TY - JOUR A1 - Reith, Florian A1 - Seyfried, Markus T1 - Balancing the Moods BT - Quality Managers’ Perceptions and Actions Against Resistance JF - Higher education policy N2 - Quality management (QM) has spread around the world and reached higher education in Europe in the early 1990s (Mendel, 2006, 137; Kernegger and Vettori, 2013, 1). However, researchers were rather more interested in national quality assurance policies (macro-level) and accreditation systems (meso-level) than in intra-organizational perspectives about the day-to-day implementation of quality assurance policies by various actors (micro-level). Undoubtedly, organizational change is a challenging endeavor for all kinds of groups. On the one hand, it provides the opportunity of further development and innovation, but on the other hand, it exposes organizations and actors to the risk of losing established structures and accepted routines. Like in many other organizations, actors may not necessarily perceive change as a promoter of innovation and development. Instead, they may consider change as a threat to the existing status quo or, as March points out, as an “interplay between rationality and foolishness” (March, 1981, 563). Consequently, change provokes either affective or behavioral actions (Armenakis and Bedeian, 1999, 308–310), such as, for example, resistance. Anderson (2006, 2008) and Lucas (2014) have shown, for example, that academic resistance is an important issue. However, Piderit characterizes resistance as a multidimensional construct (Piderit, 2000, 786–787) subject to a wide variety of issues related to quality and QM. Although QM has been described as a “fashion” (Stensaker, 2007, 101) in the higher education sector that provokes many different reactions, its implementation in higher education institutions (HEIs) is still a rather unexplored field. Thus, the evidence provided by Anderson (2006, 2008) and others (Newton, 2000, 2002; McInnis et al., 1995; Fredman and Doughney, 2012; Lucas, 2014; etc.) needs to be expanded, because they only consider the perspective of academia. In particular, the view of other actors during the implementation of quality assurance policies is a missing piece in this empirical puzzle. Nearly nothing is known about how quality managers deal with reactions to organizational change like resistance and obstruction. Until now, only a few studies have focused on intra-organizational dynamics (see, for example: Csizmadia et al., 2008; Lipnicka, 2016). Besides the lack of research on the implementation of quality assurance policies in HEIs, quality managers seem to be an interesting subject for further investigations because they are “endogenous” to institutional processes. On the one hand, quality managers are the result of quality assurance policies, and on the other hand, they influence the implementation of quality assurance policies, which affect other actors (like academics, administrative staff, etc.). Here, quality managers, as members of an emerging higher education profession, are involved in various conflict lines between QM, HEI management and departments, which need further research (Seyfried and Pohlenz, 2018, 9). Therefore, the aim of our paper is twofold: firstly, to answer the question of how quality managers perceive resistance, and secondly, which measures they take in situations of perceived resistance. We offer a new research perspective and argue that resistance is not merely provoked by organizational change; it also provokes counter-reactions by actors who are confronted with resistance. Thus, resistance seems to be rather endogenous. To theorize our argument, we apply parts of the work of Christine Oliver (1991), which provides theoretical insights into strategic responses to institutional processes, ranging from acquiescence to manipulation (Oliver, 1991, 152). We, therefore, investigate the introduction of QM in teaching and learning, and the emergence of quality managers as higher education professionals as one of the results of quality assurance policies. Consequently, the introduction of QM may be considered as an institutional process provoking reactions and counter-reactions of various organizational units within HEIs. These circumstances are constitutive for how quality managers deal with resistance and other reactions toward organizational change. We use this theoretical framework to analyze the German higher education sector, because this particular case can be considered as a latecomer in New Public Management reforms (Schimank, 2005, 369) and Germany is a country where academic self-governance plays a very important role, and strongly influences academics’ behavior when it comes to organizational change (Wolter, 2004). Our empirical results are based on a mixed-methods research design and integrate half-structured interviews and a nationwide survey at the central level in German HEIs, which excludes faculty members of QM (decentral level). They reveal that quality managers take different types of action when resistance occurs during the implementation of quality assurance policies. Furthermore, quality managers mainly react with different tactics. These tactics seem to be relevant for convincing academics and for the enhancement of their commitment to improve the quality of teaching and learning, instead of provoking further resistance or avoidance practices. This article proceeds as follows: the next sections describe the context and explain our main theoretical concepts referring to the work of Oliver (1991) and others. After that, we present our case selection and the methodological framework, including the data sources and the operationalization of selected variables. Finally, we provide our empirical results about quality managers’ perceptions on resistance and we draw conclusions. KW - higher education KW - quality management KW - institutional processes KW - resistance KW - balancing Y1 - 2018 U6 - https://doi.org/10.1057/s41307-018-0124-6 SN - 0952-8733 SN - 1740-3863 VL - 32 IS - 1 SP - 71 EP - 91 PB - Palgrave Macmillan CY - Basingstoke ER - TY - JOUR A1 - Radchuk, Viktoriia A1 - De Laender, Frederik A1 - Cabral, Juliano Sarmento A1 - Boulangeat, Isabelle A1 - Crawford, Michael Scott A1 - Bohn, Friedrich A1 - De Raedt, Jonathan A1 - Scherer, Cedric A1 - Svenning, Jens-Christian A1 - Thonicke, Kirsten A1 - Schurr, Frank M. A1 - Grimm, Volker A1 - Kramer-Schadt, Stephanie T1 - The dimensionality of stability depends on disturbance type JF - Ecology letters N2 - Ecosystems respond in various ways to disturbances. Quantifying ecological stability therefore requires inspecting multiple stability properties, such as resistance, recovery, persistence and invariability. Correlations among these properties can reduce the dimensionality of stability, simplifying the study of environmental effects on ecosystems. A key question is how the kind of disturbance affects these correlations. We here investigated the effect of three disturbance types (random, species-specific, local) applied at four intensity levels, on the dimensionality of stability at the population and community level. We used previously parameterized models that represent five natural communities, varying in species richness and the number of trophic levels. We found that disturbance type but not intensity affected the dimensionality of stability and only at the population level. The dimensionality of stability also varied greatly among species and communities. Therefore, studying stability cannot be simplified to using a single metric and multi-dimensional assessments are still to be recommended. KW - Community model KW - disturbance intensity KW - disturbance type KW - extinction KW - individual-based model KW - invariability KW - persistence KW - recovery KW - resistance Y1 - 2019 U6 - https://doi.org/10.1111/ele.13226 SN - 1461-023X SN - 1461-0248 VL - 22 IS - 4 SP - 674 EP - 684 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Niehus-Kettler, Melinda T1 - Naturalising perceived otherness BT - Embodied patterns of violence JF - Geschlechter in Un-Ordnung: Zur Irritation von Zweigeschlechtlichkeit im Wissenschaftsdiskurs N2 - This essay takes an Anglophone Cultural Studies approach to reflect on the interdependence among as well as the individual (implicit) impact of the elements constituting our (embodied) power structures. These are, e.g., bodily experience/s such as shame and fear, everyday and institutional discourses and practices, but also manifestations of differences and particularities that we transform into phenomena such as “norms”, “binary systems” and “binary organisations”. The analysis of seemingly cyclic “Othering processes” and patterns of violence shows how people who identify as trans*, inter*, or non-binary have to live through and embody epistemological, emotional, and/or physical violence. At the same time, the descriptions illustrate numberless potential forms of resistance and change. KW - binary systems KW - embodied power structures KW - embodiment KW - abuse cycles KW - patterns of violence KW - Othering KW - resistance KW - percept cycles KW - LGTBQI+ communities KW - punishment Y1 - 2023 SN - 978-3-8474-2679-0 SN - 978-3-8474-1852-8 U6 - https://doi.org/10.2307/jj.4163724.7 SP - 57 EP - 74 PB - Verlag Barbara Budrich CY - Opladen, Berlin, Toronto ER - TY - GEN A1 - Niehus-Kettler, Melinda T1 - Naturalising perceived otherness BT - Embodied patterns of violence T2 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe N2 - This essay takes an Anglophone Cultural Studies approach to reflect on the interdependence among as well as the individual (implicit) impact of the elements constituting our (embodied) power structures. These are, e.g., bodily experience/s such as shame and fear, everyday and institutional discourses and practices, but also manifestations of differences and particularities that we transform into phenomena such as “norms”, “binary systems” and “binary organisations”. The analysis of seemingly cyclic “Othering processes” and patterns of violence shows how people who identify as trans*, inter*, or non-binary have to live through and embody epistemological, emotional, and/or physical violence. At the same time, the descriptions illustrate numberless potential forms of resistance and change. T3 - Zweitveröffentlichungen der Universität Potsdam : Philosophische Reihe - 188 KW - binary systems KW - embodied power structures KW - embodiment KW - abuse cycles KW - patterns of violence KW - Othering KW - resistance KW - percept cycles KW - LGTBQI+ communities KW - punishment Y1 - 2023 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-601332 SN - 978-3-8474-2679-0 SN - 978-3-8474-1852-8 SN - 1866-8380 ER - TY - GEN A1 - Neigenfind, Jost A1 - Gyetvai, Gabor A1 - Basekow, Rico A1 - Diehl, Svenja A1 - Achenbach, Ute A1 - Gebhardt, Christiane A1 - Selbig, Joachim A1 - Kersten, Birgit T1 - Haplotype inference from unphased SNP data in heterozygous polyploids based on SAT T2 - Postprints der Universität Potsdam : Mathematisch Naturwissenschaftliche Reihe N2 - Background: Haplotype inference based on unphased SNP markers is an important task in population genetics. Although there are different approaches to the inference of haplotypes in diploid species, the existing software is not suitable for inferring haplotypes from unphased SNP data in polyploid species, such as the cultivated potato (Solanum tuberosum). Potato species are tetraploid and highly heterozygous. Results: Here we present the software SATlotyper which is able to handle polyploid and polyallelic data. SATlo-typer uses the Boolean satisfiability problem to formulate Haplotype Inference by Pure Parsimony. The software excludes existing haplotype inferences, thus allowing for calculation of alternative inferences. As it is not known which of the multiple haplotype inferences are best supported by the given unphased data set, we use a bootstrapping procedure that allows for scoring of alternative inferences. Finally, by means of the bootstrapping scores, it is possible to optimise the phased genotypes belonging to a given haplotype inference. The program is evaluated with simulated and experimental SNP data generated for heterozygous tetraploid populations of potato. We show that, instead of taking the first haplotype inference reported by the program, we can significantly improve the quality of the final result by applying additional methods that include scoring of the alternative haplotype inferences and genotype optimisation. For a sub-population of nineteen individuals, the predicted results computed by SATlotyper were directly compared with results obtained by experimental haplotype inference via sequencing of cloned amplicons. Prediction and experiment gave similar results regarding the inferred haplotypes and phased genotypes. Conclusion: Our results suggest that Haplotype Inference by Pure Parsimony can be solved efficiently by the SAT approach, even for data sets of unphased SNP from heterozygous polyploids. SATlotyper is freeware and is distributed as a Java JAR file. The software can be downloaded from the webpage of the GABI Primary Database at http://www.gabipd.org/projects/satlotyper/. The application of SATlotyper will provide haplotype information, which can be used in haplotype association mapping studies of polyploid plants. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 883 KW - linkage disequilibrium KW - pure parsimony KW - potato KW - resistance KW - efficient KW - solanum KW - Conjunctive Normal Form KW - Full Adder KW - Disjunctive Normal Form KW - Haplotype Inference KW - Genotype Inference Y1 - 2020 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-435011 SN - 1866-8372 IS - 883 ER - TY - GEN A1 - Käch, Heidi A1 - Mathé-Hubert, Hugo A1 - Dennis, Alice B. A1 - Vorburger, Christoph T1 - Rapid evolution of symbiont-­mediated resistance compromises biological control of aphids by parasitoids T2 - Postprints der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe N2 - There is growing interest in biological control as a sustainable and environmentally friendly way to control pest insects. Aphids are among the most detrimental agricultural pests worldwide, and parasitoid wasps are frequently employed for their control. The use of asexual parasitoids may improve the effectiveness of biological control because only females kill hosts and because asexual populations have a higher growth rate than sexuals. However, asexuals may have a reduced capacity to track evolutionary change in their host populations. We used a factorial experiment to compare the ability of sexual and asexual populations of the parasitoid Lysiphlebus fabarum to control caged populations of black bean aphids (Aphis fabae) of high and low clonal diversity. The aphids came from a natural population, and one-­third of the aphid clones harbored Hamiltonella defensa, a heritable bacterial endosymbiont that increases resistance to parasitoids. We followed aphid and parasitoid population dynamics for 3 months but found no evidence that the reproductive mode of parasitoids affected their effectiveness as biocontrol agents, independent of host clonal diversity. Parasitoids failed to control aphids in most cases, because their introduction resulted in strong selection for clones protected by H. defensa. The increasingly resistant aphid populations escaped control by parasitoids, and we even observed parasitoid extinctions in many cages. The rapid evolution of symbiont-­conferred resistance in turn imposed selection on parasitoids. In cages where asexual parasitoids persisted until the end of the experiment, they became dominated by a single genotype able to overcome the protection provided by H. defensa. Thus, there was evidence for parasitoid counteradaptation, but it was generally too slow for parasitoids to regain control over aphid populations. It appears that when pest aphids possess defensive symbionts, the presence of parasitoid genotypes able to overcome symbiont-­conferred resistance is more important for biocontrol success than their reproductive mode. T3 - Zweitveröffentlichungen der Universität Potsdam : Mathematisch-Naturwissenschaftliche Reihe - 620 KW - aphids KW - Aphis fabae KW - biological control KW - defensive symbiosis KW - Hamiltonella defensa KW - Lysiphlebus fabarum KW - parasitoid KW - resistance Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-423542 SN - 1866-8372 IS - 620 ER - TY - JOUR A1 - Käch, Heidi A1 - Mathe-Hubert, Hugo A1 - Dennis, Alice B. A1 - Vorburger, Christoph T1 - Rapid evolution of symbiont-mediated resistance compromises biological control of aphids by parasitoids JF - Evolutionary applications N2 - There is growing interest in biological control as a sustainable and environmentally friendly way to control pest insects. Aphids are among the most detrimental agricultural pests worldwide, and parasitoid wasps are frequently employed for their control. The use of asexual parasitoids may improve the effectiveness of biological control because only females kill hosts and because asexual populations have a higher growth rate than sexuals. However, asexuals may have a reduced capacity to track evolutionary change in their host populations. We used a factorial experiment to compare the ability of sexual and asexual populations of the parasitoid Lysiphlebus fabarum to control caged populations of black bean aphids (Aphis fabae) of high and low clonal diversity. The aphids came from a natural population, and one-third of the aphid clones harbored Hamiltonella defensa, a heritable bacterial endosymbiont that increases resistance to parasitoids. We followed aphid and parasitoid population dynamics for 3months but found no evidence that the reproductive mode of parasitoids affected their effectiveness as biocontrol agents, independent of host clonal diversity. Parasitoids failed to control aphids in most cases, because their introduction resulted in strong selection for clones protected by H.defensa. The increasingly resistant aphid populations escaped control by parasitoids, and we even observed parasitoid extinctions in many cages. The rapid evolution of symbiont-conferred resistance in turn imposed selection on parasitoids. In cages where asexual parasitoids persisted until the end of the experiment, they became dominated by a single genotype able to overcome the protection provided by H.defensa. Thus, there was evidence for parasitoid counteradaptation, but it was generally too slow for parasitoids to regain control over aphid populations. It appears that when pest aphids possess defensive symbionts, the presence of parasitoid genotypes able to overcome symbiont-conferred resistance is more important for biocontrol success than their reproductive mode. KW - aphids KW - Aphis fabae KW - biological control KW - defensive symbiosis KW - Hamiltonella defensa KW - Lysiphlebus fabarum KW - parasitoid KW - resistance Y1 - 2018 U6 - https://doi.org/10.1111/eva.12532 SN - 1752-4571 VL - 11 IS - 2 SP - 220 EP - 230 PB - Wiley CY - Hoboken ER - TY - JOUR A1 - Frickel, Jens A1 - Sieber, Michael A1 - Becks, Lutz T1 - Eco-evolutionary dynamics in a coevolving host-virus system JF - Ecology letters N2 - Eco-evolutionary dynamics have been shown to be important for understanding population and community stability and their adaptive potential. However, coevolution in the framework of eco-evolutionary theory has not been addressed directly. Combining experiments with an algal host and its viral parasite, and mathematical model analyses we show eco-evolutionary dynamics in antagonistic coevolving populations. The interaction between antagonists initially resulted in arms race dynamics (ARD) with selective sweeps, causing oscillating host-virus population dynamics. However, ARD ended and populations stabilised after the evolution of a general resistant host, whereas a trade-off between host resistance and growth then maintained host diversity over time (trade-off driven dynamics). Most importantly, our study shows that the interaction between ecology and evolution had important consequences for the predictability of the mode and tempo of adaptive change and for the stability and adaptive potential of populations. KW - Algae-virus KW - arms race KW - coevolution KW - eco-evolutionary dynamics KW - fluctuating selection KW - host-virus KW - infectivity KW - resistance KW - trade-off Y1 - 2016 U6 - https://doi.org/10.1111/ele.12580 SN - 1461-023X SN - 1461-0248 VL - 19 SP - 450 EP - 459 PB - Wiley-Blackwell CY - Hoboken ER - TY - JOUR A1 - Endepols, Stefan A1 - Klemann, Nicole A1 - Richter, Dania A1 - Matuschka, Franz-Rainer T1 - The potential of coumatetralyl enhanced by cholecalciferol in the control of anticoagulant-resistant Norway rats (Rattus norvegicus) JF - Pest management science N2 - BACKGROUND: We evaluated the potential of cholecalciferol as an enhancer of the first-generation anticoagulant coumatetralyl in the Westphalia anticoagulant-resistant strain of the Norway rat (Rattus norvegicus Berkenhout), characterised by the Tyr139Cys polymorphism on the VKOR enzyme. Because today only the most potent, but also most persistent anticoagulant rodenticides of the second generation remain available to control this strain, new rodenticide solutions are required. RESULTS: Feeding trials in the laboratory confirmed a significant level of efficacy, which was corroborated by field trials in the Munsterland resistance area. After frequency and level of resistance were assessed by blood clotting response tests, field trials were conducted with bait containing coumatetralyl at 375 mg kg(-1) and cholecalciferol at 50 mg kg(-1) or 100 mg kg(-1). Control success was 94% when a large rat infestation comprising 42% resistant animals was treated. Another field trial applying the combination to a rat population that had survived a preceding treatment with bromadiolone resulted in a 99.5% control success according to the first census day, but with some increase in rat activity during subsequent census days. CONCLUSION: The combination of coumatetralyl and cholecalciferol is a promising alternative approach to the most potent second-generation anticoagulants in resistance management, particularly in respect of environmental risks, such as secondary poisoning. (C) 2016 Society of Chemical Industry KW - rodent control KW - Norway rat KW - Rattus norvegicus KW - resistance KW - cholecalciferol KW - coumatetralyl Y1 - 2017 U6 - https://doi.org/10.1002/ps.4235 SN - 1526-498X SN - 1526-4998 VL - 73 IS - 2 SP - 280 EP - 286 PB - Wiley CY - Hoboken ER - TY - THES A1 - Burkert, Rebecca T1 - Struggle for existence T1 - Kampf ums Überleben BT - acts of subjecthood as contentious claim-making in the West Bank BT - Akte der Subjekthaftigkeit als umstrittenes Claim-Making im Westjordanland N2 - In this project, I sought to understand how Palestinian claim-making in the West Bank is possible within the context of continuing Israeli occupation and repression by the Palestinian political leadership. I explored the questions of what channels non-state actors use to advance their claims, what opportunities they have for making these claims, and what challenges they face. This exploration covers the time period from the Oslo Accords in the mid-1990s to the so-called Great March of Return in 2018. I demonstrated that Palestinians used different modes and strategies of resistance in the past century, as the area of what today is Israel/Palestine has historically been a target for foreign penetration. Yet, the Oslo agreements between the Israeli government and the Palestinian leadership have ended Palestinians’ decentralized and pluralist social governance, reinforced Israeli rule in the Palestinian territories, promoted continuing dispossession and segregation of Palestinians, and further restricted their rights and their claim-making opportunities until this day. Therefore, today, Palestinian society in the West Bank is characterized by fragmentation, geographical and societal segregation, and double repression by Israeli occupation and Palestinian Authority (PA) policies. What is more, Palestinian claim-making is legally curtailed due to the establishment of different geographical entities in which Palestinians are subjugated to different forms of Israeli rule and regulations. I argue that the concepts of civil society and acts of citizenship, which are often used to describe non-state actors’ rights-seeking activities, fall short on understanding and describing Palestinian claim-making in the West Bank comprehensively. By determining their boundaries, the concept of acts of subjecthood evolved as a novel theoretical approach within the research process and as a means of claim-making within repressive contexts where claim makers’ rights are curtailed and opportunities for rights-seeking activities are few. Thereby, this study applies a new theoretical framework to the conflict in Israel/Palestine and contributes to a better understanding of rights-seeking activities within the West Bank. Further, I argue that Palestinian acts of subjecthood against hostile Israeli rule in the West Bank are embedded within the comprehensive structure of settler colonialism. As a form of colonialism that aims at replacing an indigenous population, Israeli settler colonialism in the West Bank manifests itself in restrictions of Palestinian movement, settlement constructions, home demolitions, violence, and detentions. By using grounded theory and inductive reasoning as methodological approaches, I was able to make generalizations about the state of Palestinian claim-making. These generalizations are based on the analysis of secondary materials and data collected via face-to-face and video interviews with non-state actors in Israel/Palestine. The conducted research shows that there is not a single measure or a standalone condition that hinders Palestinian claim-making, but a complex and comprehensive structure that, on the one hand, shrinks Palestinian living space by occupation and destruction and, on the other hand, diminishes Palestinian civic space by limiting the fundamental rights to organize and build social movements to change the status Palestinians live in. Although the concrete, tangible outcomes of Palestinian acts of subjecthood are marginal, they contribute to strengthening and perpetuating Palestinian’s long history of resistance against Israeli oppression. With a lack of adherence to international law, the neglect of UN resolutions by the Israeli government, the continuous defeats of rights organizations in Israeli courts, and the repression of institutions based in the West Bank by PA and occupation policies, Palestinian acts of subjecthood cannot overturn current power structures. Nevertheless, the ongoing persistence of non-state actors claiming rights, as well as the pop-up of new initiatives and youth movements are all essential for strengthening Palestinians’ resilience and documenting current injustices. Therefore, they can build the pillars for social change in the future. Das Ziel der vorliegenden Dissertation war es zu untersuchen, wie palästinensisches claim-making, also die Artikulation von Forderungen bzw. die Geltendmachung von bestimmten Rechten, vor dem Hintergrund der anhaltenden israelischen Besatzung und Repressalien durch die palästinensische politische Führung im Westjordanland durchgesetzt werden kann. Dabei soll der Frage nachgegangen werden, welche Kanäle nichtstaatliche Akteure nutzen, um ihre Ansprüche geltend zu machen, welche Möglichkeiten sich ihnen dafür bieten und vor welchen Herausforderungen sie stehen. Der Untersuchungszeitraum erstreckt sich dabei vom Osloer Friedensprozess Mitte der 1990er Jahre bis hin zum sogenannten Great March of Return im Jahr 2018. Die im Gebiet des heutigen Israel/Palästina lebenden PalästinenserInnen bedienten sich in Zeiten ausländischer Einflussnahme, z.B. während der britischen Besatzung im vergangenen Jahrhundert, verschiedenster Widerstandsformen und -strategien. Jedoch haben die Osloer Abkommen zwischen der israelischen Regierung und der palästinensischen Führung die dezentrale und partizipative Mobilisierung der palästinensischen Gesellschaft erschwert, die andauernde Enteignung von PalästinenserInnen begünstigt und ihre Rechte bis zum heutigen Tag weiter eingeschränkt. Die heutige palästinensische Gesellschaft im Westjordanland ist daher durch Zersplitterung, geografische und gesellschaftliche Segregation und doppelte Un-terdrückung durch die israelische Besatzung sowie die Palästinensische Autonomiebehörde gekennzeichnet. Zudem führt die Etablierung verschiedener geografischer Entitäten, in denen PalästinenserInnen unterschiedlichen Formen israelischer Herrschaft, Regularien und Ein-griffsrechten unterworfen sind, dazu, dass palästinensisches claim-making auch formalrecht-lich eingeschränkt ist. Um die Aktivitäten nichtstaatlicher Akteure in diesem Kontext beschreiben zu können, wer-den häufig das Konzept der Zivilgesellschaft oder das der acts of citizenship herangezogen. In der vorliegenden Arbeit wird jedoch argumentiert, dass diese Konzepte nur bedingt auf den Status Quo im Westjordanland anwendbar sind und palästinensisches claim-making nicht hinreichend verstehen und beschreiben können. Im Laufe des Forschungsprozesses hat sich daher das Konzept der acts of subjecthood als neuer theoretischer Ansatz herausgebildet, der claim-making in repressiven Kontexten beschreibt, in denen nichtstaatliche Akteure nur geringen Handlungsspielraum haben, ihre Forderungen durchsetzen zu können. Durch diese „Theorie-Brille“ ermöglicht meine Forschung einen neuartigen Blick auf den israelisch-palästinensischen Konflikt und trägt auf diese Weise zu einem besseren Verständnis von claim-making-Aktivitäten im Westjordanland bei. Darüber hinaus bettet die vorliegende Ar-beit acts of subjecthood in den größeren Kontext des Siedlungskolonialismus ein. Dieser beschreibt eine Form des Kolonialismus, die darauf abzielt, eine einheimische Bevölkerung durch die der Kolonialmacht zu ersetzen. Im Westjordanland manifestiert sich der israelische Siedlungskolonialismus in der Einschränkung der Bewegungsfreiheit von PalästinenserIn-nen, dem Bau von Siedlungen, der Zerstörung von Häusern, Gewalt und Inhaftierungen. Die Verwendung der Grounded Theory und des induktiven Denkens als methodische Ansätze ermöglichte es, verallgemeinerbare Aussagen zum Zustand palästinensischen claim-makings treffen zu können. Diese Verallgemeinerungen beruhen auf der Analyse von Sekundärquellen und Daten, die im Rahmen von Interviews mit VertreterInnen nichtstaatlicher Organisationen in Israel/Palästina erhoben wurden. Die durchgeführte Analyse macht deutlich, dass nicht eine einzelne Maßnahme oder Bedingung palästinensisches claim-making behindert, sondern eine komplexe, vielschichtige und zielgerichtet implementierte Struktur. Diese verringert einerseits den Lebensraum von PalästinenserInnen durch Besatzung und Zerstörung und schränkt andererseits den zivilen Raum ein, indem sie ihnen grundlegende Rechte und fundamentale Freiheiten verwehrt. Obwohl die konkreten Auswirkungen palästinensischer acts of subjecthood marginal sind, tragen sie dazu bei, den Widerstand gegen politische Unterdrückung zu stärken und fortzusetzen. Angesichts der Verletzung von Völkerrecht und der Missachtung zahlreicher UN-Resolutionen durch die israelische Regierung, der Niederlagen von Menschenrechtsorganisationen vor israelischen Gerichten, der Unterdrückung von Institutionen im Westjordanland durch die Palästinensische Autonomiebehörde und die Besatzungspolitik können acts of subjecthood die derzeitigen Machtstrukturen nicht aufbrechen. Dennoch sind die anhaltende Beharrlichkeit nichtstaatlicher Akteure, Forderungen zu artikulieren und Rechte einzufordern und die Gründung neuer Initiativen und Organisationen essenziell für die Stärkung gesellschaftlicher Resilienz sowie die Dokumentation von Ungerechtigkeiten und Rechtsverletzungen. Diese Akteure legen so den Grundstein für einen möglichen gesellschaftspolitischen Wandel in der Zukunft. N2 - Das Ziel der vorliegenden Dissertation war es zu untersuchen, wie palästinensisches claim-making, also die Artikulation von Forderungen bzw. die Geltendmachung von bestimmten Rechten, vor dem Hintergrund der anhaltenden israelischen Besatzung und Repressalien durch die palästinensische politische Führung im Westjordanland durchgesetzt werden kann. Dabei soll der Frage nachgegangen werden, welche Kanäle nichtstaatliche Akteure nutzen, um ihre Ansprüche geltend zu machen, welche Möglichkeiten sich ihnen dafür bie-ten und vor welchen Herausforderungen sie stehen. Der Untersuchungszeitraum erstreckt sich dabei vom Osloer Friedensprozess Mitte der 1990er Jahre bis hin zum sogenannten Great March of Return im Jahr 2018. Die im Gebiet des heutigen Israel/Palästina lebenden PalästinenserInnen bedienten sich in Zeiten ausländischer Einflussnahme, z.B. während der britischen Besatzung im vergangenen Jahrhundert, verschiedenster Widerstandsformen und -strategien. Jedoch haben die Osloer Abkommen zwischen der israelischen Regierung und der palästinensischen Führung die dezentrale und partizipative Mobilisierung der palästinensischen Gesellschaft erschwert, die andauernde Enteignung von PalästinenserInnen begünstigt und ihre Rechte bis zum heutigen Tag weiter eingeschränkt. Die heutige palästinensische Gesellschaft im Westjor-danland ist daher durch Zersplitterung, geografische und gesellschaftliche Segregation und doppelte Unterdrückung durch die israelische Besatzung sowie die Palästinensische Auto-nomiebehörde gekennzeichnet. Zudem führt die Etablierung verschiedener geografischer Entitäten, in denen PalästinenserInnen unterschiedlichen Formen israelischer Herrschaft, Regularien und Eingriffsrechten unterworfen sind, dazu, dass palästinensisches claim-making auch formalrechtlich eingeschränkt ist. Um die Aktivitäten nichtstaatlicher Akteure in diesem Kontext beschreiben zu können, werden häufig das Konzept der Zivilgesellschaft oder das der acts of citizenship herangezogen. In der vorliegenden Arbeit wird jedoch argumentiert, dass diese Konzepte nur be-dingt auf den Status Quo im Westjordanland anwendbar sind und palästinensisches claim-making nicht hinreichend verstehen und beschreiben können. Im Laufe des Forschungspro-zesses hat sich daher das Konzept der acts of subjecthood als neuer theoretischer Ansatz herausgebildet, der claim-making in repressiven Kontexten beschreibt, in denen nichtstaatliche Akteure nur geringen Handlungsspielraum haben, ihre Forderungen durchsetzen zu können. Durch diese „Theorie-Brille“ ermöglicht meine Forschung einen neuartigen Blick auf den israelisch-palästinensischen Konflikt und trägt auf diese Weise zu einem besseren Verständnis von claim-making-Aktivitäten im Westjordanland bei. Darüber hinaus bettet die vorliegende Arbeit acts of subjecthood in den größeren Kontext des Siedlungskolonialismus ein. Dieser beschreibt eine Form des Kolonialismus, die darauf abzielt, eine einheimische Bevölkerung durch die der Kolonialmacht zu ersetzen. Im Westjordanland manifestiert sich der israelische Siedlungskolonialismus in der Einschränkung der Bewegungsfreiheit von PalästinenserInnen, dem Bau von Siedlungen, der Zerstörung von Häusern, Gewalt und Inhaftierungen. Die Verwendung der Grounded Theory und des induktiven Denkens als methodische Ansätze ermöglichte es, verallgemeinerbare Aussagen zum Zustand palästinensischen claim-makings treffen zu können. Diese Verallgemeinerungen beruhen auf der Analyse von Sekundärquellen und Daten, die im Rahmen von Interviews mit VertreterInnen nichtstaatlicher Organisationen in Israel/Palästina erhoben wurden. Die durchgeführte Analyse macht deutlich, dass nicht eine einzelne Maßnahme oder Bedingung palästinensisches claim-making behindert, sondern eine komplexe, vielschichtige und zielgerichtet implementierte Struktur. Diese verringert einerseits den Lebensraum von PalästinenserInnen durch Besatzung und Zerstörung und schränkt andererseits den zivilen Raum ein, indem sie ihnen grundlegende Rechte und fundamentale Freiheiten verwehrt. Obwohl die konkreten Auswirkungen palästinensischer acts of subjecthood marginal sind, tragen sie dazu bei, den Widerstand gegen politische Unterdrückung zu stärken und fortzusetzen. Angesichts der Verletzung von Völkerrecht und der Missachtung zahlreicher UN-Resolutionen durch die israelische Regierung, der Niederlagen von Menschenrechtsorganisationen vor israelischen Gerichten, der Unterdrückung von Institutionen im Westjordanland durch die Palästinensische Autonomiebehörde und die Besatzungspolitik können acts of subjecthood die derzeitigen Machtstrukturen nicht aufbrechen. Dennoch sind die anhaltende Beharrlichkeit nichtstaatlicher Akteure, Forderungen zu artikulieren und Rechte einzufordern und die Gründung neuer Initiativen und Organisationen essenziell für die Stärkung gesellschaftlicher Resilienz sowie die Dokumentation von Ungerechtigkeiten und Rechtsverletzungen. Diese Akteure legen so den Grundstein für einen möglichen gesellschaftspolitischen Wandel in der Zukunft. KW - contentious politics KW - citizenship KW - palestine KW - claim-making KW - rights KW - resistance KW - acts of citizenship KW - Akte der Staatsbürgerschaft KW - Staatsbürgerschaft KW - Rechte einfordern KW - Palästina KW - Widerstand KW - Rechte Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-542937 ER -