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Charles Dupin was a multifaceted figure in the history of France, where his life spanned several regimes. He produced an enormous number of publications in mathematics, engineering, economics, and education. Long neglected by historians, he is at last beginning to receive attention. In his youth, he championed many causes, including the education of women, perhaps because of the influence of his dynamic and learned mother. He was already very ambitious as a youth and left behind the usual youthful desires in pursuit of his goals.Dupin began as a brilliant mathematician as a student at the Ecole polytechnique in Paris and proceeded to become a fine naval engineer, that is until visits to Britain inspired him to change his course of direction. As the French industry was undergoing expansion, Dupin saw in Britain that workers were more efficient and healthier if they were educated. He greatly admired the freedom he witnessed in Britain, and this did not endear him to the French government of the Restoration. Indeed, the high honours to which he so much aspired eluded him for a considerable time. He saw the British savings banks and regular saving by workers within industry as a system to be introduced in France and one that should be propagated.As an economist, he considered the welfare of French workers as vital to an efficient industry. He was particularly concerned with the protection of children in work and the education of workers. In fact, he might be considered the father of workers'' education in France. This was a subject very close to his heart and, from his early years, he devoted himself to making public lectures available to all, including women.However, Dupin''s popularity declined as the importance of a thriving economy began to take precedence over the workers'' needs, with the workers focusing mainly on having a living wage.This is the first published study of Charles Dupin and his entire life''s work. It illuminates his work and contribution in so many spheres, as well as his contacts with other scientists and educators. His mathematics have long interested scholars in the field, and he would have been an outstanding naval engineer. He was a linguist and highly cultured; with his aesthetic sense he might well have rivaled Sané, but because of his driving ambition he was a great man manqué. Against a background of tremendous changes in France, he made important contributions in many areas, as evidenced by the bibliography in this book.This work will be of interest to mathematicians, historians of science, sociologists, economists, engineers, and educators.
"The papers in this book originated from a conference that examined the Nigeria-Biafra War (1967-70) focusing primarily on the Biafran side of that war organized at Marquette University in 2009"--Acknowledgements.
Until the mid 1950s, the Jews of Egypt lived in a multicultural and diverse society, which constituted a model of conviviality and tolerance, using French as its lingua franca. The Jews constituted a respected and well-integrated urban community of about 80 to 100,000, and made an impressive contribution to the socioeconomic modernization of the country. Together with the rise of Arab nationalism and the growth of Islamic fundamentalism, the escalating Arab-Israeli conflict brought about the rapid demise of Egyptian Jewry. Like the other Jewish communities of Arab lands, these people were either expelled or forced into exile in the aftermath of the 1948, 1956, and 1967 Arab-Israeli wars. As a consequence, close to half of the Jewish population of Egypt found refuge in Israel while the rest dispersed throughout the Western world, mainly in France, Brazil, and the United States. This book focuses on a group of about two thousand who settled in Australia, the "Edge of the Diaspora." It also examines the migration experience of Egyptian Jews who settled in France, in order to compare and contrast their integration in a non Anglo-Celtic environment. Although the Jews of Egypt, like most refugees, suffered the trauma of dispossession, expulsion, and dislocation, their particular experience did not attract the attention of Australian sociologists or historians. Even within the context of Australian Jewry, their story was largely unknown even though there has been much discussion about the postwar migration of European Jews. The author Racheline Barda believes that it is important to give them a voice, to tell their stories, and delve into their past history, thereby discovering the richness of their cultural heritage which ultimately gave them the tools for a successful integration in Australian society. One of the crucial concerns of this work was the preservation and transmission of the rich and dynamic history of this unique group to successive generations, through the oral testimonies of first-hand witnesses of a vanished world. This book makes an important contribution to the study of contemporary Australian society as well as diaspora studies. It deals with a topic that has rarely been reported on or studied in Australia--the migration experience of a small and unique ethnoreligious population such as the Jews of Egypt. It is the first comprehensive research on their immigration and integration into Australian society. Traditionally, sociohistorians have mostly concentrated on the Ashkenazi Jews of Europe or on the long established local Jewish community, which was historically of British and German origin. The Jews of Egypt constitute one of the largest Jewish communities to settle in Australia from outside European societies, in response to the rise of Arab nationalism and hostility to Israel. Based on a series of comprehensive interviews conducted mainly in Australia and France, this study reconstructs the history of a Jewish community and the circumstances of its demise. It takes the innovative approach of systematically analyzing the ethnic, religious, and cultural characteristics of both sample groups, highlighting the diversity that is inherent to the group as a whole. By specifically targeting the issue of identity, it provides an insight into the dynamics of a multilayered identity, which performs as a vehicle of integration and acculturation for a migrant group in any host society. Apart from individuals studying the particular history of Egyptian Jews wherever they settled after their forced emigration from Egypt, the book would be of interest to scholars specializing in diaspora studies, ethnic and immigrant studies, and social history.
Schooling is one of the core experiences of most young people in the Western world. This study examines the ways that students inhabit subjectivities defined in their relationship to some normalised good student. The idea that schools exist to produce students who become good citizens is one of the basic tenets of modernist educational philosophies that dominate the contemporary education world. The school has become a political site where policy, curriculum orientations, expectations and philosophies of education contest for the 'right' way to school and be schooled. For many people, schools and schooling only make sense if they resonate with past experiences. The good student is framed within these aspects of cultural understanding. However, this commonsense attitude is based on a hegemonic understanding of the good, rather than the good student as a contingent multiplicity that is produced by an infinite set of discourses and experiences. In this book, author Greg Thompson argues that this understanding of subjectivities and power is crucial if schools are to meet the needs of a rapidly changing and challenging world. As a high school teacher for many years, Thompson often wondered how students responded to complex articulations on how to be a good student. How a student can be considered good is itself an articulation of powerful discourses that compete within the school. Rather than assuming a moral or ethical citizen, this study turns that logic on it on its head to ask students in what ways they can be good within the school. Visions of the good student deployed in various ways in schools act to produce various ways of knowing the self as certain types of subjects. Developing the postmodern theories of Foucault and Deleuze, this study argues that schools act to teach students to know themselves in certain idealised ways through which they are located, and locate themselves, in hierarchical rationales of the good student. Problematising the good student in high schools engages those institutional discourses with the philosophy, history and sociology of education. Asking students how they negotiate or perform their selves within schools challenges the narrow and limiting ways that the good is often understood. By pushing the ontological understandings of the self beyond the modernist philosophies that currently dominate schools and schooling, this study problematises the tendency to see students as fixed, measurable identities (beings) rather than dynamic, evolving performances (becomings). This book suggests that there is more to becoming good than sitting quietly in class and doing well on tests. Students are daily involved in complex negotiations between competing expectations of the good and continually try to navigate what is a very complex terrain. These negotiations impact on their engagement with, and expectations of, schooling. It informs their behaviour, their relationships with each other and with authority figures. Through asking students their experiences and understandings of what constitutes a good student, a vastly different education terrain opens up than what is often understood. This book offers unique insights on high school students in the new millennia. For those studying teaching and for those working with student teachers in university contexts it offers a different perspective on how school students understand school and their interactions with teachers. It argues that through uncovering these student voices a more subtle and nuanced pedagogy can evolve. Who is the Good High School Student? is an important book for scholars conducting research on high school education, as well as student-teachers, teacher educators and practicing teachers alike.
American education is at a critical juncture because the traditional skills taught in schools and universities might no longer be valid to prepare students for a global economy. This is a prevailing argument in the education reform debate. Corporations are now being turned to for the solution. Regarding western educational discourse, transitional periods in education extend as far back as the Middle Ages in Europe. In America, since the turn of the century there has been an underpinning influence on education: the role of business. Yet, how often do we hold businesses accountable for their contributions to education? Business and education alliances can greatly benefit the system on both the K-12 and university levels. However, if the work that education is supposed to accomplish is underestimated and the plight of education is handed blindly over to a corporate paradigm, there might be more harm done than good. For some, it might seem unsavory that education has turned into a profitable business. For others, it is a dream come true. Although several scholars have analyzed the correspondence between education and the economy, few have examined it using a British pedagogical framework combined with an economic typology of power. The goal of this book is to explore the existence of certain capitalist realities in the American education system to find a balance between the distinct ideologies of education and business. This book is a theory-building exercise that centers on a descriptive multiple-case study of two senior high schools: a private, Jesuit school with a mission to educate students for university disciplines and a public charter school designed for career preparation, both located in Washington, D.C. A combination of survey, dialogic, observational, and documentary techniques was employed in a multi-methodological approach. This enterprise draws on Basil Bernstein's pedagogical theory of symbolic educational knowledge codes while attempting to fill a gap in its theoretical apparatus. The endeavor highlights some effects of alliances between business and education, while exploring concepts of power, critical thinking, and knowledge. A realist theoretical lens is a key component in this study where business norms are conceptualized as a social entity ontologically effectual to educational processes. Traditional forms of education are revealed to be in competition with alternative forms of education, where the high-technology age is perceived as a contributor to educational change. One of the unique analyses drawn from the research fieldwork elucidates differences between a religious paradigm and a careerist pedagogical approach. Ultimately, three contextual themes emerge from the data: entrepreneur ethics, social skills, and technology; all of these are indications of how business mores are apparent in education. The salient theme in this endeavor is the control of knowledge by institutions and/or individuals. The Imprint of Business Norms on American Education is an important book for social entrepreneurs, education reformers, education and sociological studies.
Many Evangelicals want to believe in a God who is merciful to the multitudes that never hear the Gospel of Jesus Christ, but lack the theological categories to support that aspiration. This book addresses these areas of evangelical theology by drawing on a well-known figure in the evangelical tradition-Jonathan Edwards (1703-1758)-and a contemporary Roman Catholic theologian-David Coffey (1934-). Though they may seem theological worlds apart, their use of a common trinitarian theology-the Augustinian mutual love model-led them to similar conclusions on Christology, pneumatology, and the theology of grace. Their common trinitarian vision provides resources to develop a transformational and relational vision of redemption and an inclusivist theology of religions within the evangelical tradition. The book brings Jonathan Edwards' and David Coffey's trinitarian understanding of God and redemption into ecumenical and constructive dialogue. The Trinity plays a systemic role in their theology and leads them to similar Spirit Christologies and pneumatological concepts of grace. Their use of the Augustinian mutual love model of the Trinity and their integration of it with Christology and pneumatology provide the resources to develop a transformational and relational vision of redemption and inclusivist theology of religions. To achieve its historical, ecumenical, and constructive program, the book moves through three steps. The first describes the Augustinian mutual love model of the Trinity in light of two of its major historical representatives-St. Augustine and St. Thomas Aquinas-and situates Edwards' and Coffey's thought in continuity with that tradition. The second section demonstrates that Edwards and Coffey's shared trinitarian theology led them to similar Spirit Christologies and pneumatological concepts of grace. Based on the historical and comparative work in the first two sections, the third section makes two constructive proposals. First, it presents a relational and transformational understanding of redemption in place of the traditional Protestant evangelical legal doctrine of justification and formulaic approach to spiritual formation. Second, it proposes an inclusive theology of religions that includes a positive theological attitude toward the universal human religious quest and its manifestation in various religious traditions of the world. Intended for students and scholars working in evangelical, ecumenical, and trinitarian theology, this project seeks to make a constructive contribution to contemporary evangelical theology.The book will appeal to multiple audiences. First, it is important for Edwards scholars and to readers with a general interest in Edwards since there are few book-length treatments of his trinitarianism. Moreover, and accenting its appeal, the book presents an alternative interpretation of his trinitarian theology relative to the previous books. Second, it should attract the attention of evangelical theologians interested in the doctrine of the Trinity, ecumenical theology, revising traditional evangelical views on Christ and the Holy Spirit, and developing an evangelical theology of religions. Finally, the book will be valuable to Catholic theologians interested in ecumenical theology and especially that related to Evangelicalism.
The life and work of Albert Camus provides insight into how to navigate through an absurd historical moment. Camus's role as a journalist, playwright, actor, essayist, philosopher, and novelist allowed him to engage a complex world in a variety of capacities and offer an array of interpretations of his time. Albert Camus provides insight into how one can benefit from listening to relevant voices from previous generations. It is important to allow the time to become familiar with those who sought answers to similar questions that are being asked. For Camus, this meant discovering how others engaged an absurd historical moment. For those seeking anwers, this means listening to the voice of Albert Camus, as he represents the closest historical perspective on how to make sense of a world that has radically changed since both World Wars of the twentieth century. This is an intentional choice and only comes through an investment of time and energy in the ideas of others. Similar to Albert Camus's time, this is an age of absurdity; an age defined by contradiction and loss of faith in the social practices of the past. When living in such a time, one can be greatly informed by seeking out those passionate voices who have found a way despite similar circumstances. Many voices from such moments in human history provide first-hand insights into how to navigate such a time. Camus provides an example of a person working from a constructive perspective, as he was willing to draw upon the thought of many contemporaries and great thinkers from the past while engaging his own time in history. As the first book-length study of Camus to situate his work within the study of communication ethics and philosophy of communication, Brent C. Sleasman helps readers reinterpret Camus' work for the twenty-first century. Within the introduction, Camus' exploration of absurdity is situated as a metaphor for the postmodern age. The first chapter then explores the communicative problem that Camus announced with the publication of The Fall--a problem that still resonates over 50 years after its initial publication. In the chapters that follow other metaphors that emerge from Camus' work are reframed in an effort to assist the reader in responding to the problems that emerge while living in their own age of absurdity. Each metaphor is rooted in the contemporary scholarship of the communication discipline. Through this study it becomes clear that Camus was an implicit philosopher of communication with deep ethical commitments. Albert Camus's Philosophy of Communication: Making Sense in an Age of Absurdity is an important book for anyone interested in understanding the communicative implications of Camus' work, specifically upper-level undergraduates, graduate students, and faculty.
This highly praised book undertakes an in-depth case study of contemporary protests to illustrate not only the challenges to building civil society in Jamaica but also the requirement for the current scholarship to reconcile its moral and thematic ambivalence. It is an important book for collections in political science, sociology, anthropology, and media studies/communications, especially given the increasing interest in understanding popular protests, violent social movements, resistance cultures as well as radical political culture, democracy and civil society across the developing and developed world. The book will also hold wide appeal among policy makers, political actors, activists, civil society practitioners, and specialists in international development as a result of its strong focus on civil society. This will also be an excellent text for undergraduate students and above, particular those studying international relations.
Despite the proliferation of marketplace advocacy campaigns, there has been little professional or academic research published evaluating the potential outcomes of this form of communication on audiences. Ostensibly the last book devoted to advocacy advertising was published in 1977. While the political and social changes of the 1970s are often credited with the rise of advocacy campaigns among many industries, surging public and media criticism regarding issues such as the environment and energy in recent years have made marketplace advocacy campaigns commonplace in today's advertising landscape. Given the political nature of marketplace advocacy and the potential ramifications on public policy, a quantitative assessment of stakeholder perceptions of marketplace advocacy is important for both professional and academic researchers interested in understanding the persuasive potential of marketplace advocacy. This book develops a model of marketplace advocacy influence based on relevant literature in advertising, marketing, social psychology, public relations, and political communication, and evaluates the model using a case study and statistical analyses. While this form of advocacy is relatively specialized, it represents an increasingly important and prevalent form of advocacy. It is important for both scholars and practitioners to understand how these campaigns may influence overall trust in the sponsoring industry as well as public acceptance of an industry's agenda. The model developed and tested in this book provides credence for the idea that these campaigns may be effective at accomplishing both of these objectives and demonstrates how industry approval, the overall goal of marketplace advocacy, might be achieved. By incorporating environmental concern as a measure of statistical control in both the model testing and follow-up analyses, the model also provides evidence of the moderating influence of heightened levels of environmental concern on marketplace advocacy outcomes. The book also provides an historical account of marketplace advocacy and describes several campaign case studies for context. This is an important book for researchers in the areas of corporate social responsibility, environmental advocacy, issue advertising, and public opinion. This book may also be appropriate for advanced advertising and public opinion classes.
Over the last forty years, scenes that prominently feature acts of preparing and eating food have filled the pages of novels and memoirs written by American immigrants and their descendants because these writers understand that eating is more than a purely biological function but, instead, works to define who we are in the United States and abroad. Are We What We Eat? critically analyzes eight of these pieces of ethnic American literature, which demonstrate the important role that cooking and eating play in the process of identity formation. With the growing scholarly and popular interests in food and ethnicity in the United States, Are We What We Eat? is a timely analysis of food in literature and culture. To date, much of the scholarship on cooking and eating in ethnic American literature has focused on a specific ethnic group, but has not examined, in any in depth way, the similarities among the different ethnic and racial groups that comprise American culture. Are We What We Eat? presents a cross-cultural analysis that considers the common experiences among several ethnic cultures and, at the same time, recognizes the different ways that each culture was (and in some cases, still is) marginalized by the dominant American one. With analysis that is articulate and accessible to most, Are We What We Eat? will be an illuminating study for all who are interested in food, ethnicity, or gender in American culture.
Although there is a significant literature on the philosophy of Jacques Derrida, there are few analyses that address the deconstructive critique of phenomenology as it simultaneously plays across range of cultural productions including literature, painting, cinema, new media, and the structure of the university. Using the critical figures of ghost and shadow and initiating a vocabulary of phantomenology this book traces the implications of Derridean spectrality on the understanding of contemporary thought, culture, and experience. This study examines the interconnections of philosophy, art in its many forms, and the hauntology of Jacques Derrida. Exposure is explored primarily as exposure to the elemental weather (with culture serving as a lean-to); exposure in a photographic sense; being over-exposed to light; exposure to the certitude of death; and being exposed to all the possibilities of the world. Exposure, in sum, is a kind of necessary, dangerous, and affirmative openness. The book weaves together three threads in order to format an image of the contemporary exposure: 1) a critique of the philosophy of appearances, with phenomenology and its vexed relationship to idealism as the primary representative of this enterprise; 2) an analysis of cultural formations literature, cinema, painting, the university, new media that highlights the enigmatic necessity for learning to read a spectrality that, since the two cannot be separated, is both hauntological and historical; and 3) a questioning of the role of art as semblance, reflection, and remains that occurs within and alongside the space of philosophy and of the all the posts- in which people find themselves. Art is understood fundamentally as a spectral aesthetics, as a site that projects from an exposed place toward an exposed, and therefore open, future, from a workplace that testifies to the blast wind of obliteration, but also in that very testimony gives a place for ghosts to gather, to speak with each other and with humankind. Art, which installs itself in the very heart of the ancient dream of philosophy as its necessary companion, ensures that each phenomenon is always a phantasm and thus we can be assured that the apparitions will continue to speak in what Michel Serres s has called the grotto of miracles. This book, then, enacts the slowness of a reading of spectrality that unfolds in the chiaroscuro of truth and illusion, philosophy and art, light and darkness. Scholars, students, and professional associations in philosophy (especially of the work of Derrida, Husserl, Heidegger, and Kant), literature, painting, cinema, new media, psychoanalysis, modernity, theories of the university, and interdisciplinary studies.
"Robert Alexander convincingly argues that presidential electors--long considered by many as inconsequential, if not benign--are a serious danger to the health of our representative democracy. In one of the first systematic studies of its kind, Alexander presents a theory of elector behavior that explains why electors will continue to plague the system unless we institute reform. This book is indispensable for a deeper understanding of the presidential electoral process." - Gary E. Bugh, Texas A&M University "Presidential Electors and the Electoral College is an eye opener. Robert Alexander's exhaustive research has revealed some surprising results about the arcane and, as some maintain, undemocratic Electoral College. The fact that many electors are lobbied to change their votes after the presidential election should serve as a warning that the Electoral College is a disaster waiting to happen--again." - Michael A. Genovese, Loyola Marymount University "Robert Alexander's Presidential Electors and the Electoral College is a valuable and much-needed examination of a long-neglected constitutional challenge. His analytical research is a serious contribution to our understanding of the Electoral College and its problems." - Thomas Cronin, Colorado College "Dr. Alexander has brought this very important history to life in a way that can help all of us look more carefully into the future. With lots of current public debate about the future of the Electoral College, this book provides a comprehensive and much-needed examination of one of the challenges that we have faced since the founding of our nation." - Mark Ritchie, Minnesota Secretary of State
In the 1880s and 1890s, the Victorian poet Robert Browning was the "lion" of the day in the United States, particularly in Rochester. Browning's work was widely read and discussed. Even today, there are still many in America who consider themselves Browningites, and many of them belong to Browning clubs and societies. This book, the fruit of thorough and patient archival digging, brings together various fragmentary local sources and quaint memorabilia, hitherto unknown to scholars. It vividly recovers the spirit of the fascination with Browningmania, and more broadly Victoriana, that Rochesterians and Americans in general evinced in the last two decades of the nineteenth century and early part of the twentieth century.Browning's popularity, undeserved many thought, remains nonetheless a unique phenomenon in literary and cultural history, well worthy of study and comprehension. Although several books and articles were devoted to this subject, none offers a sustained explanation of how and why Browning became such an iconic figure. This book fills a gap in the scholarship and critical reception of Browning. This study offers Browning scholars and Victorianists in general a new perspective on some long-neglected but crucial material. It will be of particular interest to students and scholars in Reception and American studies as well as cultural and literary historians. Because it brings together many local anecdotes and memorabilia, this book will also find appreciative readers among the general public, especially in upstate New York region, particularly Rochester.
The grotesque has provided both laymen and scholars with extreme delights for centuries: from the ornamental combining of rare motifs in antiquity to a hybridisation of structural genres in recent times; from fantastical fusions of humans and beasts to comic exaggerations of bodily aberrations and prosthetic postmodern visions. Eluding clear classification at all times, the notion has often been identified with ideas of contradiction and conflation and observed in relation to principles and categories such as estrangement (Wolfgang Kayser) and carnival (Mikhail Bakhtin), the sublime (Victor Hugo) and Victorian Gothic imagination (John Ruskin). In this context, the present volume appears as a synthesis and radical questioning of existing historical developments. The book contributes to current discussions on the grotesque in contemporary literary and cultural theory from the perspective of one specific motif: the unnatural. Quite like the grotesque, observing the unnatural (and unnaturalness) reveals a resilient strain in critical thought, and the significance of this history gradually unfolds as the volume charts the progress of its main themes from the Renaissance to the present day. While in much current talk about theory and criticism certain related notions are still posited for and against each other--what is seen as normal or natural and what is not, and what should be seen as normal or natural and what should not--the discussions in The Grotesque and the Unnatural go a long way toward founding a new vista from which to observe this beguiling opposition. The book presents a new perspective on the grotesque by considering it as a phenomenon which comes into being only through a negation of sorts, yet refusing to place it in a simple, normative pattern as nature's antithesis or expressive gesture. As the articles demonstrate, the grotesque is always in the process of subverting or surpassing something, always not being ideal or sufficient to either nature or a social rule, and this very negation affects its status as a tool of transformation or emancipation from norm: the grotesque figure does not represent any particular stage of development or natural state of being. As such, the grotesque hints at and hinges on something that exceeds habitual spheres of culture and communication but, as the book aims to show, this elusiveness of meaning gives no cause for analytic despair. By tracing the involutions of the grotesque with the unnatural in specific literary cases, the book evokes centuries of Western cultural history and ultimately focuses on two questions: How and why does the grotesque tend to negate nature, and how does it affect our understanding of what we see? The diverse materials and historical scope of The Grotesque and the Unnatural make the book, in its exceptional thematic unity, a valuable addition to the fields of literary and cultural studies.
Movies began during the Victorian age. Through even the earliest years of filmmaking, Victorian literature provided a ready stock of familiar stories about colorful characters caught up in mystery, fantasy, adventure, sensation, and domestic conflict. Among the earliest films are adaptations of works by Victorian writers like Charles Dickens, Lewis Carroll, Thomas Hardy, and even Alfred, Lord Tennyson. With the proliferation of volumes on adaptation, work is needed that provides theoretical and practical approaches for those who think about literature together with film adaptations whether as scholarship, part of classroom study, or general enjoyment. By bringing together many different approaches to the topic of adaptation, this book provides an important overview of the subject of the adaptation of nineteenth-century British literature, as well as an examination of the constructive and creative use of film adaptations in the classroom. Although a wide range of critical approaches are included, the primary emphasis is on what specific adaptations reveal about the ways in which nineteenth-century British texts are understood, responded to, and analyzed based on particular cultural contexts. This book provides a basis for rethinking adaptation and a template for future discussions and academic courses. They orient the reader within a popular field of study that is currently in need of both greater focus and of practical direction.
In 1984, famous political scientist Charles Doran argued in his landmark book Forgotten Partnership that Canada-US relations were at a crossroads. Structural asymmetries, divergent interests, and both strategic and tactical missteps by Ottawa and Washington risked undermining the postwar comity and cooperation between the two countries. Back in 1984, Doran lamented the deterioration of "partnership" in Canada-U.S. relations. A major premise of this book is that Doran's analysis is worth revisiting in a contemporary setting. Following Doran's original analytical framework, Forgotten Partnership Redux is organized around the same three "dimensions" of Canada-U.S. relations-political-strategic, trade-commercial, and psychocultural. The foremost authorities have been selected to contribute to this volume for their specific areas of expertise, with the aim of revisiting these specific dimensions in a contemporary setting. What sets Forgotten Partnership Redux apart is how the world's leading experts on Canada-U.S. relations revisit Doran's Forgotten Partnership, one of the most important works ever produced in the field. Their insights augment the scholarly debate initiated over two decades ago and cast significant light on the present and the future of the two nations and their global impact. For those who have not read Forgotten Partnership, this volume will serve as an important introduction to many of the same themes, but set in contemporary scholarly and policy debates.
The investigation of HAART adherence behavior and its effect on those under therapy in Uganda is important, especially because provision of HAART in low-income nations-such as those in sub-Saharan Africa, where many of the affected individuals are poverty stricken and possess little or no formal education-may result in negative public health implications, including those resulting from suboptimal adherence, such as drug resistance. In exploring the effect of HAART on sexual behavior of those under therapy, this study may augment existing knowledge pertaining to this area in resource-constrained nations. Of supreme importance, this study may assist in the formulation of strategies and policies that could enhance the effect of HAART and the quality of life for those with HIV/AIDS in developing nations such as Uganda.
This book is the first comprehensive examination of the bilingual acquisition of English and Mandarin in a child. It makes a much-needed contribution to the field of child language research, and, in particular, the research on bilingual children. Firmly grounded in bilingual language acquisition theory and methodology, the book uses empirical data to assess the relation between the two languages of a bilingual child growing up in Sydney, Australia. It also addresses a range of theoretical and methodological questions that are central to the study of language acquisition, bilingualism and child development. This book is the first detailed, systematic investigation of the language development of a child exposed to Mandarin and English from birth in an immigrant family in Australia. It is also the first longitudinal study of bilingual acquisition in a context-bound, one-language-one-environment situation. The vast majority of existing research studies one-parent-one-language situations. The focus of the investigation reported in this book is on tracing the developmental route of person identification in the bilingual child in both languages from the age of 19 months to 4 years. Person identification is the precondition to socioemotional attachment and meaningful human social life, an important milestone in a child s cognitive, interpersonal, and language development which has surprisingly long been neglected in bilingual research in spite of its importance. This book addresses both pragmatic and semantic issues relating to pronoun usage in real life communication context, while investigating the child s early word learning and syntactic development in each of the two languages. This addresses, in turn, a key issue in bilingual acquisition research of whether the early lexical and syntactic development is "e;separate"e; or "e;fused"e; in the early stages of development. Additionally, the book explores the nature of the weaker language and bilingual acquisition strategies in relation to input and learning context while the two languages are in contact and interaction and it compares these and other findings with both monolingual and bilingual data. The overall aim of this study is three-fold: first, to improve our understanding of the process of bilingual first language acquisition in its own right; second, to contribute to a better understanding of child language acquisition processes in general; and third, to help bilingual families and educators to understand early language differentiation in bilinguals and manage possible interaction in language contact while maximising bilingual experiences. This book will be an important resource for researchers, developmental psycholinguists, language educators, and clinical professionals from related disciplines. Parents who wish to raise their children to be bilingual will also benefit from this book.
On September 11, 1973, a right-wing coup overthrew Chile s democratically elected, socialist President Salvador Allende and established an eighteen-year dictatorship. The new government exiled, imprisoned, tortured, and killed Allende supporters. In addition to targeting leftist politicians and labor organizers, the new government took aim at the nueva canci n ( new song ) movement. It banned this style of folk-based music, exiled many nueva canci n musicians, and brutally executed V ctor Jara, the movement s most prominent figure. Meanwhile, supporters of the coup celebrated Allende s overthrow by blasting m sica t pica, a different style of folk-based music, into the streets. The intensity with which Chilean rightists and leftists each came to embrace and attack different styles of folk-based music was the outcome of a historical process in which competing notions of Chilean identity became intertwined with the political divisions of the Cold War era. To date, scholars have paid little attention to the role that music played at political rallies and protests, the political activism of right-wing and left-wing musicians, and the emergence of musical performances as sites of verbal and physical confrontations between Allende supporters and the opposition. This book illuminates a largely unexplored facet of the Cold War era in Latin America by examining linkages among music, politics, and the development of extreme political violence. It traces the development of folk-based popular music against the backdrop of Chile s social and political history, explaining how music played a fundamental role in a national conflict that grew out of deep cultural divisions. Through a combination of textual and musical analysis, archival research, and oral histories, Mularski demonstrates that Chilean rightists came to embrace a national identity rooted in Chile s central valley and its huaso ( cowboy ) traditions, which groups of well-groomed, singing huasos expressed and propagated through m sica t pica. In contrast, leftists came to embrace an identity that drew on musical traditions from Chile s outlying regions and other Latin American countries, which they expressed and propagated through nueva canci n. Conflicts over these notions of Chilenidad ( Chileanness ) both reflected and contributed to the political polarization of Chilean society, sparking violent confrontations at musical performances and political events during the late 1960s and early 1970s. Recent studies of diplomatic and military history have shown that the Cold War in Latin America was a multifaceted contest between various regional proponents of communism and capitalism. This book adds to this new conceptualization of Latin America s Cold War era by extending it to musical culture as well. It examines the manner by which the Chilean right attempted to undermine nueva canci n music, and it disproves common perceptions that the right had no culture of its own by revealing that rightists labored passionately to protect and advance their own style of folk-based music. It also examines how the Allende government and nueva canci n musicians worked officially and unofficially to expand their musical influence and provide cultural assistance to other Latin America countries. By analyzing the development of such endeavors by the right and left, Mularski reveals through the lens of music how national and transnational perspectives shaped social relationships and political conflict among rightists and leftists in Chile. This book contributes a more nuanced conception of music, politics, and cultural nationalism. Most existing research on the cultural components of anti-imperialist movements links nationalist political and economic policies with expressions of cultural nationalism, such as folk revivals, generally asserting that these folk revivals convey nationalist and anti-imperialist perspectives by celebrating traditions of local origin rather than foreign cultural influences. Mularski demonstrates how complex local dynamics complicate the prevailing association of cultural nationalism and anti-imperialism: right-wing Chileans embraced the folk-based m sica t pica style while at the same time crusading against the political and economic efforts of anti-imperialists, and Chilean leftists condemned imperialism while expressing a cultural identity rooted in nueva canci n that was simultaneously both nationalist and transnational. In doing so, Mularski offers a powerful example and multifaceted understanding of the fundamental role that music often plays in shaping the contours of political struggles and conflicts throughout the world. Music, Politics, and Nationalism in Latin American is an important book for Latin American studies, history, musicology/ethnomusicology, and communication.
This book offers an historical portrait of the first generations of women home scientists at the University of New Zealand in the early decades of the twentieth century. It adopts the tools of biographical research to interrogate their professional lives in a new colonial university. With a specific focus on Home Science, this book contests contemporary views that a university education would produce glorified housekeepers. Previous scholarship has not fully considered how Home Science expanded the range of professional, academic and career options for educated women. Drawing extensively on archival material from New Zealand, the United States, and England, this book examines how women worked with, around, and against gender stereotypes to establish themselves as professional scholars in the field of Home Science. This book is a rich micro-history of gender identities and roles. It demonstrates how Home Science, intended by male academic administrators to confine women to their "proper" domestic sphere, was used by home scientists to create new professional opportunities for women, both in the academy and in the scientific community at large. These determined and talented women were not victims of patriarchy but creative agents of change and promise. As activist women before them, they worked with, around, and against gender stereotypes to expand the area of "women's sphere." The portraits sketched in this book illuminate the extent to which New Zealand home scientists established connections with women in the US and England and their contribution to this transnational community of scholars. The authors go beyond arguments that Home Science, as a subject and field of study, hindered women to ask instead how and why it developed as it did. They trace the lives and careers of early home scientists to understand how these educated and mobile women transcended gendered views that their work was little more than "glorified housekeeping". The careers of academic women were deeply marked by the gendered boundaries of the Academy as well as the profoundly gendered expectations of their daily lives. The portraits presented in this book suggest that academic women were politically astute. That is, they were able to 'read' the context in which they lived and worked and while on the one hand they appeared to accept their gendered positioning, on the other, they used these opportunities to neutralize their marginal status and create a specialized education for women. Successive generations of graduate women derived benefits from the professionalization of women's work and were able to consider a range of career options that provided real alternatives to domesticity. There can be little doubt that these first generations of academic women occupied dangerous territory; and it is this terrain that contemporary women academics inhabit. The history of women's higher education continues to be deeply marked by enduring struggles for recognition of their scholarly contribution and expertise. Historical Portraits of Women Home Scientists is an important book for those interested in the history of women's higher education, gender and the professions, historical methodology, and transnational histories of women home scientists.
This is the first study of constitution making during a critical decade of British rule in Kenya to be based on a thorough examination of archival sources. Such sources include secret police and intelligence reports, records of the planning and negotiations leading to the imposition of the three constitutions, and British cabinet records. These allow for a more complete appreciation of the forces that produced the specific constitutional dispensations. For example, the book provides the fullest and most authoritative account of the first Lancaster House conference of 1960. The account indicates that the constitution that emerged, as with the negotiations of 1954 and 1957, was not the result of inter-racial bargaining. Rather, each constitution was imposed by Britain after acceptance by some political groups, though not all. Such partial acceptance proved fatal to the constitutions of the 1950s. The book illustrates this reality as well as highlighting the importance of African agency in the overthrow of the Lyttleton and Lennox-Boyd constitutions and in the emergence of the very different constitutional order that resulted from the Lancaster House conference. Britain and Kenya's Constitutions, 1950-1960 is an important resource for scholars in African studies as well as those researching the history of British decolonization in Africa.
In the memoirs of no other contemporary theater personality (i.e., William Dunlap, Edward Cape Everard, James Fennell, William Wood), has a figure quite like John Durang emerged. His eagerness in grasping opportunities, expanding his skills, shaping his career, and establishing a home are unique, not only in themselves, but also in his articulation of these enterprises. Looking at his life through the lens of American national development illuminates the role of the theater in this critical and ongoing process, while also revealing the forms and repertory that shaped this theater. Remarkably few significant biographies are available of American dance and theatrical figures whose lives preceded the twentieth century. A small handful of memoirs by actors of the period fill in a small part of this gap, but memoirs-like John Durang's-need context and connections to be fully appreciated. The role of dance and theater in shaping the young United States is highlighted in this biography. John Durang: Man of the American Stage by Professor Lynn Matluck Brooks serves both general and theater-educated readerships. Interested groups include readers of American studies, dance, and theater.
The interrelation of globalization, communication, and media has prompted many individuals to view the world in terms of a new dichotomy: the global "wired" (nations with widespread online access) and the global "tired" (nations with very limited online access). In this way, differing levels of online access have created an international rift - the global digital divide. The nature, current status, and future projections related to this rift, in turn, have important implications for all of the world's citizens. Yet these problems are not intractable. Rather, with time and attention, public policies and private sector practices can be developed or revised to close this divide and bring more of the world's citizens to the global stage on a more equal footing. The first step in addressing problems resulting from the global digital divide is to improve understanding, that is, organizations and individuals must understand what factors contribute to this global digital divide for them to address it effectively. From this foundational understanding, organizations can take the kinds of focused, coordinated actions needed to address such international problems effectively. This collection represents an initial step toward examining the global digital divide from the perspective of developing nations and the challenges their citizens face in today's error of communication-driven globalization. The entries in this collection each represent different insights on the digital divide from the perspectives of developing nations - many of which have been overlooked in previous discussions of this topic. This book examines globalization and its effects from the perspective of how differences in access to online communication technologies between the economically developed countries and less economically developed countries is affecting social, economic, educational, and political developments in the world's emerging economies. This collection also examines how this situation is creating a global digital divide that will have adverse consequences for all nations. Each of the book's chapters thus presents trends and ideas related to the global digital divide between economically developed countries and less economically developed nations. Through this approach, the contributors present perspectives from the economically developing nations themselves versus other texts that explore this topic from the perspective of economically developed countries. In this way, the book provides a new and an important perspective to the growing literature on the global digital divide. The primary audiences for this text would include individuals from both academics and industry practitioners. The academic audience would include administrators in education; researchers; university, college, and community college instructors; and students at the advanced undergraduate and graduate levels.
From the early days of "worker films" that attracted working-class audiences to tiny, storefront theaters in the first decades of the twentieth century to the gritty films of social realism that brought audiences to theaters during the Great Depression and beyond, Hollywood has played a major role in defining the working class in America. This power of film to define the working class was never more apparent than in the Hollywood of the late 1960s and 1970s. Films from that epoch continue to have a profound effect on America's political and cultural lives decades later. Although the plight of the working class has been a Hollywood subject for more than a century, no significant work has explored Hollywood's role in shaping the modern working class. Most studies of the films of the late 1960s and 1970s explore the "New Hollywood," or the "Hollywood Renaissance," a brief period of directorial creativity in the industry. Some studies analyze the emergence of the "blockbuster" film and "four-wall" distribution that rejuvenated Hollywood with films like Jaws and Star Wars, while others examine the effect of the Vietnam War on the film industry. This study, however, explains how Hollywood created a false binary of the counterculture vs. the working class in an effort to appeal to the largest possible audience and, in doing so, helped to draw the lines for cultural and political discourse four decades later. Through narrative repetition, film has the power to create a world that becomes accepted as "the way things are." This happened in the mid-1970s when several significant films depicted the white working class as victim of a system that privileged the broad "counterculture," creating a world view that still flourishes in some circles of the white working and middle classes. This study makes that connection for the reader through close readings of various films of the era. As the first study to establish a direct connection between popular films of the 1970s and right-wing populist movements of today, this book helps to provide context for the more extreme rhetoric and activities of the Tea Party and other more fringe groups of the 2010s. By analyzing the depiction of the working class in films of the late 1960s and 1970s, this study provides the first look at how films of the era changed how the working class is viewed by others and by itself. This study also examines the political climate of the Nixon and Carter eras and demonstrates how concepts like Richard Nixon's "Silent Majority" found their way to the big screen and helped to shape the future of the working class. Finally, this unique study explores how Hollywood, given a choice of providing an honest rendering of the era or exploiting its tensions to ensure better box office, made the latter choice. By breaking down iconic films like Easy Rider, Dirty Harry, Jaws, and Rocky, character studies like Scarecrow, Blue Collar, and Hard Times, and cult favorites like Joe, Billy Jack, and Medium Cool, author Robert A. Marcink provides a comprehensive look at how Hollywood's choice played a significant role in shaping the modern working class. By exploring films from both the Left and the Right, he also demonstrates that in Hollywood the message rarely strays too far from the ideological center. The Working Class in American Film is an important volume for all film collections. It is also an important volume for communications, sociology, political science, and history collections that explore the relationship between popular media and the shaping of American society and political discourse.
Until the mid 1950s, the Jews of Egypt lived in a multicultural and diverse society, which constituted a model of conviviality and tolerance, using French as its lingua franca. The Jews constituted a respected and well-integrated urban community of about 80 to 100,000, and made an impressive contribution to the socioeconomic modernization of the country. Together with the rise of Arab nationalism and the growth of Islamic fundamentalism, the escalating Arab-Israeli conflict brought about the rapid demise of Egyptian Jewry. Like the other Jewish communities of Arab lands, these people were either expelled or forced into exile in the aftermath of the 1948, 1956, and 1967 Arab-Israeli wars. As a consequence, close to half of the Jewish population of Egypt found refuge in Israel while the rest dispersed throughout the Western world, mainly in France, Brazil, and the United States. This book focuses on a group of about two thousand who settled in Australia, the Edge of the Diaspora. It also examines the migration experience of Egyptian Jews who settled in France, in order to compare and contrast their integration in a non Anglo-Celtic environment. Although the Jews of Egypt, like most refugees, suffered the trauma of dispossession, expulsion, and dislocation, their particular experience did not attract the attention of Australian sociologists or historians. Even within the context of Australian Jewry, their story was largely unknown even though there has been much discussion about the postwar migration of European Jews. The author Racheline Barda believes that it is important to give them a voice, to tell their stories, and delve into their past history, thereby discovering the richness of their cultural heritage which ultimately gave them the tools for a successful integration in Australian society. One of the crucial concerns of this work was the preservation and transmission of the rich and dynamic history of this unique group to successive generations, through the oral testimonies of first-hand witnesses of a vanished world. This book makes an important contribution to the study of contemporary Australian society as well as diaspora studies. It deals with a topic that has rarely been reported on or studied in Australia the migration experience of a small and unique ethnoreligious population such as the Jews of Egypt. It is the first comprehensive research on their immigration and integration into Australian society. Traditionally, sociohistorians have mostly concentrated on the Ashkenazi Jews of Europe or on the long established local Jewish community, which was historically of British and German origin. The Jews of Egypt constitute one of the largest Jewish communities to settle in Australia from outside European societies, in response to the rise of Arab nationalism and hostility to Israel. Based on a series of comprehensive interviews conducted mainly in Australia and France, this study reconstructs the history of a Jewish community and the circumstances of its demise. It takes the innovative approach of systematically analyzing the ethnic, religious, and cultural characteristics of both sample groups, highlighting the diversity that is inherent to the group as a whole. By specifically targeting the issue of identity, it provides an insight into the dynamics of a multilayered identity, which performs as a vehicle of integration and acculturation for a migrant group in any host society. Apart from individuals studying the particular history of Egyptian Jews wherever they settled after their forced emigration from Egypt, the book would be of interest to scholars specializing in diaspora studies, ethnic and immigrant studies, and social history.
"This book combines the work of 18 international scholars in the first comprehensive study of contemporary regional shrinkage under Japan's national depopulation. The contributions have been arranged thematically, and interspersed throughout the book are tables, charts, diagrams and photographs that visually augment and describe the processes and impacts of regional shrinkage. In this way the book stitches together a representative variety of detailed and richly textured examinations of shrinkage at the local level, out of which emerges the overall story of Japan's depopulation and its place within the trajectory of world development. The book shows that shrinkage has not been a uniform experience for regional communities, as some settlements have expanded and others close by have disintegrated. It also describes the differential processes of shrinkage taking place throughout Japan in the postwar era, as well as their characteristics, impacts and implications. From remote mountain villages to regional industrial centers, the authors analyze the responses that national, regional, local and individual actors have brought to bear on shrinkage, including the important roles that the state and municipal authorities, and the construction and tourism industries have played. Ominously, the authors demonstrate that depopulation is deepening and broadening to include larger and more densely populated settlements as the national population decline becomes more entrenched. The authors conclude by arguing that depopulation and socioeconomic decline may combine to induce individuals and groups to begin to rethink growth and to embrace a new way of life that prioritizes stability and, even, sustainability."--Publisher's description.
For those wishing to develop their professional voice in theatre, it is common to draw on practical training and experiences as their main foci. Observational undertakings, apprenticeships, and personal endeavours are also customary ways to further this development of their persona as director or performer. There has been little in the way of academic research or study of general principles to open the door to formal discussion of the theatrical processes involved in creating a production. Common approaches are personal (mainly autobiographical or context-specific) assessments that recount individual episodes and milestones within the careers of well-known and respected individuals. Although such methods are informative and often interesting, formal analytical tools to undertake production analyses and intellectual comparisons are still needed. This is the first study that attempts to apply a systematic process to the mysteries of directorial communication within a theatrical setting. Categories created using this methodology make comprehensive breakdown and analysis possible of those elusive interpersonal interactions, the communication flow, during the period of rehearsal leading to a production. As such, the case studies make available some of the inner individual experiences from each company s endeavour, the artistic journey, successes and pitfalls, viewpoints and reflections of those involved, the changing styles of communication, and thus, many important lessons that would be otherwise completely unavailable to a wider audience. Whilst centring specifically on opera as a medium, the examination unpicks general processes of theatrical rehearsal, profiling individuals at work in a systematic way that begins to uncover and identify patterns of behaviour. The study, thus, draws important lessons from observation of that process which can then be applied to future experience, assisting the novice especially, whose previous recourse was mainly limited to trial-and-error approaches within their own personal production experience. Communication in Theatre Directing and Performance is an important addition to the general study of theatrical performance communication and its analysis. The case studies and interviews are especially helpful because the reader will not only be able to read directly the views and experiences of professionals at work but also to unpick and analyse those processes taking place over a period of rehearsal. Its ability to bring into relief the practices of theatrical professionals makes this study an invaluable option for university drama departments, colleges of drama training, as well as for individuals at a more advanced point in their professional existence who are looking to evolve their understanding and artistic style.
While a number of recent works have linked magical realism to postcolonial trauma, this book expands the trauma-theory-based analysis of magical realism. Borrowing from the Russian Formalist Mikhail Bakhtin, the study adapts his concept of chronotope to that of shock chronotope in order to describe unstable time-spaces marked by extreme events. Besides trauma theory, contemporary theories of representation formulated by Guy Debord, Jean Baudrillard, and Slavoj Zizek, among others, corroborate specific literary analyses of magical realist novels by Caribbean, North American, and European authors. The study discusses a series of concepts, such as "spectacle" and "hyperreality," in order to create an analogy between the hyperreal, a spectacle without origins, and magical realism, a representation of events without a history, or a recreation of an absence that first needs to be acknowledged before it can be assigned any meaning. Magical realist hyperreality is meant to be a reconstruction of events that were "missed" in the first place because of their traumatic nature. While the magical realist hyperreal might not explain the unspeakable event, if only to avoid the risk of an amoral rationalization, it makes the ineffable be vicariously felt and re-experienced. This study establishes a somewhat unorthodox nexus between magical realist writing (viewed primarily as a postmodern literary phenomenon) and trauma (understood both as an individual and as an often invisible cultural dominant), and proposes the concept of "traumatic imagination" as an analytical tool to be applied to literary texts struggling to represent the unpresentable and to reconstruct extreme events whose forgetting has proven just as unbearable as their remembering. The traumatic imagination defines the empathy-driven consciousness that enables authors and readers to act out and/or work through trauma by means of magical realist images. Corroborated by elements of trauma theory, postcolonial studies, narrative theory, and contemporary theories of representation, the work posits that the traumatic imagination is an essential part of the creative process that turns traumatic memories into narratives. Magical realism lends traumatic events an expression that traditional realism could not, seemingly because the magical realist writing mode and the traumatized subject share the same ontological ground: being part of a reality that is constantly escaping witnessing through telling. Over more than half a century now, magical realism has demonstrated its versatility by affecting literary productions belonging to various cultural spaces and representing different histories of violence. This book examines novels by traumatized and vicariously traumatized authors who make extensive use of fantastic/magical elements in order to represent slavery, postcolonialism, the Holocaust, and war. The Traumatic Imagination: Histories of Violence in Magical Realist Fiction is an important book for magical realism- and trauma theory-based critical collections.
This book examines the complex and unique human, cultural, and religious exchanges that resulted from the enslavement and the trade of Africans in the North and the South Atlantic regions.
The movement of research animals across the divides that have separated scientist investigators and research animals as Baconian dominators and research equipment respectively might well give us cause to reflect about what we think we know about scientists and animals and how they relate to and with one another within the scientific coordinates of the modern research laboratory. Scientists are often assumed to inhabit the ontotheological domain that the union of science and technology has produced; to master 'nature' through its ontological transformation. Instrumental reason is here understood to produce a split between animal and human being, becoming inextricably intertwined with human self-preservation. But science itself is beginning to take us back to nature; science itself is located in the thick of posthuman biopolitics and is concerned with making more than claims about human being, and is seeking to arrive at understandings of being as such. It is no longer relevant to assume that instrumental reason continues to hold a death grip on science, nor that it is immune from the concerns in which it is deeply embedded. And, it is no longer possible to assume that animal human relationships in the lab continue along the fault line of the Great Divide. This book raises critical questions about what kinship means, or might mean, for science, for humanimal relations, and for anthropology, which has always maintained a sure grip on kinship but has not yet accounted for how it might be validly claimed to exist between humanimals in new and emerging contexts of relatedness. It raises equally important questions about the position of science at the forefront of new kinships between humans and animals, and questions our assumptions about how scientific knowing is produced and reflected upon from within the thick of lab work, and what counts as 'good science'. Much of it is concerned with the quality of humanimal relatedness and relationship. For the Love of Lab Rats will be of great interest to scientists, laboratory workers, anthropologists, animal studies scholars, posthumanists, phenomenologists, and all those with an interest in human-animal relations.
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