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  • About
  • The Global ETD Search service is a free service for researchers to find electronic theses and dissertations. This service is provided by the Networked Digital Library of Theses and Dissertations.
    Our metadata is collected from universities around the world. If you manage a university/consortium/country archive and want to be added, details can be found on the NDLTD website.
111

De andra hos Merleau-Ponty : Om fenomenologisk intersubjektivitet

Jensen, Max Joakim Mouritzen January 2008 (has links)
I Logische Untersuchungen formulerade Edmund Husserl sin fenomenologi – ”en filosofi som sträng vetenskap”. Fenomenologin med dess metod, epochén, skall utövas under parollen ”Till sakerna själva!” Genom att ifrågasätta invanda tankesätt skall vi sätta världen inom parentes och därigenom nå objektiv kunskap. Denna uppsats behandlar intersubjektivitetsproblemet hos fenomenologin. Genom en studie av Husserls Cartesianische Meditationen, Martin Heideggers Sein und Zeit och Maurice Merleau-Pontys Phénoménologie de la perception närmar jag mig frågan om ”De andra hos Merleau-Ponty”. Hur kan vi förstå den andre och annanheten när fenomenologins epoché är en metodisk solipsism som berövar subjektet dess värld? Merleau-Ponty gör oförnuftet, tvetydigheten och slumpen till tema för sitt tänkande. Genom perceptionen varseblir vi världen och subjektet är (i) sin värld genom den levda kroppen. Det finns inget ”inre” utan det är genom världen, och vår verksamhet däri, som vi känner oss själva. Merleau-Pontys subjekt är ”vikt åt världen”. / In Logische Untersuchungen Edmund Husserl defined his phenomenology as a science for finding objectivity. The method of phenomenology, the phenomenological reduction, would provide knowledge on indubitable grounds by going back “to the things themselves”. We must put the world aside if we want to find objective knowledge. This essay is a reading of Edmund Husserls Cartesianische Meditationen, Martin Heideggers Sein und Zeit and Maurice Merleau-Pontys Phénoménologie de la perception, and their theories of the others. How can we understand other in our mind when phenomenology in the course of its methodological solipsism, thought the phenomenological reduction, would seem to deprive the subject from the world? Merleau-Ponty makes ambiguity and accidental existence a theme for his philosophy. Through perception we apprehend the world, as lived through with our bodies. There is no “inner man”. With some else’s words: ”Your abode is your act itself. Your act is you.”
112

Polyrytmik : Bergson och erfarenhetens rytm

Linnros, David January 2008 (has links)
Inspired by Kitaro Nishida’s concept of pure experience this thesis analyses Bergson’s concept of experience with the intention of showing how experience is related to duration and how this in turn destabilizes certain tendencies towards subjectivism that can be found in Bergson’s work. This is accomplished through a reading of Matter and memory, Creative Evolution and Introduction to metaphysics that tries to desintegrate both subject and object in favor of duration. The thesis arrives at describing the combination of duration and non-subjective and supra-individual experience as a polyrhythmic movement.
113

Trusting and Taking Risks : a Philosophical Inquiry

Hayenhjelm, Madeleine January 2007 (has links)
This dissertation is a philosophical contribution to the theories on trust and on risk communication. The importance of trust in risk communication has been argued for and empirically studied since the 80s. However, there is little agreement on the notion of trust and the precise function of trust. This thesis sets out to study both aspects from a philosophical point of view. The dissertation consists of five essays and an introduction. Essay I is a comment on risk perception theory and the psychometric model in particular. The essay argues that sometimes individuals take risks simply because they are in a vulnerable position and have no other choice. Four factors are identified as crucial in risks from vulnerability: poor outset conditions, lack of reasonable options, hope and liability to disinformation. Essay II addresses the democratic approach to risk communication and the ideal of risk communication as a dialogue between more or less equal stakeholders. The essay develops a typology of different risk communication practices and influence distributions and concludes that the form of risk communication most commonly referred to in the literature is of the most imbalanced kind where all three types of influence falls to the same party. Essay III argues that trust can be understood as comfortable defocusing. Trust as comfortable defocusing means that when a person trusts, he or she is comfortable with letting certain things be in the hands or in the control of the trusted other. Departing from this idea a definition of trust is proposed consisting of three elements: (i) the truster’s comfortable defocusing from the trusted person’s part of caring for X, based on a (ii) belief about the trusted person’s care for X, concerning (iii) something of concern to the truster. Essay IV explores the concept of trustworthiness and under which conditions trust can be betrayed in a morally justified way. It is argued that two aspects are essential for every reasonable notion of trustworthiness: reliability in terms of commitment to trust and predictability in terms of compliance with norms. In order to be untrustworthy in a morally justified way two major conditions need to be fulfilled: first, what is expected from the trustee needs to be either immoral or part of an ongoing immoral or unjust relationship between truster and trustee and, secondly, the trustee must not be in a position to explicitly reject trust. Essay V examines two of the most employed distinctions within the trust literature, that of trust/confidence and of trust/reliance. These distinctions are evaluated against a set of five criteria. It is argued that both these distinctions are employed to cover several distinguishing properties, thus adding to conceptual confusion. / QC 20100712
114

Rights at Risk : Ethical Issues in Risk Management

Hermansson, Hélène January 2007 (has links)
he subject of this thesis is ethical aspects of decision-making concerning social risks. It is argued that a model for risk management must acknowledge several ethical aspects and, most crucial among these, the individual’s right not to be unfairly exposed to risks. Article I takes as its starting point the demand frequently expressed in the risk literature for consistent risk management. It is maintained that a model focusing on cost-benefit analysis does not respect the rights of the individual. Two alternative models are outlined. They evolve around the separateness of individuals, rights, and fair risk taking. It is claimed that a model that focuses on a fair procedure for risk decisions seems most fruitful to develop. Article II discusses the NIMBY (Not In My Backyard) conflict. The ethical premises behind the negative characterization of the NIMBY concept are investigated. It is argued that a collective weighing of risks and benefits ignores individuals’ rights not to be unfairly exposed to risks in siting scenarios. Article III presents a three-party model tool for ethical risk analysis. The focus in such analysis is a discussion of three parties that are involved in risk decisions: the risk-exposed, the beneficiary, and the decision-maker. Seven crucial ethical questions are discerned by combining these parties pairwise. Article IV discusses a model for procedural justice for risk decisions. Two theories of deliberative democracy are explored. The first focuses on a hypothetical contract, the second argues for the actual inclusion of affected parties. It is maintained that hypothetical reasoning should mainly serve as a guide concerning risk issues that affect people who cannot be included in the decision-making process. Otherwise an interactive dialogical reasoning is to be preferred. Article V explores the claim that there are no real, objective risks – only subjective descriptions of them. It is argued that even though every risk can be described in different ways, involve value judgements and emotions, the ideal of objectivity should not be abandoned. / QC 20100714
115

Goal-Setting and the Logic of Transport Policy Decisions

Rosencrantz, Holger January 2009 (has links)
The thesis aims at developing approaches to transport policy decisions, based on suggestions and ideas originating from moral philosophy and philosophical decision theory.Paper I analyzes the Swedish transport policy goals, and the problem of combining policygoals with welfare economics. A problem of circularity arises as the Swedish transport policygoals are conflicting, and hence must be subject to trade-offs, while several of the goals themselves entail statements on how to prioritize or restrain goals in case of conflict.Paper II analyzes rationality in road safety policy. Problematic features are identified and discussed. The paper argues that the Swedish road safety goal is rational, since it is actionguiding and achievement-inducing.Paper III includes a model of rational choice under risk with biased risk perception. Under certain plausible conditions, a regulator should raise the population’s risk exposure. By deteriorating the environment the regulator can motivate drivers to choose behaviour that is less biased.Paper IV provides a formal representation of goal systems. The focus is on three properties:consistency, conflict, and coherence. It is argued that consistency is adequately regarded as a property relative to the decision situation or, more specifically, the set of alternatives that the agent faces. Conflict is adequately regarded as a relation over subsets of a given goal systemand should likewise be regarded as relative to the set of alternative that the agent faces.Coherence is given a probabilistic interpretation, based on a support relation over subsets of goal systems.Paper V investigates problems associated with standard deontic logic. A deontic predicate is derived, which avoids some of the major paradoxes in the area. In particular, paradoxes occurring when one obligation is derived by logical necessity from another obligation are dealt with. / QC 20100806
116

Konsten att uppfinna hjulet två gånger : om uppfinnandets teknik och estetik

Havemose, Karin January 2006 (has links)
“There is no need to reinvent the wheel” – a cliché, often told when you want to come up with something new that in someway can be connected to something that already exist. This study shows the opposite – that inventions emanate from what is given. It can be a detail, a problem in a thing - a wheel - or a situation that catches the inventor’s attention. It is something that seeks a solution or something that generates an idea, a hint or a clue of something new and useful. The art of invention emerges from the ability and skill to broaden the seeing and put thinking, substance and tradition into motion. An old radio dial generates a new ergonomic steering wheel. The connection of memories between a chestnut, a cello and an early morning at a water pump creates three works of art. The epistemology of this study is based on a dialogue between voices from different times and traditions. Some voices are normative examples, drawn from a dialogue between Swedish inventors. The others are those of philosophers from the Age of Enlightenment, fetched from their original writings. Through that dialogue, perspectives and ideas of inventors and classical philosophers meet and are compared. A deeper understanding thus emerges that shows the essence of invention and in fact the essence of all creative work: i) Freedom – in thought and in action ii) Dialogue - to test and try new ideas and things in the ever changing circumstances. iii) Doubt - not taking established fact and assumptions for granted iv) Action – testing and breaking established praxis and rules. The study also illustrates the need for an alternative scientific form and expression concerning studies in the fields of invention, innovation and other practical work. Invention can not be captured or shaped by exact measurements, concepts, definitions or abstract models. It takes place in the borderland between fact and fiction, where technique, aesthetics and philosophy are one working entity. The strive for knowledge is endless and without limits and it is nurtured by wondering, searching and ambiguity. With inspiration from the dialogue seminar method used within KTH Advanced Programme in Reflective Practice – this study point out the actuality and vitality in using the classical philosophical writings, dialogue and analogical thinking as a scientific method within higher education. / QC 20100826
117

Reading fleck : Questions on philosophy and science

Hedfors, Eva January 2006 (has links)
The present thesis is based on a scientifically-informed, contextualized and historicized reading of Ludwik Fleck. In addition to his monograph, the material studied includes his additional philosophical writings, his internationally-published scientific articles and two, thus-far-unstudied postwar Polish papers related to his Buchenwald experiences. The sources provided by Fleck have been traced back to the time of their origin. Based on the above material, it is argued that, rather than relativizing science and deeply influencing Kuhn, Fleck, attempting to participate in the current debates, is an ardent proponent of science, offering an internal account of its pursuit that accords with his oft-contested epistemic concepts, e.g., Denkzwang, Sinnsehen and Kopplungen. The exposure of his description of the Wassermann reaction discloses a highly selective reading of the sources available at the time, but also reveals its relation to the current debate on Einzelwissenschaften, or the standing of new emerging disciplines versus age-old ones, all occasioned by the remarkable progress of science that has also affected philosophy. The divide between philosophers and scientists on the philosophical implications of modern physics is exposed, as is Fleck’s heuristic use of the latter topic in his epistemology. A more realistic account of his often-valued scientific accomplishments is provided. It is argued that the modern interpretation or received humanist view of Fleck is based on the opposition, at the time Fleck’s monograph was rediscovered, of STS writers to a scientifically-informed reading of his texts. An additional corrective to the received view of Fleck is found in some of his postwar Polish papers related his Buchenwald experiences. The latter might also provide an answer to some of the contradictions inherent in the modern mythology surrounding Fleck. In amply exposing the precarious situation of the time, and the complexity of the ethical issues at stake, Fleck’s papers in fact generate age-old philosophical questions still worth contemplating. / QC 20100826
118

Moral responsibility and the ethics of traffic safety

Nihlén Fahlquist, Jessica January 2008 (has links)
The general aim of this thesis is to present and analyse traffic safety from an ethical perspective and to explore some conceptual and normative aspects of moral responsibility. Paper I presents eight ethical problem areas that should be further analysed in relation to traffic safety. Paper II is focused on the question of who is responsible for traffic safety, taking the distribution of responsibility adopted through the Swedish policy called Vision Zero as its starting point. It is argued that a distinction should be made between backwardlooking and forward-looking responsibility and that Vision Zero should be understood in terms of this distinction. Paper III discusses responsibility ascriptions in relation to public health problems like obesity and lung cancer. It is argued that what makes discussions about who is responsible for such problems complicated is that we have two aims when ascribing responsibility to someone. First, we want responsibility ascriptions to be fair and morally justified. Second, we also want to achieve progress and solve problems through ascribing responsibility to someone. It is argued that the two aims influence debates concerning who is responsible for problems like obesity and lung cancer and that we should attempt at striking a balance that is both perceived as fair and that is efficient. Paper IV discusses two potential arguments against the suggestion that alcohol interlocks should be mandatory in all cars, namely 1) that it displaces the responsibility of individual drivers, and 2) that it constitutes a paternalistic interference with drivers. The first objection is found unconvincing, while the second only has limited bite and may be neutralized if paternalism is accepted for the sake of greater net liberty. It is argued that if technological development can make mandatory interlocks cost-efficient, the policy seems a commendable public health measure. In Paper V, the question discussed is to what extent individuals should be ascribed moral responsibility for the environmentally damaging consequences of their actions. It is argued that responsibility depends on the reasonableness of the alternatives open to an individual when acting. The lack of reasonable alternatives should reduce the degree of individual responsibility. / QC 20100831
119

The Ethics of Workspace Surveillance

Palm, Elin January 2008 (has links)
The general framework of this thesis is that of ethical Technology Assessment (eTA). Whereas the first essay proposes an inclusive approach to technology assessment by delineating an ethical checklist, the following essays focus on two of the checklist points, i.e. “privacy” and “control, influence and power”, in relation to workspace surveillance. The core idea of Essay I (written in collaboration with Sven Ove Hansson) is that, due to its strong social impact, new technology and novel use of existing technology should be considered from the perspective of ethics. We suggest that assessments should be conducted on the basis of nine crucial ethical aspects of technology. In Essay II an in-depth analysis of the meaning and value of privacy in the realm of work is undertaken. The meaning and value of privacy is explained as well as why it should be protected. It is argued that two dimensions of privacy should be safeguarded; “informational privacy” and “local privacy” for the reason that workers’ personal autonomy is protected thereby. Essay III is concerned with how workspace surveillance requires that job-applicants claim their privacy interests in employment negotiations to a much larger extent than what was previously the case. In most cases however, a dependency asymmetry between employer and job-candidate makes the latter ill-equipped for doing so. This asymmetry serves as the point of departure for an analysis of the conditions under which consent should be considered a criterion on moral acceptability with regard to employment contracting. The analysis suggests ways of rectifying this imbalance, raising demands on the quality of contractual consent. Essay IV discusses the extent to which it should be morally permissible for current or prospective employees to trade off their privacy in employment negotiations. The analysis starts out from, and questions, a libertarian case for voluntary self-enslavement. It is concluded that not even an orthodox libertarian can justify trade offs of a social good like liberty. Neither should employees be allowed to abstain informational privacy for the reason that such a trade-off could harm their future selves. In Essay V a dimensional analysis is proposed as a means to identify actually or potentially privacy invasive surveillance practices. It discusses ways in which different types of surveillance intrude upon employees’ privacy in order to guide the evaluation of such practice. Even though negative implications cannot be avoided altogether, by means of the proposed analysis, minimally intrusive means of monitoring can be identified. / QC 20100902
120

Workplace Ethics : Some practical and foundational problems

Persson, Anders J January 2006 (has links)
The aim of the present thesis is twofold: first, to analyse some practical ethical problems that stem from the workplace and the working environment and to offer guidelines concerning how such problems can be solved; second, to illuminate how the specific nature of work and the working environment is intimately connected to the relation between the employee and the employing entity, as set forth in an employment contract, and how the form and content of such contracts are, among other things, determined by culturally and socially established ideas. The normative question to be addressed is thus: which of these ideas should be maintained? This can be seen as a second-order, or more fundamental, ethical question whose answer depends on determining which normative principles are right. An additional aim of this thesis is thus to illuminate that the contract relation has relevance to practical ethical problems in the workplace context in this second-order mode. The thesis consists of an Introduction and five papers. In Paper I (written together with Sven Ove Hansson) we argue that employees have a prima facie right to privacy, but that this right can be overridden by competing moral principles that follow, explicitly or implicitly, from the contract of employment. A set of ethical criteria is developed and summarized in the form of a guideline for determining the moral status of infringements into workplace privacy. In Paper II these criteria are applied to three broad classes of privacy-intrusive workplace practices: (1) monitoring and surveillance, (2) genetic testing, and (3) drug testing. In relation to some scenarios on these themes, it is shown that it is possible to handle such practical ethical problems systematically by way of the proposed guideline. Paper III deals with the fact that employees are protected by health and safety standards that are less protective than those that apply to the general public. Emphasis is put on the distinction between exposure and risk, and this distinction is claimed to be a key determinant for the relevance of arguments put forward in support of such double standards. In Paper IV the nature of the contract of employment is explored from an ethical point of view. An argument is developed against the claim that (a) the individual’s freedom of decision and (b) the practice of institutional arrangements are sufficient to justify a contract of employment. Paper V questions the standpoint that the voluntariness of the contracting parties in an employment relationship has substantial value. One overarching issue concerns the meaning of voluntariness in the employment context, another, its normative importance. It is argued that it is indeterminate exactly where the line should be drawn between voluntary and non–voluntary agreements in this context. Concerning the latter issue, it is claimed that even if we were able to draw such a line, this fact does not tell us anything about the normative importance of the voluntariness condition, nor how much normative weight we should assign to the fulfilment of its conditions in the workplace context. / QC 20100915

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