while creating the nation's first fifty wildlife refuges and eighteen national monuments, among them the Grand Canyon, and five national parks, headlined by Yosemite. And Roosevelt was far more than a policy wonk and political do-gooder. John Muir, by his own admission, "fairly fell in love with him." John Burroughs wrote that Roosevelt "probably knew tenfold more natural history than all the presidents who preceded him." And the Smithsonian's Edmund Heller dubbed him the "foremost field naturalist of our time." In addition to creating more than 150,000 new acres of national forest, Roosevelt made a new vogue of sportsmanship, famously refusing to shoot a lame bear in Mississippi and inspiring, thereof, an American icon and ecological fetish all at once: the Teddy Bear. Indeed, Roosevelt's Green undertakings produced a truly living legacy-one whose everlasting qualities he took robust pleasure in. Naturalist William Finley once suggested to TR that the President's environmental prescience would serve as "one of the greatest memorials to [his] farsightedness," to which Roosevelt replied, "Bully. I had rather have it than a hundred stone monuments." In fact, Roosevelt would have both-a lasting reputation for environmental protection and timeless stone monuments at Mount Rushmore and elsewhere built to honor his dramatic public policy initiatives. This book will be a critical resource for all those in American history (particularly presidential history), environmental history, environmental studies, nature studies, place studies, Agrarian studies, conservation studies, fish and wildlife biology/management, and ecology.
The focus of this book is on functional seating, and the key argument presented is that functional seating needs to assist the person using it for the performance of seated tasks, enhance rather than detract from the person's posture and health, and it needs to provide aesthetic features that do not limit task or health. The book spans the period 3000BC to 2000AD and presents largely Western seating. This book is unique in its approach to seating because it draws together evidence that relates to seating that facilitates health and task while also addressing aesthetic factors. This evidence creates an understanding of how seats may be designed to not only promote bodily health but also allow functional optimisation of sitting and seating. This book is important to furniture and industrial designers, interior decorators, architects, those teaching seat design, health professionals attending and educating those who relax or work in the seated position, furniture historians, and members of the general public interested in the history of seating.
Sustainable agricultural development has become one of the most popular research topics globally in the recent decades. Its primary goal is to develop farming systems that simultaneously promote three key areas (farm profits, agro-ecosystems, and local communities) and to consider trade-offs among them. This alternative perspective has challenged the core values of economic growth as well as the domination of nature in conventional agriculture. As sustainable agricultural development has increasingly become an international trend in recent years, a focus on the analysis and management of its practical dimensions is imperative. This book will examine these dimensions in the context of Chinese ecological agriculture. Seeking out ways to achieve agricultural sustainability is now a focus point for agricultural researchers, government leaders, and policy makers, and it has been given top priority status on the research and policy agendas of most countries. The current ecological agricultural development in China is the result of a long-term planning system and the outcome of a number of market principles that have been introduced in the last three decades. There is an immediate need to carry out an extensive study of the present status of ecological agriculture to sustain its further development, especially the multidisciplinary documentation and diagnosis of the strengths and weaknesses of China s development strategy for ecological agriculture. In the past, analyses were predominantly based on isolated disciplinary approaches. It is now necessary to bridge the areas of biology, ecology, sociology, and economics for a trans-disciplinary ecological economics perspective in order to identify the advantages and disadvantages of ecological agriculture. Ecological agriculture can be regarded as an attempt to realize sustainability in a dynamic agricultural context. In operationalising the concept of sustainable development in agriculture, problems arise because different frameworks of analysis and different methods of assessment are employed in research and practice. In many cases, the sustainability debate has not provided any clear indications about how to modify current agricultural development towards sustainable outcomes. One of the main reasons for the existence of the gap between the rhetoric and the practice of agricultural sustainability is the conflict between the need for implementing long-term research (which is particularly important in an ecological-economic integrated context) and the constraints posed by short-term research funding and methodological difficulties. The current overall perception of the problem is replete with ambiguities and is too constrained by discipline boundaries. This thus calls for a conceptual shift, which recognizes that economic, ecological, and social issues are inextricably linked and therefore must be considered together. In contrast to past research that focused only on better descriptions and analyses, the main task of ecological agricultural research is to further improve its practice as a sustainable system. In other words, it is inevitably faced with the challenge of balancing costs and benefits between contemporary and future generations to justify policy actions toward sustainability, thereby requiring the research to be of a problem-oriented nature. Ecological economics emphasizes the two-way interdependencies between the micro and macro levels. Although the questions about ecological agricultural research arise from the local level, their answers may lie at higher levels within the realm of political economy. Therefore, it requires substantial research not only on the links between local production systems and the larger national economy, political structures, and decision-making processes, but also the role and limitations of the national and local authorities in policy development and implementation. There is also scant research on Chinese ecological agriculture published in English. This book helps fill the void. It employs a trans-disciplinary approach to investigate the connection and discrepancy between knowledge and actions. It presents methodological perspectives and practical suggestions for the comprehensive analysis of ecological agriculture as inputs to improved agricultural policy-making for sustainability practices. In this way, this book illuminates the possibility of bridging the gap between local level implementation and the larger political-economic processes. This book helpfully provides a comprehensive analytical framework within which agricultural sustainability can be better analyzed and understood by articulating ecological economics as a policy science to guarantee transparency and fairness in the decision-making process . It shows the important role that traditional culture can play in promoting ecologically and socially sound development. It further emphasizes the imperative to move the ideology of ecological agriculture into the political realm and promotes a continuous dialogue between researchers, practitioners, and policy makers. It also suggests that local government has a significant role to play in establishing appropriate institutional arrangements and policy settings (e.g., bottom-up policy initiatives) for sustainable ecological agricultural development. By elaborating on the methodological synthesis of ecological economics and system dynamics modeling as a holistic approach to facilitate an improved policy-making process for agricultural sustainability, this book demonstrates the effectiveness of this alternative approach to improve policy making process and facilitate the realization of sustainability through a case study in China. This book will be an important resource not only to those interested in China, but also to scholars and policy makers around the world because of its global relevance in the areas of ecological economics, ecological agriculture, sustainable resource management, political economy, system dynamics thinking and modeling, and participation in the policy-making process.
U.S. farm bills are home to the nation s primary policies for agriculture, land use, and conservation. Although often outside the public spotlight, many of these policies are crucial to how land and food are managed in this country from food stamp programs for low-income households to environmental conservation for natural resources to the often controversial commodity subsidy programs to support farmers. Every five to seven years when the farm bill comes up for reauthorization, policymakers, interest groups, and the public spend months and often years advocating, questioning, and debating farm bill provisions. Typically when the new farm bill emerges, it appears expanded and adjusted, but rarely radically reformed. Early in debates over the 2008 farm bill, however, this norm of incremental policy change seemed to be cracking. International trade proposals, budget constraints, and new tides of public opinion brought proposals to the table for drastically reforming commodity subsidies. But as the situational and cultural context surrounding farm bill debates changed, so too did prospects for farm bill reform. In the end, influenced by an emerging focus on biofuels and discourses of national security, the 2008 farm bill settled back into a more typical incremental policy trajectory. Despite its ultimate conformity to the norms of incremental policymaking, the 2008 farm bill s flirtation with radical policy reform makes it an interesting empirical case for studying processes of policy change and stability. Following the trajectory of the 2008 farm bill debates as it unfolded provides an opportunity to examine those factors political, economic, cultural and otherwise that typically combine to facilitate or forestall policy change. In this case, biofuels became a prominent driving force in debates in part because they helped policymakers sidestep earlier controversies over more radical farm bill reform. Alongside a decline in trade pressure to reform subsidies, increased biofuels production raised crop prices, alleviated budgetary pressures, and inspired support for commodity production in the name of national security. Examining the gains and misses for conservation in the 2008 farm bill also sheds light on agricultural sustainability prospects embedded in farm policy. In this case, the emphasis on biofuels during farm bill debates both threatened conservation with the prospect of large-scale corn ethanol production, and also shifted public focus away from reforms that might have improved agriculture s environmental and social footprint. At the same time, the 2008 farm bill did introduce some new prospects for environmentally- and socially-sustainable agricultural policies in the longer term. In examining the reasons for the 2008 farm bill s approach to and then retreat from rapid policy change, Nadine Lehrer guides us through ideological conflicts over world trade, renewable energy, and sustainable agriculture as embedded in U.S. farm policy debates. This book locates these debates within the historical context of farm bills over time, providing a concise history of agricultural policy dynamics as they relate to current issues. The book also integrates complementary theoretical perspectives from the policy change and social movement literatures, and in particular makes a case for incorporating discourse analysis into studies of policy change and policy stability. Integrating theory and history with a multidisciplinary perspective on changing situational drivers, interest group struggles, and Congressional politics, Lehrer uses the farm bill as an illustrative case for illuminating U.S. political processes and implications. This is an important work for students and scholars of the U.S. political system, especially those focused on agricultural policy, sustainability and environmental conservation, theory and methods of policy analysis, and the intersections of policy and culture.
The sex goddess's seemingly endless power to influence and fascinate, to achieve in a sense her own self-reproduction through many decades of "re-makeovers" reveals her positioning in American culture as not only a lasting image but also as a potentially powerful and subversive force. The sex goddess is often thought by feminist film theorists to be little more than a projection of the male imaginary. However, this book makes a necessary correction to this trend by demonstrating how the actresses performing the role of sex goddess in fact use the feminine imaginary to create their own agency. Through their performance of "hyper" femininity, and with their seductive power, they exert control not only over their filmic narrative "targets of seduction" but their viewers as well. The ability to hold their objects of seduction in such thrall suggests that the image of the sex goddess possesses a power far more subversive than what has been previously explored; in fact, to date there has not yet been a critical study of the sex goddess in film. Cinema becomes a place where the sex goddess's designation as sex itself can further suggest her bodily signification as a whole discourse on sex outside of her cinematic representation, thus loading her body to be read almost entirely in terms of sex and its corresponding contemporary social thought. During the period of Classical Hollywood Cinema, the construct of the sex goddess warrants especial attention because of what this study can reveal in broad terms about cultural ideas of feminine sexuality, American cinema, and visual culture. In the first critical study of the sex goddess in film, Jessica Hope Jordan illustrates how Jean Harlow uses her sexualized body to "affect" and seduce viewers away from any primary identification with those characters and their plotlines that are supposed to lead the film, to identifying instead with the kind of sexual empowerment and self-possession her characters consistently display. Linking the idea of sexual empowerment to the filmic and public celebration of hyper-feminine sexuality, the book additionally covers previous feminist discussions of Mae West's performances as "feminist camp" to argue that West sought to both celebrate and embody for women viewers what she viewed as cultural ideals of femininity and women's sexuality. With Lana Turner and the "cinematic code," the book considers the many problems inherent in both the filmic and public celebration of hyper-feminine sexuality in relation to censorship and considers the effects of the Hays Code on hyper-feminine sexuality as depicted in film noir. The book also importantly presents the first critical discussion of the actress Jayne Mansfield, suggesting that her 1950s open acceptance, celebration, and public promotion of her feminine sexuality, both onscreen and off, makes her not only a precursor of the more sexually liberated 60s, but also, like the other actresses discussed here, a kind of prescient performance artist, even theorist, of feminine sexuality in particular, and cultural ideas about sexuality more generally. Beyond recouping her image as feminist, the book demonstrates how the kind of desire aroused by the sex goddess, a desire which remains endlessly suspended, works as a supreme example of the aesthetic apparatus of cinema itself. This is an important book for inclusion in all film, film history, film theory, gender and sexuality studies, women's studies, and American studies collections.
When noted rapper Eminem commanded his audience's attention in his 2000 megahit release "The Real Slim Shady" and queried in the lyrics, "Will the real Slim Shady please stand up?", the authors took the question seriously and began to search for the "real slim shady" among the fabric of contemporary capitalism. The result of this research is this book, which explores how a dominant culture incorporates some dimensions of a subculture--in this case hip hop--and uses it to perpetuate dimensions of social stratification within a society. Essentially, this book critically examines how the values of a dominant culture and the controlling images it reproduces, impact issues of racial diversity, class distinctions, and gender stereotypes. Authors Dave Ramsaran and Simona Hill are two sociologists who have sought to understand the contradictory nature of contemporary social phenomenon. Hip hop that is brought into the mainstream by contemporary media serves several purposes. First, it greatly enhances corporate profits. Second, it repackages old dimensions of inequality, including racial stereotyping and the sexist contempt for women. Third, the glorification of violence, the idealization of excessive consumption, and the promotion of hypersexual black masculinity serve to reinforce the privilege of dominant groups. Hip hop that challenges these stereotypes and cultural notions is pushed into the underground. The intent of the book is to uncover this process of moving from cultural questioning to cultural appropriation and reinforcement of structural inequality. Despite the existence of other works on hip hop in fields such as ethnomusicology, anthropology, political science, communications studies and Black Studies, there is a dearth in the contributions from a sociological perspective. Studies have been done which look at the emergence of hip hop from its roots in the African-American community, as well as on the contributions of some of the major artists in the field. However, little work has been done on trying to locate the emergence of hip hop and hip hop culture within the context of capitalist development in the United States. The book shows how racial, gender, and ethnic stereotypes are reformulated through different media. The book critically analyzes two prominent archetypal images of the gangsta male and the wanksta feminist who can be either male or female. The analysis shows that hip hop outside of mainstream media has remained true to its radical traditions. Moreover, as hip hop has gone beyond the confines of the United States, that same radical tradition remains a key component in the hip hop diaspora and in hip hop's cross-cultural expressions. Hip Hop and Inequality: Searching for the "Real" Slim Shady is an important book for understanding how systems of inequality work and how they are perpetuated. It will be of immense value to professors and students in sociology, anthropology, political science, women's studies, popular culture, and media studies. Written in an accessible language, it will also appeal to an audience outside academia and will certainly speak to those who may or may not realize that hip hop has a profound impact on modern society.
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