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The United Kingdom, Republic of Ireland, United States and the conflict in Northern Ireland, August 1971 - September 1974MacLeod, Alan Stuart January 2012 (has links)
This thesis offers a new interpretation of the international history of the early period of Northern Ireland’s ‘Troubles’. Such a revision is necessary given the recently released material in the national archives of the United Kingdom, Republic of Ireland and the United States, and in the personal archives of those involved. Furthermore, by adopting a different methodology, made possible by the recent archive material, further new perspectives emerge of the international dimension. Rather than taking a single element of the international history of the Troubles – for example, the ‘Irish dimension’, ‘American dimension’, the Cold War, or European integration – this thesis takes a multidimensional approach analysing the impact of the interactions of each of the international actors. The starting point for this multidimensional analysis is the introduction of internment without trial on 9 August 1971. This was not just a significant event in Northern Ireland, but also had the effect of internationalising the Troubles. Over the months that followed the international dimension developed two distinct spheres of activity – a political sphere and a security sphere. Different combinations of actors interacted in each of these spheres. In addition to the moderate Northern Irish parties, the British and Irish governments participated in the political sphere. The US government eventually ruled itself out of this sphere following the US presidential election in November 1972, but only after it had flirted with intervention. However, interventions by the US Congress’s ‘Irish Caucus’ continued. Meanwhile, in the security sphere, comprehensive Anglo-Irish security cooperation proved impossible to achieve. Instead, Anglo-American and Hiberno-American security cooperation developed – with Dublin eventually exerting as much of an influence on US policy as the UK. However, the US government’s attempts to supress IRA support were seriously restricted by the administration’s unwillingness to pick a fight with the Irish Caucus. The international dimension was an integral component of the peace process that resulted in the establishing of a cross-community power-sharing executive and the Sunningdale Agreement of December 1973. Even when this process was brought to an end by a Protestant backlash in May 1974 the principles developed during this period were confirmed and were to be central to future peace initiatives in Northern Ireland, including the Good Friday Agreement.
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Euro crisis - identity crisis? : the single currency and European identities in Germany, Ireland and PolandGalpin, Charlotte Amy January 2015 (has links)
This thesis examines the effect of the Euro crisis on the construction of European identities in three case study countries- Germany, Ireland and Poland. Combining a social constructivist approach to European identities with the constructivist and discursive institutionalist literature on ideational change and crisis, it investigates the extent to which the crisis constituted a 'critical juncture' for European identity discourses. Through extensive qualitative frame analysis of political and media discourse at key moments of the crisis, it examines how European identities are constructed through the debates about the crisis. The central argument is that the Euro crisis has had little effect on European identities because actors construct the crisis in their respective national contexts. In doing this, they draw on existing identities and ideas which then 'endogenises' the crisis into the existing national discourses. Where identity change is possible, it is subtle rather than a dramatic shift. Nevertheless, this does not mean that the EU has remained completely unified. Because the crisis generally serves to reinforce, rather than challenge, existing identities, attachments to national sovereignty and old national stereotypes have created or reinforced divisions particularly between northern and southern Europe and core and periphery.
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'Something radically wrong somewhere' : the Kindred of the Kibbo Kift, 1920-1932Cheng, Rachel K. January 2016 (has links)
This thesis examines the Kindred of the Kibbo Kift, a co-educational outdoors organisation that claimed to be a youth organisation and a cultural movement active from August 1920 to January 1932. Originally part of the Boy Scouts and Girl Guides, the Kibbo Kift offers rich insight into the interwar period in Britain specifically because it carried forward late Victorian and Edwardian ideology in how it envisioned Britain. Members constructed their own historical narrative, which endeavoured to place the organisation at the heart of British life. The organisation’s internal life revolved around the unique mythology members developed, and the movement aspired to regenerate Britain after the First World War physically and spiritually. This thesis argues Kibbo Kift was a distinctive movement that drew upon its members’ intellectual preoccupations and ideals and inspired its members to create unique cultural artefacts. While the Kibbo Kift was ultimately too politically ambiguous to have lasting political impact on a national scale, examining the organisation offers important insight into intellectual thought and cultural production during the British interwar period. This thesis charts the changes the organisation underwent through its membership and the different trends of intellectual thought brought in by individual members, such as its leader, John Hargrave, brought to the group. It examines the cultural production of the organisation’s unique mythology, which created a distinctive historical narrative. It surveys gender issues within the organisation through the “roof tree”, an experimental family unit, and the group’s increasing anti-feminism. Finally, it considers how Clifford H. Douglas’ economic theory of social credit caused the Kibbo Kift to transform into the Green Shirts Movement for Social Credit and later into the Social Credit Party of Great Britain and Northern Ireland.
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Discourses on emotions : communities, styles, and selves in early modern Mediterranean travel books : three case studiesEl-Sayed, Laila Hashem January 2016 (has links)
The present study focuses on emotion discourses in early modern travel books. It attempts a close textual, intertextual, and contextual analysis of several embedded narratives on emotions in three late sixteenth- and seventeenth-century travel books: Kitāb Nāṣir al-Dīn 'ala 'l-Qawm al-Kāfirīn: Mukhtaṣar Riḥlat al-Shihāb 'ila Liqā´ al-Aḥbāb by Andalusian traveller Ahmed bin Qāsim al-Ḥajarī (1570- c.1641), The Diary of Master Thomas Dallam by an English craftsman, Thomas Dallam (1575-1630), and Seyahâtnâme (The Book of Travels) by Ottoman traveller Evliya Çelebi (1611-1685). In these travel books, al-Ḥajarī, Dallam, and Evliya narrate their journeys as emotionally protean experiences. They associate emotions with the contexts of their journeys, their volition to travel, and their authorial motives to write about their journeys. They display their emotions in their dreams, humour, and other subjective experiences. Their narratives yield uncommon notions of emotions, namely the emotions of encounter. A love story between a Muslim traveller and a Catholic girl, an English craftsman's anxiety at the court of an Ottoman Sultan, a disgusting meal in a foreign land, are just a few examples of emotionally freighted situations which are unlikely to be found in any genre but a travel book. The close textual analysis aims to identify the role of the writers' cultures in shaping and regulating their discourses on emotions. The intertextual and contextual analysis of these narratives reveals that the meaning and function of these displayed emotions revolve around the traveller's community affiliation, religion, ideology, and other culture-specific discourses and practices such as Sufism, folk medicine, myths, folk traditions, natural and geographical phenomena, cultural scripts, social norms, and power relations. In a nutshell, reading the travellers' discourses on emotions means reading many cultural and historical aspects of the early modern world. To approach discourses on emotions in texts of the past, the present study draws on the theory of culture-construction of emotions. It uses three analytical notions from the fields of language, anthropology and history of emotions: 'emotional communities', 'emotional styles' and 'emotional self-fashioning'. The present study uses a theoretical framework defined by a recent wave of studies on self-narratives as sources for the history and cultural diversity of emotions in the medieval and early modern periods. Within this approach, travel writing is seen as a self-narrative, a communicative act, and a social practice. This approach to emotion discourses in Riḥla, travel journals and Seyahat genres allows us to project the transcultural and entangled history of the early modern Mediterranean, which as much it was a contested frontier between Islam and Christianity, was also a space of religious conversion and hybrid identities, the articulation of diplomacy and cultural exchange, mysticism and religious pluralism. This approach also pinpoints the diverse forms of cosmopolitanism, or rather cosmopolitanisms, in the plural.
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Reciprocal management of religious virgin mothersRussell, David William January 2011 (has links)
This study concerns two women who were religiously active either side of the Great Schism (1378–1417), a period of intensification of the excesses of personal pride and political ambition that divided the western Church and caused distress to devoted, thoughtful laity and clerics alike. Devout laity sought new expressions of piety in these stressful times and through examining the written legacies of two non-enclosed religious women, Caterina Benincasa and Margery Kempe, I explore not only the contemplative/devotional practices that characterise them, but also the clerics upon whom they relied for protection, support and guidance in male-dominated, strife-ridden medieval Europe. The two women, a northern Italian lifelong virgin for Christ and an East Anglian mother of fourteen children, prima facie, appear to have little in common except claimed illiteracy, a diversity of influences and acknowledging Bridget of Sweden as a fundamental inspirational source. However, both of their personal and literary management teams included members of several religious orders and their written productions were mostly dictated to and edited by men. They both negotiated their ecclesiastical acceptance from the position of institutionally inferior women through the exclusively female rôles of mother/sister/daughter in exerting influence over their father/brother/son managers through confronting them with their male self-images. Although the management practices applied in each case were very different in terms of structure and hierarchical level, the women‘s negotiations with the men followed similar lines, albeit through different written media. Caterina‘s negotiating techniques are found in the immediate medium of her letters and they involve persuasion and instruction as she tries to create situations that she can control in furtherance of her objectives. The study includes a selection of twelve letters that I have translated in full and analysed from the perspective of the register of the dialogues, the style and the imagery contained therein. Evidence of Margery Kempe‘s influence over her managers, including her husband, comes solely from the medium of the retrospective narrative of her Book in which she chooses the events that illustrate how she reacts to and manipulates people and situations to her advantage. The clerical managers were responsible for keeping their head-strong charges compliant with ever-changing contemporary views of orthodoxy within parameters negotiated between the women and the institutional church. Although there are clear, identifiable parallels between the managers in their styles and techniques, there are also differences rooted in the managers‘ perceptions of the two women‘s respective contributions to the furtherance of institutional aims. Caterina‘s situation was that of a woman whose institutional support was considered necessary at the highest levels of the Church‘s management structure. In Margery Kempe‘s case the management seemed to use her to develop aspects of their local inter-institutional competition for status and alms in Lynn. Despite this difference in influential level there is the strong probability of personal contact and shared theological academic backgrounds among the clerics that draws the teams together. This study concentrates primarily on comparing and contrasting the subtleties of the negotiations between each woman and her managers, negotiations which are often influenced by the women‘s introduction of the transcendental force of God‘s will as revealed only to them, and secondarily on the possible connections between the managers that link England to Italy, Lynn to Siena and Margery to Caterina. The management techniques revealed are independent of any connections between the managers and there is little by way of common techniques apart from the complexities of reciprocal management and the women‘s exploitation of male conceptions of what is appropriate to themselves (the managers) and to women in the Church.
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Sir Eyre Crowe and Foreign Office perceptions of Germany, 1918-1925Dunn, Jeffrey Stephen January 2006 (has links)
No description available.
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Competition or admiration? : Byzantine visual culture in Western Imperial Courts, 497-1002Blake, Stacey A. January 2015 (has links)
The following dissertation reassess previous explanations for the transmission of Byzantine iconography to western material culture that have been classified by the classical canon as being manifestations of a ‘barbarian’ ruler attempting to legitimize their fledgling culture. The tumultuous relationship between the east and the west during the Late Antique period to the middle Byzantine period and the subsequent visual culture that demonstrates cross-cultural exchange comprises the majority of my analysis. I approach the topic in a case study fashion focusing on five rulers: Theodoric, Charlemagne, and the three Ottos. The source material chosen for this dissertation varies as it has been selected based on claims by previous scholarship of demonstrating some level of Byzantine influence. My re-examination of these works includes the application of an interdisciplinary theoretical framework first postulated by Robert Hayden: Competitive Sharing. This theory suggests that material culture displaying syncretism was not a reflection of admiration, but of competition. An implication of this study is that art was an active participant in the relationship between the east and the west, serving as a communicative device, rather than as the more frequently cited passive role of a conduit for iconographical transmission or cultural legitimization.
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The East India Company in the Persian Gulf : the view from Bandar AbbasGood, Peter January 2018 (has links)
The Persian Gulf represents a vital, yet unexplored region of the East India Company’s sphere of influence. By considering the Gulf as an important space of interaction between the Company and successive Persian regimes, a new relationship can be revealed. From the Company’s foundational action in assisting Shah Abbas I in the capture of Hormuz in 1622, to the creation of a fleet by Nader Shah in the 1730’s, the Company’s experience with Persia represents a different angle on wider trends in Company history. The Company’s factory at Bandar Abbas was a nexus for Indian Ocean trade, as well as the living quarters for a small community of Europeans, whose lives and livelihoods depended on the recognition of rights granted by successive Persian Shahs in the Farman; a legal document of great influence and longevity, originally granted by Abbas I, which lasted for more than a century.
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Institutionalised consensus in Europe's parliamentBenedetto, Giacomo Giorgio Edward January 2005 (has links)
Embedded consensus has characterised the behaviour of the European Parliament since its foundation in the 1950s. This research tests the path dependence of consensus during the period of 1994 to 2002, in the light of the changing institutional powers of the Parliament. It challenges existing theory and empirical evidence drawn mainly from roll call votes that has concluded that the European Parliament has become more competitive internally in response to increased institutional powers. There are three causal factors that reinforce consensus: the need to reconcile national and ideological divisions within a multinational political system; the pull of external institutional factors such as institutional change or the separation of powers; and internal incentives for collusion between political actors influenced by the need to accommodate the interests of the national elites present at the level of the European Union. Switzerland, a multiple cleavage system of decentralised federalism that includes consociational characteristics and a separation of powers, provides a comparative reference point for institutionalised consensus. The hypotheses of institutionalised consensus are tested empirically in four ways: 1) by roll call votes between 1994 and 2001, focusing on procedure, policy area, and the cut-off point of the 1999 elections; 2) competition and consensus in the distribution of policy-related office in the Parliament; 3) by Parliament’s use of its powers of appointment and censure over other institutions; and 4) by the internal consensus on the preparation of Parliament’s bids for greater powers when the European Union Treaties are reformed. In adapting the theory of path dependence to a multinational legislature, the methodology presented in this thesis can be applied in furthering the understanding of other comparable institutions.
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Divine polity : the Baha'i international community and the United NationsBerger, Julia January 2018 (has links)
This thesis argues that in order to understand more fully the engagement of non-governmental organizations (NGOs) with the United Nations-specifically NGOs that express a religious or faith-based commitment-we must consider both their actions and the rationale behind them, the what as well as the why. To study the underlying rationale, the thesis introduces the concept of the organizational substrate, which offers a new analytical tool to draw out this undertheorized dimension of religious NGOs (Chapter 2). The substrate complements the analytical tools currently deployed by social scientists and goes beyond descriptions of organizational behavior to examine the internal rationale underpinning the behavior. The internal rationale is explored through a focused analysis of the Bahá'í International Community's United Nations Office (BIC). This organization is selected because of its reputation as a valued and effective contributor in UN fora; its seventy-year history of engagement (1945-2015); and its scriptural engagement with questions of politics and world order. The thesis also contributes to the nascent scholarship about UN-accredited religious NGOs outside of the Christian tradition. Having identified the constitutive elements of the BIC's organizational substrate, using a hermeneutic and historical approach, the thesis develops a distinct periodization of the BIC's engagement from 1945-2015. The periodization provides a historical framework (though not a historical analysis) for examining the manner in which the substrate shapes action across different historical circumstances. Each of the four historical periods offers evidence of the salience of the organizational substrate for understanding the operation of the NGO. The first period, 1945-1970 (Chapter 3) enables us to see the manner in which the substrate frames the BIC's rationale for engagement with the UN and its understanding of the UN in the context of the broader processes of civilizational, social and political evolution. In the second period, 1970-1986 (Chapter 4), the thesis demonstrates the pivotal role of Bahá'í authoritative structures in articulating, elucidating, and socializing the substrate of the organization. Between 1986 and 2008 (Chapter 5), the substrate-based analysis reveals a distinct epistemology and methodology-associated with the conception and pursuit of peace. During the final period, 2008-2015 (Chapter 6), the substrate undergirds the shift to an explicitly discursive, organic approach to engagement in UN processes, and a reconceptualization of the terms of engagement with the UN. This thesis goes beyond social scientific approaches to the study of religious actors at the UN, to demonstrate that knowledge and action require understanding of the distinct rationality of each NGO. It is by identifying and observing the operation of the organizational substrate that this pivotal and foundational element of NGO engagement at the UN comes to light.
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