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Article

International agreements on environmental issues are the result of the coordination of states’ foreign policies. To understand the international politics of the environment requires attention to the institutional, social, economic, and cognitive factors that determine foreign policies. Although nearly every foreign policy bears on environmental concerns, the focus is on the policies that states adopt centered on humanity’s relationship to the natural world and ecology. Scholarship on environmental policy and foreign policy has not developed distinctive schools of thought. However, organizing scholarship according to a theoretically grounded typology reveals affinities among various scholarly works: systemic, societal, and state-centric approaches can be grouped according to whether they emphasize power, interests, or cognitive factors. Most studies of environmental foreign policy are oriented toward problem solving—identifying discrete problems in existing institutional arrangements and pointing toward solutions to these problems that do not question the institutions fundamentally. This orientation may not be adequate if crossing planetary boundaries leads to environmental challenges so severe that current institutions cannot cope. Climate change poses just such a challenge, and the rising concentration of greenhouse gases in the atmosphere means a future crisis is predictable. Thus, scholars might be best advised to orient toward critical theory, which seeks feasible alternatives to existing arrangements. The study of foreign policy toward the environment would be most useful in helping scholars and policy makers to identify and surmount barriers to transformational changes that would enable humanity to cope with future environmental crisis.

Article

Carl Folke

Resilience thinking in relation to the environment has emerged as a lens of inquiry that serves a platform for interdisciplinary dialogue and collaboration. Resilience is about cultivating the capacity to sustain development in the face of expected and surprising change and diverse pathways of development and potential thresholds between them. The evolution of resilience thinking is coupled to social-ecological systems and a truly intertwined human-environment planet. Resilience as persistence, adaptability and, transformability of complex adaptive social-ecological systems is the focus, clarifying the dynamic and forward-looking nature of the concept. Resilience thinking emphasizes that social-ecological systems, from the individual, to community, to society as a whole, are embedded in the biosphere. The biosphere connection is an essential observation if sustainability is to be taken seriously. In the continuous advancement of resilience thinking there are efforts aimed at capturing resilience of social-ecological systems and finding ways for people and institutions to govern social-ecological dynamics for improved human well-being, at the local, across levels and scales, to the global. Consequently, in resilience thinking, development issues for human well-being, for people and planet, are framed in a context of understanding and governing complex social-ecological dynamics for sustainability as part of a dynamic biosphere.

Article

David Litz and Rida Blaik-Hourani

Transformational leadership is one of the most widely discussed and utilized notions that has risen to the forefront of educational administration. Transformational leadership was initially conceived of as a process whereby leaders strategically transform the system or organization to a higher level by increasing the achievement and motivation of their followers. Early theorists would also argue that transformational leadership and change are inexorably intertwined, which in turn underscored the importance of a leader’s ability to positively transform the attitudes, norms, institutions, behaviors, and actions that structure our daily lives. Later writers and researchers would gradually extend and develop the theory and argue that the goal of transformational leadership is to transform people as well as organizations. Early work on transformational leadership concentrated on politics, business, and the armed services, and the research emphasized the value of “followers” as a distinguishing factor present in the transformational leadership model. This distinction is likely what led scholars to apply its tenets to modern educational contexts, which are typically characterized by significant pressures to implement widespread reforms and change. In this regard, transformational leadership is often viewed as well suited to education as it empowers followers (i.e., instructors) and provides them with a sense of hope, optimism, and energy and defines the vision of productivity as they accomplish goals. Additionally, transformational leaders work toward influencing shared beliefs and values to create a comprehensive level of change and innovation and aim to nurture a school culture that is oriented toward a learning ethos, whereby such leaders seek to expand the capacities of each employee, enhance their ways of thinking, and promote individual ambition. In this way, learning and growth becomes a shared responsibility. Transformational leadership has garnered significant attention and popularity. However, when viewed from a globalized and cross-cultural perspective it raises significant questions regarding generalization. One key question in the literature surrounding transformational leadership is whether the concept can be applied across national and organizational cultures. Theoretical education debates often focus on transformational leadership’s reliability and viability within educational environments, especially regarding how such environments define and handle change, organizational learning, institutional effectiveness and improvement, and enhancing student outcomes.

Article

Myrna Santiago

Before there was Mexico, there was oil. Millennia of organic matter that collapsed and liquefied into fossil fuel rested deep underground and underwater along the half-moon territorial formation that 19th-century geographers named the Mexican Gulf. Hidden by the lush tropical rainforests, marshes, and mangroves that occupied the landscape from the Pánuco River on the border between modern day Tamaulipas and Veracruz and the Bay of Campeche on the South, the oil seeped to the surface in small ponds, sometimes blackening the waters of streams and lagoons from Tabasco to the Huasteca. The human communities who inhabited that part of the globe thousands of years later knew about and utilized nature’s oozing sticky black tar. The Olmec, who flourished in southern Veracruz from 1200 to 400 bce, collected the viscous liquid. They used it to seal canoes and aqueducts, to paint and decorate clay figurines and knife handles, to pave the floors of their homes, and to glue materials. There is evidence they boiled and cooked the petroleum for better usage, a process that would become known as refining in the 19th century. At the northern end of the rainforest, the region called the Huasteca, the Teenek also gathered the syrupy fluid from its natural springs into the 15th century and used it in ways similar to the Olmec of yesteryear: as sealant for canoes, paint for pottery, perfume, gum for chewing and teeth cleaning, illuminant for torches, and aromatic incense for religious ceremonies. Yet it was the Aztec who gave petroleum the native name that survives to this day, chapopote, the hispanicized version of tzaucpopochtli, meaning fragrant (popochtli) glue (tzauctli). As humans did globally, those who lived with chapopoteras utilized what nature created and transformed it according to their cultural needs and inventions. There is no evidence that anyone living along the coastal range of the Gulf of Mexico in the pre-Columbian era went beyond collecting the oil that percolated from the subsoil naturally. In other words, there is no evidence of extraction of petroleum by indigenous people. Oil extraction, and its environmental consequences, is a 20th-century story, layered over a 15th-century ecological revolution.

Article

Political narratives examine the ways in which stories, or narratives, are used to investigate the political world. Historically, stories have not been regarded as legitimate sources of data for such explorations. In recent years, however, this has changed, as “the narrative turn” hit the social sciences; still, while disciplines such as psychology, sociology, and anthropology were more amenable to this alteration—representing, as it does, not only different methodologies, but also a different epistemological framework—many political scientists continue to resist the idea that political narratives can offer a very particular, and almost unique, perspective on how individuals and groups construct the political world and are constructed by it. One of the most dramatic uses of highly effective political narratives, which blurs the boundaries between the personal and public, is that of Barack Obama, which is used as a central case study in this article.

Article

Research feedback is given in very different ways with different intended functions and effects. From a positivist or reconstructed positivist perspective, for instance, feedback is used primarily as a strategy for improving research validity, while from a critical perspective the intention is to induce deeper and sustained levels of participation, critique, and influence toward a purpose, ultimately, of social transformation. From a philosophical foundation this aim allies with the significance of not only understanding contemporary educational empirical reality under neoliberal forms of capitalism but also developing critical consciousness for the transcendence and transformation of this condition. From within a critical education perspective, research feedback therefore sets out to engage schools and their communities, including teachers and parents, as co-researchers and reflective agents capable of understanding and changing education and its social relations, not only being recipients of it as in Freire’s notion of a banking concept of education. Change is encouraged both within the framework of the investigation and with respect to broader social relations.

Article

Generative emergence is one of many theories for how new entities are created; how a new order comes into being. Emergence itself is one perspective on change and transformation. However, whereas change is an alteration of existing structures, emergence refers to the creation of a new (social) entity. Explaining the phenomenon of creation, at all levels, is the goal of an emergence science. Generative emergence takes a step in that direction, which explains how emergence can be enacted in practice. Generative emergence derives from dissipative structures in thermodynamics, a theory of new order creation. In the experiment that produced the theory, heat energy is dissipated through a closed container (from a source to a sink), and the heat is continuously increased. At a threshold point, an entirely new level of order emerges across the molecular substrate, in the form of large whirlpools (visible to the naked eye). These macrostructures confer “orders of magnitude” more capacity to dissipate the incoming energy flux. This unique order-creation process has led to a strong multidisciplinary literature, carefully analogizing this order creation process to social systems. Specifically, in empirical research across multiple levels of analysis (from leadership to teams to ventures to strategies to new markets), the same four phases of activity have been identified. These four phases have been integrated into the theory of generative emergence, which reveals the sequential conditions through which a new system emerges. The phases are (a) disequilibrium organizing and stress, (b) experiments and amplifications to a critical threshold, (c) emergence of a new entity, and (d) stabilizing the new system into a dynamic state. Generative emergence also shows how each phase can be supported and enacted through the actions of leaders. Specifically, a close reading of empirical research on dissipative structures in social systems reveals a set of leadership interventions that have improved the likelihood that these phases would build in sequence, leading to the creation of an emergent—a new entity. As one example, consider phase 1: disequilibrium organizing and stress. Entrepreneurial leaders initiate this through opportunity recognition for the creation of new value. As they pursue this aspiration, the dramatic increase in organizing—with its concomitant upsurge in work hours and uncertainty—leads to growing stress and conflict. Here, generative leadership shows how to “manage” this stress, for example by providing space for internal innovations and “experiments” by employees, which might spark the new level of the organization. In like manner, each of the phases has leadership correlates, which together coalesce into the emergence of a new system—a new initiative, venture, organization, or macrolevel market. The power of the generative emergence theory is that the new order that results can dramatically increase the capacity of the system, and for all of its members. As such, the leadership actions which generate this outcome are worthy of careful exploration and enactment.

Article

Higher education in South Africa, as elsewhere in the world, is under pressure to reinvent and transform itself. Traditionally it has enjoyed the financial support of the government and has also enjoyed an autonomous existence. In South Africa, since the demise of apartheid, the education policy terrain has shifted remarkably fast and policies have required that universities respond to a national plan for higher education that commits universities to become cost- effective, massified institutions opening access to all who were historically excluded due to apartheid’s policies of educational exclusion. Universities in the higher education sector as a whole are required to generate strategies that broaden access routes for disadvantaged groups and at the same time consider curriculum strategies that ensure success and inclusivity to such groups after access. In addition to these daunting challenges, the higher education sector has experienced a decrease in government funding and an increase in government control. Student-led protest around the cost of higher education has also introduced a new kind of pressure point on universities. These shifts are in sharp contrast to the more elite traditional model of higher education in South Africa, which has been mostly residential institutions focusing on full-time study, with lectures, seminars, and laboratory demonstrations as the dominant forms of pedagogy. This model is also based on sets of internal rules designed to support staff to spearhead the knowledge-production processes. They function best under stable environments and tend to meander and falter when the foundations for stability are threatened.

Article

A pervasive system of migrant labor played a fundamental part in shaping the past and present of South Africa’s economy and society and has left indelible marks on the wider region. South Africa was long infamous for its entrenched system of racial discrimination. But it is also unique in the extent to which urbanization, industrialization, and rural transformation have been molded by migrant labor. Migrancy and racism fed off each other for over a century, shaping the lives and deaths of millions of people.

Article

The word “spirituality” has become increasingly common. What does it mean? It is not limited to spiritual practices, such as meditation, but suggests the pursuit of a life shaped by a sense of meaning, values, and perhaps transcendence. Although the word is used in different religions, and by people with no religious beliefs, its origins were Christian and referred to living life under the influence of God’s spirit. Nowadays, in a consciously plural world, Christian spirituality has a specific content whose origins are the Jewish and Christian scriptures. In particular, Christian spirituality is associated with following the teachings of Jesus Christ or imitating his values. The main New Testament word for this is “discipleship,” which has two main elements. First, there is a call to personal transformation (conversion). Second, Christians are to continue the mission of Jesus to transform the world and to build the kingdom of a God of love. In that fundamental sense, Christian spirituality is inherently concerned with social transformation. In the Gospel of Matthew, this includes sharing in Jesus’ work of forgiveness and healing. In the Gospel of Mark it involves selfless service of others. The history of Christian spirituality is a varied story of ways of approaching discipleship. Needless to say, part of what makes Christian spirituality distinctive is its underlying beliefs—in other words, how it understands the reality of God, the value of the material world, human nature, and identity and how these interconnect. The great variety of spiritual traditions and writings within Christianity originated at different times and places. However, they are continually being adapted in the light of new historical and cultural contexts. Scholars have sometimes found it helpful to identify different types of Christian spirituality. Their choices vary, and the types are interpretative tools rather than straightforward descriptions. “Types” help us to identify distinctive styles of spiritual wisdom. The ascetical type, sometimes associated with monasticism, highlights discipline and detachment from material pleasures as the pathway to spiritual growth. The mystical type focuses on the desire for an immediacy of presence to, and intuitive knowledge of, God, frequently via contemplative practice. The active type promotes everyday life and service to other people as the context for spiritual growth. The aesthetic type covers a range of ways in which the spiritual journey is expressed in and shaped by the arts, music, and literature. Finally the prophetic type of spirituality embraces an explicit commitment to social justice and the transformation of society. Christian spirituality has become a major area of study. It is an interdisciplinary field shaped by scripture, theology, and Christian history, but which may also draw upon psychology, the social sciences, literature, and the sciences. The study of Christian spirituality is also “self-implicating,” in the sense that it is not treated in a purely theoretical way but includes a quest for practical wisdom. Finally, the traditions of Christian spirituality increasingly engage with important issues of social and cultural transformation, for example interreligious dialogue, peace and reconciliation, ecological questions, the future of cities, the world of business, and the meaning of healthcare.

Article

The meaning and context of gender is contested even in the 21st century. No generalizations about gender are applicable through time or across space. Even where gender roles are defined by particular cultural norms, they are not static, and an individual may pass through several gendered social transformations in a lifetime. Sub-Saharan African rites of passage into adulthood are sometimes marked by gender-specific physical mutilations such as circumcision, dental modification or scarification, together with other forms of symbolic marking that invariably adopt a binary gender system as the norm. The initiations are largely designed to instruct initiates about behavior appropriate for men and women of reproductive age belonging to a specific community. Some aspects of initiation rites may be detected archaeologically through skeletal alterations, rock art motifs, and props such as scarified dolls. Concepts of gender are also connected to the last rite of passage: burial. Through this, people gain access to the ancestral world. In some parts of Africa such as Mali, men and women are buried with the artifacts they owned in life, while in Ethiopia, stelae mark the gender of the deceased. Elsewhere, as in the Stone Age of southern Africa, gender-undifferentiated grave goods are placed with men, women, and children, suggesting a genderless ancestral world. Gender roles can be identified in some archaeological sites in parts of Africa, and these roles sometimes appear to have altered through time. Gender roles changed with environmental shifts, and certain tasks such as big-game hunting disappeared as a result. In other cases, gender roles were revised because of social pressures imposed on specific communities.

Article

Vulnerability is complex because it involves many characteristics of people and groups that expose them to harm and limit their ability to anticipate, cope with, and recover from harm. The subject is also complex because workers in many disciplines such as public health, psychology, geography, and development studies (among others) have different ways of defining, measuring, and assessing vulnerability. Some of these practitioners focus on the short-term identification of vulnerability, so that maps and lists of people living “at risk” can be generated and used by authorities. Others are more concerned with reasons why some people are more vulnerable when facing a hazard or threat than others. Professionals working at the scale of localities are interested in methods that bring out residents’ own knowledge of hazards and help them to cooperate with each other to find ways of reducing risk. There are some interpretations of vulnerability that seek its root cause in the creation of risk by political and economic systems that make investment and locational decisions for the benefit of small elites without regard for how these decisions affect the majority. Finally, whatever success there may be in treating vulnerability in any of the ways just mentioned, it will always be a part of the human condition, and this fact in itself is puzzling.

Article

Daniel Tomsic and Julieta Sztarker

Decapod crustaceans, in particular semiterrestrial crabs, are highly visual animals that greatly rely on visual information. Their responsiveness to visual moving stimuli, with behavioral displays that can be easily and reliably elicited in the laboratory, together with their sturdiness for experimental manipulation and the accessibility of their nervous system for intracellular electrophysiological recordings in the intact animal, make decapod crustaceans excellent experimental subjects for investigating the neurobiology of visually guided behaviors. Investigations of crustaceans have elucidated the general structure of their eyes and some of their specializations, the anatomical organization of the main brain areas involved in visual processing and their retinotopic mapping of visual space, and the morphology, physiology, and stimulus feature preferences of a number of well-identified classes of neurons, with emphasis on motion-sensitive elements. This anatomical and physiological knowledge, in connection with results of behavioral experiments in the laboratory and the field, are revealing the neural circuits and computations involved in important visual behaviors, as well as the substrate and mechanisms underlying visual memories in decapod crustaceans.

Article

Baptism opens a window to the heart of Martin Luther’s 16th-century theology. It offers a perspective for how Luther understands the impact of grace and its channels, as well as the nature of justification in an individual’s life. In his teaching about baptism, Luther demonstrates the vital working of the Word and lays a foundation for a Word-centered and faith-oriented spirituality. With baptism, Luther articulates his vision for the purpose of the Church and the rationale for sacraments. Baptism reveals different sides of the theologian: one who argues with a zeal on the “necessity” of baptism and its meaningful God-mandated practice in Christian communities and another who imagines God’s saving grace too expansive to be limited to any ritual. The apparent tensions in Luther’s articulation can be understood from his overlapping agendas and different audiences: in his baptismal talk, Luther is both processing his own Angst about salvation and negotiating his developing position in relation to the medieval sacramental theology and other emerging reform solutions. While feistily refuting his opponents, he is also speaking from his personal religious experience of being as if reborn with the encounter of the Word of grace and passionately extrapolating his most foundational conviction: God’s unconditional promise of grace as the ground of being for human life, given to humanity in the Word. The matter of baptism leads to the roots of different Christian “confessional” traditions. The format of the ritual has generated less anxiety than differing theological opinions on (1) the role of faith in the validity of baptism, and (2) the effects of baptism in one’s life. Whether infant or adult baptism is favored depends on whether baptism is primarily understood as a sign of faith, a cause of forgiveness and transformation, or an initiation into the Christian community—or all of the above. Baptism is at the center of Luther’s theological nervous system; it connects with every other vital thread in the theological map. Baptism is a mystery and a matter of faith; it calls for a philosophical imagination and mystical willingness to grasp the questions of reality beyond what meets the eye. “I study it daily,” Luther admits in his “Large Catechism.” “In baptism, therefore, every Christian has enough to study and practice all his or her life. Christians always have enough to do to believe firmly what baptism promises and brings.”

Article

The “English School” of International Relations is a historically formed community with somewhat uncertain—even disputed—beginnings. The awareness that there was such a network of scholars grew in the late 1970s against a background of an impressive succession of publications in the UK in the 60s and 70s. As with any historically formed community, the English School gradually transformed itself from a grouping of scholars with intellectual similarities and close personal ties toward a succession of scholars who see themselves as taking part in the historical evolution, or continuing story, of the English School. The key event that contributed significantly to its transformation was the call to “reconvene the English School,” resulting in a “new English School” loosely organized by overlapping networks and activities based in British International Studies Association (BISA) and the International Studies Association (ISA), among others. The writings of the English School, or scholars commonly associated with that label, embody one or more of the following three concerns in their respective investigations into world politics: “structural,” “functional,” and “historical.” Hence, the key interests of the English school are the formal structure and functional studies of the society of sovereign states, as well as the historical transformations of past and present international societies.

Article

Fenwick W. English

That some of the characteristics of leaders, ancient and modern, involve the ability of a leader to connect with and create an emotional bond with followers is an age-old documented phenomenon. Academic studies of charisma, as a special gift from the gods, have proven disappointing. Finding predictable descriptors about who is or is not such a leader have not revealed the kind of scientific reliability believed to be required to stand the test of context free generalization. Studies about charismatic leaders have shifted from compiling lists of common traits or behaviors, to recognition that situational context and culture in which a leader functions is a more reliable guide to what leaders with charisma do and what lies behind their common agendas throughout history. There are different types of charismatic leaders depending on their motivation and who benefits from their ministrations. Bureaucracies do not require leaders to be charismatic because the authority of bureaucracy is rational and legal, not emotional. Yet the essence of transformational leadership is the emotional bond between leaders and followers. Such a bond is independent of the moral legitimacy of any agenda which units them.

Article

Among the many strengths of higher education is the adaptability of faculty to create curricula in response to the changing needs of society. Since the 1950s, there has been a growing awareness of the consequences of modernity on natural environmental processes. This, in turn, has led to a dramatic increase in course offerings on many subjects related to the environment and sustainability, including substantial teaching and research activity in global environmental politics. Examining what is being taught in the nation’s classrooms provides an opportunity to gain insight into how college teachers are preparing students for the world they live in. One way to demonstrate the complex ways in which global environmental politics can be taught is by viewing it through the lens of Shulman’s framework, called “pedagogical content knowledge.” Derived from principles in contemporary learning theory, Shulman proposed approaching pedagogy by having teachers work through six steps: comprehension, transformation, instruction, evaluation, reflection, and new comprehension. Viewing the teaching of global environmental politics through these six steps is useful to seeing the depth and complexity of teaching in this particular subject area. Using this framework, an analysis of how college teachers have approached their course preparation shows that most professors continue to use conventional approaches to teaching. These approaches include a traditional way of teaching, mostly lecture with classroom interaction and group work and a traditional choice of content, with an emphasis on literature with western epistemological worldviews. From this examination, one can conclude that the teaching of global environmental politics can be strengthened by integrating Shulman’s framework into the classroom: setting the context; building positive social norms; emphasizing inquiry, discovery, and synthesis; and creating the possibility of transformation.

Article

For the greater part of the 19th and 20th centuries, Cuba, the largest island in the Antilles, figured as the principal exporter of sugar cane, a product that dominated the country’s agro-industry. In this way, Cuba became illustrative of the economic, social, political, and environmental impact of basing an economy on monoculture in order to supply foreign markets. This does not mean, however, that sugar cane was the only major crop being grown in the Cuban fields, as there was no dearth of different plants destined for foreign markets, such as tobacco and coffee, or for local markets, such as yucca, plantains, corn, sweet potatoes, and rice, not to mention a long if little-known livestock tradition. However, the dominance of agro-industry almost always eclipses agricultural and economic alternatives that could become potential competitors, despite the periodic adverse circumstances that affect consumers. But, in the 1990s, the production and exportation of sugar suffered an abrupt fall, creating a vacuum that allowed diversification of land use and that prompted a search for alternative agricultural models.

Article

Adeeb Khalid

Uzbekistan was created in 1924 as a result of the so-called national-territorial delimitation of Soviet Central Asia. Although created in the context of the implementation of the Soviet policy of granting territorial autonomy to different nationalities in the Soviet multinational state, Uzbekistan was in many ways the embodiment of a national idea of the Central Asian intelligentsia. For the first sixty-seven years of its existence, Uzbekistan was part of the Soviet Union. It experienced the massive transformations unleashed by the Soviet regime in the realms of politics, society, and culture (the establishment of a command economy, collectivization, an assault on Islam, forced unveiling) that reshaped society in significant ways. Purges in the 1930s removed from the scene all actors with any experience of public life before the consolidation of Soviet power and installed new political and cultural elites in their place. The Second World War was in many ways a watershed. Participation in the war integrated Uzbekistan and its citizens into the Soviet Union. The postwar period saw increased investment in the republic and the achievement of mass education and universal literacy. The postwar era also saw the consolidation of Uzbek political elites at the helm of the republic as well as the crystallization of an Uzbek national identity, the work of the Uzbek Soviet intelligentsia. Yet, Uzbekistan’s primary duty to the Soviet economy remained that of producing as much cotton as possible. Production quotas kept on increasing (by the early 1980s, the hope was to produce 6 million tons of raw cotton annually) and the cotton monoculture meant that the Uzbek population remained primarily rural and socially conservative. A complex gender regime emerged in which women had legal equality, access to education, and high rates of participation in the labor market, but were also the guardians of national tradition. The later Soviet period also witnessed high rates of population growth that doubled the ethnic Uzbek population between 1959 and 1979. By the early 1980s, the high costs of the cotton monoculture were becoming obvious. An anti-corruption campaign directed from Moscow antagonized both the Uzbek party elite and the general population, just as Mikhail Gorbachev began the series of reforms that led to the dissolution of the Soviet Union in 1991. In this turbulent period, the Uzbek party elite refashioned itself as the champion of the Uzbek nation and emerged in control of the state as Uzbekistan became independent. The independent Uzbek state has sought its legitimacy by its claim to serve the interests of the Uzbek nation. It works on the basis of an Uzbek national identity that had predated the Soviet Union but had crystallized during it. Now, after independence, that identity can be articulated without the constraints placed on national expression during the Soviet period. There remain significant continuities with the Soviet period in terms of basic assumptions about politics and society, and they are the most clearly visible in the state’s fraught relationship with Islam.

Article

Few concerns in critical-cultural approaches to communication intersect with as many adjacent fields of inquiry as does “space.” To talk about space is to share a conversation with philosophers (Henri Lefebvre, Michel Foucault, Gilles Deleuze, Edward Casey, Bruno Latour, Manuel DeLanda), critical geographers (Derek Gregory, David Harvey, Edward Soja, Doreen Massey), historians (Fernand Braudel, Michel de Certeau), sociologists (Pierre Bourdieu, Lewis Mumford, Jane Jacobs), literary and cultural theorists (Fredric Jameson, Meaghan Morris, Tony Bennett, Lawrence Grossberg, Timothy Morton), media ecologists (Harold Innis, Marshall McLuhan, Walter Ong, James Carey), political theorists (Jane Bennett, Nigel Thrift), and rhetoricians (Carole Blair, Greg Dickinson, Joan Faber McAlister, Jenny Rice, Nathaniel Rivers, Thomas Rickert). To talk about space is thus to talk with a plenitude of others about a plenitude of social practices, landscapes, mediums, objects, and configurations, but at bottom a concern with space is a concern with the kinds and qualities of relations between and among bodies and things. To be concerned with space is to be invested in the emergent scenery of arrangement, how groupings of bodies come to assume particular shapes and orderings and not others. The “how” question, in turn, is the question of communication as it leads to issues of influence and pressure: of the historical processes that shape our habits and modes of persuasion and constellations of power. Communication and space converge where the “how” of influence meets the “where” of historical emergence. While we have always lived and acted in importantly spatial ways, however, the critical-spatial consciousness that pervades the humanities today is itself a recent historical emergence.