TY - GEN A1 - Esguerra, Alejandro T1 - "A Comment That Might Help Us to Move Along" BT - Brokers in Negotiation Systems T2 - Sustainability Politics and Limited Statehood : Contesting the New Modes of Governance N2 - This chapter investigates the trajectory of establishing the Forest Stewardship Council (FSC) in the early 1990s as the first private transnational certification organization with an antagonistic stakeholder body. Its main contribution is a micro-analysis of the founding assembly in 1993. By investigating the role of brokers within the negotiation as one institutional scope condition for ‘arguing’ having occurred, the chapter adopts a dramaturgical approach. It contends that the authority of brokers is not necessarily institutionally given, but needs to be gained: brokers have to prove situationally that their knowledge is relevant and that they are speaking impartially in the interest of progress rather than their own. The chapter stresses the importance of procedural knowledge which brokers provide in contrast to policy knowledge. Y1 - 2016 SN - 978-3-319-39871-6 SN - 978-3-319-39870-9 U6 - https://doi.org/10.1007/978-3-319-39871-6_2 SP - 25 EP - 46 PB - Cham CY - Basingstoke ER - TY - JOUR A1 - Daviter, Falk T1 - Coping, taming or solving BT - alternative approaches to the governance of wicked problems JF - Policy studies N2 - One of the truisms of policy analysis is that policy problems are rarely solved. As an ever-increasing number of policy issues are identified as an inherently ill-structured and intractable type of wicked problem, the question of what policy analysis sets out to accomplish has emerged as more central than ever. If solving wicked problems is beyond reach, research on wicked problems needs to provide a clearer understanding of the alternatives. The article identifies and explicates three distinguishable strategies of problem governance: coping, taming and solving. It shows that their intellectual premises and practical implications clearly contrast in core respects. The article argues that none of the identified strategies of problem governance is invariably more suitable for dealing with wicked problems. Rather than advocate for some universally applicable approach to the governance of wicked problems, the article asks under what conditions different ways of governing wicked problems are analytically reasonable and normatively justified. It concludes that a more systematic assessment of alternative approaches of problem governance requires a reorientation of the debate away from the conception of wicked problems as a singular type toward the more focused analysis of different dimensions of problem wickedness. KW - Wicked problems KW - complex problems KW - governance KW - problem-solving KW - policy analysis Y1 - 2017 U6 - https://doi.org/10.1080/01442872.2017.1384543 SN - 0144-2872 SN - 1470-1006 VL - 38 IS - 6 SP - 571 EP - 588 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - GEN A1 - Heucher, Angela T1 - Evolving order? BT - Inter-organizational relations in the organizational field of food security governance in Côte d’Ivoire T2 - Postprints der Universität Potsdam Wirtschafts- und Sozialwissenschaftliche Reihe N2 - Global food security governance is fraught with fragmentation, overlap and complexity. While calls for coordination and coherence abound, establishing an inter-organizational order at this level seems to remain difficult. While the emphasis in the literature has so far been on the global level, we know less about dynamics of inter-organizational relations in food security governance at the country level, and empirical studies are lacking. It is this research gap the article seeks to address by posing the following research question: In how far does inter-organizational order develop in the organizational field of food security governance at the country level? Theoretically and conceptually, the article draws on sociological institutionalism, and on work on inter-organizational relations. Empirically, the article conducts an exploratory case study of the organizational field of food security governance in Côte d’Ivoire, building on a qualitative content analysis of organizational documents covering a period from 2003 to 2016 and semi-structured interviews with staff of international organizations from 2016. The article demonstrates that not all of the developments attributed to food security governance at the global level play out in the same way at the country level. Rather, in the case of Côte d’Ivoire there are signs for a certain degree of coherence between IOs in the field of food security governance and even for an – albeit limited – division of labour. However, this only holds for specific dimensions of the inter-organizational order and appears to be subject to continuous contestation and reinterpretation under the surface. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - 110 KW - inter-organizational relations KW - international organizations KW - organizational fields KW - inter-organizational order KW - food security governance Y1 - 2019 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-433086 SN - 1867-5808 IS - 110 ER - TY - BOOK A1 - Weiß, Norman A1 - Verlaan, Stephanie A1 - Vasquez Carruthers, Juan Francisco A1 - Mair, Theresa A1 - Conner, Sean A1 - Maaser, Lucas A1 - Röthlisberger, Livia ED - Weiß, Norman T1 - Transitional Justice BT - Theoretical and Practical Approaches T3 - Potsdamer Studien zu Staat, Recht und Politik N2 - This publication deals with the topic of transitional justice. In six case studies, the authors link theoretical and practical implications in order to develop some innovative approaches. Their proposals might help to deal more effectively with the transition of societies, legal orders and political systems. Young academics from various backgrounds provide fresh insights and demonstrate the relevance of the topic. The chapters analyse transitions and conflicts in Sierra Leone, Argentina, Nicaragua, Nepal, and South Sudan as well as Germany’s colonial genocide in Namibia. Thus, the book provides the reader with new insights and contributes to the ongoing debate about transitional justice. N2 - Gegenstand dieser Publikation ist das Thema „Transitional Justice“. In sechs Fallstudien verknüpfen die Autoren theoretische und praktische Implikationen, um innovative Ansätze zu entwickeln. Ihre Vorschläge wollen dazu beitragen, den Übergangsprozess von Gesellschaften, Rechtsordnungen und politischen Systemen effektiver zu gestalten. Nachwuchswissenschaftler mit unterschiedlichem fachlichem Hintergrund geben hier neue Einblicke und zeigen die fortdauernde Relevanz des Themas. Die Kapitel analysieren Übergänge und Konflikte in Sierra Leone, Argentinien, Nicaragua, Nepal und Süd-Sudan sowie den kolonialen Völkermord in Namibia. So liefert das Buch dem Leser neue Erkenntnisse und trägt zur laufenden Debatte über das Thema „Transitional Justice“ bei. T3 - Potsdamer Studien zu Staat, Recht und Politik - 7 KW - transitional justice KW - transformation KW - transformative justice KW - reconciliation KW - political opportunism KW - Übergangsjustiz KW - Transformation KW - Versöhnung KW - Demokratisierung Y1 - 2022 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-431711 SN - 978-3-86956-473-9 SN - 1869-2443 SN - 1867-2663 IS - 7 PB - Universitätsverlag Potsdam CY - Potsdam ER - TY - JOUR A1 - Liese, Andrea T1 - Rezension zu: The power of global performance indicators / Hrsg.: Judith G. Kelley ; Beth A. Simmons. - Cambridge: Cambridge University Press, 2020. - 450 p. JF - Perspectives on politics / American Political Science Association Y1 - 2022 SN - 978-1-108-48720-7 U6 - https://doi.org/10.1017/S1537592721003716 SN - 1537-5927 SN - 1541-0986 VL - 20 IS - 1 SP - 380 EP - 382 PB - Cambridge Univ. Press CY - Cambridge ER - TY - CHAP A1 - Tanneberg, Dag T1 - Toward a theory of political repression T2 - The politics of repression under authoritarian rule : how steadfast is the Iron Throne? N2 - To ensure political survival, autocrats must prevent popular rebellion, and political repression is a means to that end. However, autocrats face threats from both the inside and the outside of the center of power. They must avoid popular rebellion and at the same time share power with strategic actors who enjoy incentive to challenge established power-sharing arrangements whenever repression is ordered. Can autocrats turn repression in a way that allows trading one threat off against the other? This chapter first argues that prior research offers scant insight on that question because it relies on umbrella concepts and questionable measurements of repression. Next, the chapter disaggregates repression into restrictions and violence and reflects on their drawbacks. Citizens adapt to the restriction of political civil liberties, and violence backfires against its originators. Hence, restrictions require enforcement, and violence requires moderation. When interpreted as complements, it becomes clear that restrictions and violence have the potential to compensate for their respective weaknesses. The complementarity between violence and restrictions turns political repression into a valuable addition to the authoritarian toolkit. The chapter concludes with an application of these ideas to the twin problems of authoritarian control and power-sharing. Y1 - 2020 SN - 978-3-030-35477-0 SN - 978-3-030-35476-3 U6 - https://doi.org/10.1007/978-3-030-35477-0_2 SN - 2198-7289 SP - 9 EP - 41 PB - Springer CY - Cham ER - TY - JOUR A1 - Tanneberg, Dag T1 - How to measure dictatorship, dissent, and political repression JF - The politics of repression under authoritarian rule N2 - This chapter operationalizes the three fundamental concepts of this study. It outlines what counts as authoritarian rule, it explains how to recognize dissent in non-democratic contexts, and it debates how to quantify repression in the shadow of the politicized discourse on human rights. First, the chapter opts to classify every political regime as authoritarian that fails to elect its executive or legislature in free and competitive elections. Second, the chapter proposes to see dissent through the lens of campaigns, i.e., series of connected contentious events that involve large-scale collective action and formulate far-reaching political demands. Finally, after some elaboration on the problems involved in measuring political repression reliably and validly, the chapter turns to rescaled versions of the Human Rights Protection Scores 2.04 and the V-Dem 6.2 political civil liberties index as indicators for violence and restrictions. This choice of indicators of repression is, finally, defended against three central objections: the separability of violence from restrictions, the so-called information paradox, and, finally, differences in the timing of violence and restrictions. Y1 - 2020 SN - 978-3-030-35477-0 SN - 978-3-030-35476-3 U6 - https://doi.org/10.1007/978-3-030-35477-0_3 SN - 2198-7289 SP - 43 EP - 75 PB - Springer CY - Cham ER - TY - JOUR A1 - Adamik, Verena T1 - Making worlds from literature BT - W.E.B. Du Bois’s The Quest of the Silver Fleece and Dark Princess JF - Thesis eleven : critical theory and historical sociology N2 - While W.E.B. Du Bois’s first novel, The Quest of the Silver Fleece (1911), is set squarely in the USA, his second work of fiction, Dark Princess: A Romance (1928), abandons this national framework, depicting the treatment of African Americans in the USA as embedded into an international system of economic exploitation based on racial categories. Ultimately, the political visions offered in the novels differ starkly, but both employ a Western literary canon – so-called ‘classics’ from Greek, German, English, French, and US American literature. With this, Du Bois attempts to create a new space for African Americans in the world (literature) of the 20th century. Weary of the traditions of this ‘world literature’, the novels complicate and begin to decenter the canon that they draw on. This reading traces what I interpret as subtle signs of frustration over the limits set by the literature that underlies Dark Princess, while its predecessor had been more optimistic in its appropriation of Eurocentric fiction for its propagandist aims. KW - African American literature KW - Eurocentrism KW - genre KW - intertextuality KW - race Y1 - 2021 U6 - https://doi.org/https://doi.org/10.1177/0725513621993308 SN - 0725-5136 SN - 1461-7455 VL - 162 IS - 1 SP - 105 EP - 120 PB - Sage CY - London ER - TY - JOUR A1 - Eydam, Ulrich Leonard A1 - Gabriadze, Irakli T1 - Institutional development in transition economies BT - the role of institutional experience JF - Post-Soviet affairs N2 - To understand the divergent institutional development in transition economies, we examine the role of institutional experience from the pre-Soviet era in institution-building after the dissolution of the Soviet Union. To measure institutional experience, we construct an index that captures previous experience with independent non-Soviet institutions. A cross-sectional analysis shows that institutional experience is statistically significantly associated with the quality of political, administrative, and legal institutions in transition economies today. To provide a more comprehensive picture and to control for confounding factors, in a second step, we apply a Hausman-Taylor estimator on panel data. This analysis confirms the positive relationship between institutional experience and institutional development. Moreover, the results suggest that the association between institutional experience and political institutions is stronger than the association to the other dimensions of institutions. Overall, the analysis highlights the importance of institutional experience and provides a rationale for the persistency of institutions. KW - institutions KW - comparative development KW - transition economies KW - post-Soviet KW - space KW - collective memory Y1 - 2020 U6 - https://doi.org/10.1080/1060586X.2020.1848171 SN - 1060-586X SN - 1938-2855 VL - 37 IS - 2 SP - 99 EP - 118 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Cörüt, Gözde Yazıcı A1 - Cörüt, İlker T1 - The neo-liberal conception of empowerment and its limits BT - micro-credit experiences of self-employed women in the bazaars of Bishkek JF - Central Asian survey N2 - Through qualitative research conducted in the bazaars of Bishkek, this paper examines the posited tripartite relationship between the free market, micro-finance and women's empowerment by focusing on how loans from micro-finance institutions in Bishkek influence the lives of female loanees. The neo-liberal conception of 'individual autonomy' and 'empowerment', it is argued, may not adequately serve as indicators of actual female empowerment/disempowerment in Bishkek and lead us to fail to recognize moments of self-exploitation and forms of claim-making. The research also underlines the disempowering effects of the affectional burden, that is, the constant sense of anxiety, that the loanees have to manage in order to survive in the neo-liberal business environment, which offers high interest rate loans and exposes the loanees to over-indebtedness. These effects can be followed through the analysis of the role the desire for stability and 'ontological security' plays in the formation of the identities/world views of the loanees. KW - Kyrgyzstan KW - micro-credit KW - self-employed women KW - women's empowerment KW - neo-liberalism KW - debt Y1 - 2021 U6 - https://doi.org/10.1080/02634937.2021.1969897 SN - 0263-4937 SN - 1465-3354 VL - 41 IS - 1 SP - 118 EP - 137 PB - Routledge, Taylor & Francis Group CY - Abingdon ER - TY - JOUR A1 - Kleemann, Steven T1 - Cyber warfare and the "humanization" of international humanitarian law JF - International journal of cyber warfare and terrorism N2 - Cyber warfare is a timely and relevant issue and one of the most controversial in international humanitarian law (IHL). The aim of IHL is to set rules and limits in terms of means and methods of warfare. In this context, a key question arises: Has digital warfare rules or limits, and if so, how are these applicable? Traditional principles, developed over a long period, are facing a new dimension of challenges due to the rise of cyber warfare. This paper argues that to overcome this new issue, it is critical that new humanity-oriented approaches is developed with regard to cyber warfare. The challenge is to establish a legal regime for cyber-attacks, successfully addressing human rights norms and standards. While clarifying this from a legal perspective, the authors can redesign the sensitive equilibrium between humanity and military necessity, weighing the humanitarian aims of IHL and the protection of civilians-in combination with international human rights law and other relevant legal regimes-in a different manner than before. KW - cyber-attack KW - cyberwar KW - IHL KW - IHRL KW - international human rights KW - international humanitarian law KW - law and technology KW - new technologies Y1 - 2021 SN - 978-1-7998-6177-5 U6 - https://doi.org/10.4018/IJCWT.2021040101 SN - 1947-3435 SN - 1947-3443 VL - 11 IS - 2 SP - 1 EP - 11 PB - IGI Global CY - Hershey ER - TY - THES A1 - Patz, Ronny T1 - Information flows in the context of EU policy-making : affiliation networks and the post-2012 reform of the EU's Common Fisheries Policy T1 - Informationsflüsse im Kontext von EU-Entscheidungsprozessen : Affiliations-Netzwerke und die Reform der Gemeinsamen Fischereipolitik der EU für die Zeit nach 2012 N2 - Information flows in EU policy-making are heavily dependent on personal networks, both within the Brussels sphere but also reaching outside the narrow limits of the Belgian capital. These networks develop for example in the course of formal and informal meetings or at the sidelines of such meetings. A plethora of committees at European, transnational and regional level provides the basis for the establishment of pan-European networks. By studying affiliation to those committees, basic network structures can be uncovered. These affiliation network structures can then be used to predict EU information flows, assuming that certain positions within the network are advantageous for tapping into streams of information while others are too remote and peripheral to provide access to information early enough. This study has tested those assumptions for the case of the reform of the Common Fisheries Policy for the time after 2012. Through the analysis of an affiliation network based on participation in 10 different fisheries policy committees over two years (2009 and 2010), network data for an EU-wide network of about 1300 fisheries interest group representatives and more than 200 events was collected. The structure of this network showed a number of interesting patterns, such as – not surprisingly – a rather central role of Brussels-based committees but also close relations of very specific interests to the Brussels-cluster and stronger relations between geographically closer maritime regions. The analysis of information flows then focused on access to draft EU Commission documents containing the upcoming proposal for a new basic regulation of the Common Fisheries Policy. It was first documented that it would have been impossible to officially obtain this document and that personal networks were thus the most likely sources for fisheries policy actors to obtain access to these “leaks” in early 2011. A survey of a sample of 65 actors from the initial network supported these findings: Only a very small group had accessed the draft directly from the Commission. Most respondents who obtained access to the draft had received it from other actors, highlighting the networked flow of informal information in EU politics. Furthermore, the testing of the hypotheses connecting network positions and the level of informedness indicated that presence in or connections to the Brussels sphere had both advantages for overall access to the draft document and with regard to timing. Methodologically, challenges of both the network analysis and the analysis of information flows but also their relevance for the study of EU politics have been documented. In summary, this study has laid the foundation for a different way to study EU policy-making by connecting topical and methodological elements – such as affiliation network analysis and EU committee governance – which so far have not been considered together, thereby contributing in various ways to political science and EU studies. N2 - Informationsflüsse im Kontext von EU-Entscheidungsprozessen sind ohne persönliche Netzwerke kaum denkbar, sowohl solche innerhalb der Brüsseler Sphäre aber auch solche, die über die engen Grenzen der belgischen Hauptstadt hinausreichen. Solche Netzwerke entwickeln sich zum Beispiel im Laufe von offiziellen und inoffiziellen Treffen, oft auch am Rande solcher Ereignisse. Die Vielzahl von Ausschüssen auf europäischer, transnationaler und regionaler Ebene bildet daher die Grundlage für die Schaffung europäischer Netzwerkstrukturen. Indem wir die Teilnahme an solchen Ausschüssen untersuchen, ist es uns möglich, grundlegende Strukturmerkmale solcher Netzwerke aufzudecken. Solche Affiliationsnetzwerk-Strukturen können dann die Grundlage zur Vorhersage von europäischen Informationsflüssen bilden: Die Annahme ist, dass bestimmte Positionen in solchen Netzwerken vorteilhaft für den Zugang zu Informationsflüssen sind, während andere Positionen (zu) weit entfernt und zu peripher sind, um rechtzeitigen Zugriff auf relevante Informationen zu erhalten. Die vorliegende Studie testet diese Annahmen anhand der Reform der Gemeinsamen Fischereipolitik der Europäischen Union für die Zeit nach 2012 . Basierend auf Teilnahmedaten von 10 Fischereipolitik-Ausschüssen über den Zeitraum von zwei Jahren (2009 und 2010) wurde ein Affilationsnetzwerk aus mehr als 1300 Interessenvertretern und –vertreterinnen sowie über 200 Ereignissen erhoben. Die Struktur dieses Netzwerks zeigt eine Reihe von interessanten Mustern auf, zum Beispiel die zentrale Rolle von Brüssel-basierten Ausschüssen aber auch die enge Verknüpfung bestimmter Interessen mit dem Brüsseler Kern des Netzwerk sowie die enge Vernetzung geographisch benachbarter Meeresregionen. Die Analyse von EU-Informationsflüssen wurde dann Anhand des Zugangs von Akteuren aus dem erhobenen Netzwerk zu (nichtöffentlichen) Entwurfsfassungen des Kommissionsvorschlags für eine neue Gemeinsame Fischereipolitik durchgeführt. Zunächst wurde dokumentiert, dass der Zugang zu diesen Dokumenten auf offiziellen Wegen unmöglich war und dass daher Zugang durch erweiterte persönliche Netzwerke die wahrscheinlichste Erklärung für den Erhalt von „Leaks“ durch Fischereipolitik-Interessengruppen in der ersten Hälfte von 2011 war. Eine Umfrage unter 65 Akteuren aus der Gesamtpopulation des Gesamtnetzwerk unterstützte diese Vermutung: Nur eine kleine Gruppe hatte Zugang zu den nicht-öffentlichen Entwurfsdokumenten durch ihre direkten Beziehungen mit der EU-Kommission. Die meisten Teilnehmer der Umfrage hatte Zugang zu diesen Dokumenten durch Dritte erhalten, ein Nachweis, dass EU-Informationen sich tatsächlich in weiteren Netzwerkstrukturen verbreiten. Die Studie konnte auch zeigen, dass enge Affiliations-Beziehungen zur Brüsseler Sphäre ein relevanter Indikator für den (zeitnahen) Zugang zu nicht-öffentlichen EU-Dokumenten ist. Die Herausforderungen in der methodischen Erhebungen von europäischen Affiliationsnetzwerkdaten und von EU-Informationsflüssen werden dabei in der Studie ausführlich dokumentiert. Die Relevanz dieser Methoden zur Analyse von EU-Politik wird ebenfalls im Detail dargelegt. Zusammenfassend legt diese Doktorarbeit die Grundlage für eine neue Art, europäische und transnationale politische Prozesse in Europa zu untersuchen. Sie verbinden thematische und methodische Ansätze – zum Beispiel Affiliationsnetzwerkanalyse und die Untersuchung des EU-Ausschusswesens – die bislang in dieser Form noch nicht zusammengeführt wurden, und trägt dadurch auf verschiedenste Weise zur Weiterentwicklung der Politikwissenschaft und der Europastudien bei. KW - Netzwerkanalyse KW - Europäische Union KW - Informationsflüsse KW - Ausschüsse KW - Affiliationsnetzwerke KW - network analysis KW - European Union KW - information flow KW - committee governance KW - affiliation networks Y1 - 2013 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-70732 ER - TY - BOOK A1 - Terhalle, Maximilian T1 - The transition of global order BT - legitimacy and contestation Y1 - 2015 SN - 978-1-137-38689-2 PB - Palgrave Macmillan CY - Basingstoke ER - TY - THES A1 - Debre, Maria T1 - Testing the limits of civil society in Jordan T1 - Grenzen der Zivilgesellschaften in Jordanien BT - an action-based approach to the study of civil society in authoritarian regimes in the Middle East BT - ein handlungslogischer Ansatz für die Analyse von Zivilgesellschaft in Autoritären Regimen im Nahen Osten N2 - Civil society is either considered as a motor of democratization or stabilizer of authoritarian rule. This dichotomy is partly due to the dominance of domains-based definitions of the concept that reduce civil society to a small range of formally organized, independent and democratically oriented NGOs. Additionally, research often treats civil society as a ‘black box’ without differentiating between potential variations in impact of different types of civil society actors on existing regime structures. In this thesis, I present an alternative conceptualization of civil society based on the interactions of societal actors to arrive at a more inclusive understanding of the term which is more suited for analysis in non-democratic settings. The operationalization of the action-based approach I develop allows for an empirical assessment of a large range of societal activities that can accordingly be categorized from little to very civil society-like depending on their specific modes of interactions within four dimensions. I employ this operationalization in a qualitative case study including different actors in the authoritarian monarchy of Jordan which suggests that Jordanian societal actors mostly exhibit tolerant and democratically oriented modes of interaction and do not reproduce authoritarian patterns. However, even democratically oriented actors do not necessarily take on an oppositional positions vis-à-vis the authoritarian regime. Thus, the Jordanian civil society might not feature a high potential to challenge existing power structures in the country. N2 - Zivilgesellschaft wird entweder als förderlich für Demokratisierung oder als Stabilisator autoritärer Herrschaftsstrukturen gesehen. Dies ist zum Einen das Resultat der Dominanz bereichslogischer Definitionen des Konzepts, welche Zivilgesellschaft auf ein schmales Spektrum formal organisierter, unabhängiger und demokratisch orientierter NGOs von Bürgern reduziert. Zum Anderen wird Zivilgesellschaft in der Forschung meist als ‚black box‘ behandelt, ohne Differenzierung zwischen der potenziellen Wirkungsweise verschiedener Arten von gesellschaftlichen Akteuren vorzunehmen. Diese Arbeit stellt eine alternative Konzeptualisierung von Zivilgesellschaft als Interaktion gesellschaftlicher Akteure vor, um ein inklusiveres Verständnis zu ermöglichen. Die erarbeitete Operationalisierung dieses Ansatzes erlaubt die empirische Untersuchung einer großen Bandbreite an gesellschaftlichen Aktivitäten, welche je nach Interaktionsmuster innerhalb von vier Dimensionen eine sehr hohe bis sehr niedrige Eignung zum zivilgesellschaftlichen Handeln aufweisen können. Eine Fallstudie verschiedener Akteure im autoritären Regime Jordanien lässt annehmen, dass gesellschaftliche Akteure dort ein dominant tolerantes, demokratisches Interaktionsmuster aufweisen und nicht autoritäre Interaktionsmuster reproduzieren. Dennoch steht eine demokratische Gesinnung der Akteure nicht automatisch in Zusammenhang mit einer oppositionellen Position gegenüber dem autoritären Staat. Das Potenzial der Zivilgesellschaft zur politischen Herausforderung der bestehenden Herrschaftsstrukturen scheint somit gering. KW - civil society KW - authoritarianism KW - democratization KW - Jordan KW - qualitative case study KW - Zivilgesellschaft KW - Autoritarismus KW - Demokratisierung KW - Jordanien KW - qualitative Fallstudie Y1 - 2014 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-72974 ER - TY - JOUR A1 - Heidemann, Birte T1 - Post-agreement belfast : labour, work and the new subalterns in daragh carville's play this other city JF - Reworking postcolonialism : globalization, labour and rights Y1 - 2015 SN - 978-1-137-43592-7 SP - 119 EP - 133 PB - Palgrave Macmillan CY - New York ER - TY - THES A1 - Schmidt, Peter T1 - Contributions to EU regional policy T1 - Beiträge zur EU-Regionalpolitik BT - reconsidering theoretical and empirical perspectives on the Structural Funds BT - neue theoretische und empirische Perspektiven auf die Strukturfonds N2 - This cumulative dissertation contains four self-contained articles which are related to EU regional policy and its structural funds as the overall research topic. In particular, the thesis addresses the question if EU regional policy interventions can at all be scientifically justified and legitimated on theoretical and empirical grounds from an economics point of view. The first two articles of the thesis (“The EU structural funds as a means to hamper migration” and “Internal migration and EU regional policy transfer payments: a panel data analysis for 28 EU member countries”) enter into one particular aspect of the debate regarding the justification and legitimisation of EU regional policy. They theoretically and empirically analyse as to whether regional policy or the market force of the free flow of labour (migration) in the internal European market is the better instrument to improve and harmonise the living and working conditions of EU citizens. Based on neoclassical market failure theory, the first paper argues that the structural funds of the EU are inhibiting internal migration, which is one of the key measures in achieving convergence among the nations in the single European market. It becomes clear that European regional policy aiming at economic growth and cohesion among the member states cannot be justified and legitimated if the structural funds hamper instead of promote migration. The second paper, however, shows that the empirical evidence on the migration and regional policy nexus is not unambiguous, i.e. different empirical investigations show that EU structural funds hamper and promote EU internal migration. Hence, the question of the scientific justification and legitimisation of EU regional policy cannot be readily and unambiguously answered on empirical grounds. This finding is unsatisfying but is in line with previous theoretical and empirical literature. That is why, I take a step back and reconsider the theoretical beginnings of the thesis, which took for granted neoclassical market failure theory as the starting point for the positive explanation as well as the normative justification and legitimisation of EU regional policy. The third article of the thesis (“EU regional policy: theoretical foundations and policy conclusions revisited”) deals with the theoretical explanation and legitimisation of EU regional policy as well as the policy recommendations given to EU regional policymakers deduced from neoclassical market failure theory. The article elucidates that neoclassical market failure is a normative concept, which justifies and legitimates EU regional policy based on a political and thus subjective goal or value-judgement. It can neither be used, therefore, to give a scientifically positive explanation of the structural funds nor to obtain objective and practically applicable policy instruments. Given this critique of neoclassical market failure theory, the third paper consequently calls into question the widely prevalent explanation and justification of EU regional policy given in static neoclassical equilibrium economics. It argues that an evolutionary non-equilibrium economics perspective on EU regional policy is much more appropriate to provide a realistic understanding of one of the largest policies conducted by the EU. However, this does neither mean that evolutionary economic theory can be unreservedly seen as the panacea to positively explain EU regional policy nor to derive objective policy instruments for EU regional policymakers. This issue is discussed in the fourth article of the thesis (“Market failure vs. system failure as a rationale for economic policy? A critique from an evolutionary perspective”). This article reconsiders the explanation of economic policy from an evolutionary economics perspective. It contrasts the neoclassical equilibrium notions of market and government failure with the dominant evolutionary neo-Schumpeterian and Austrian-Hayekian perceptions. Based on this comparison, the paper criticises the fact that neoclassical failure reasoning still prevails in non-equilibrium evolutionary economics when economic policy issues are examined. This is surprising, since proponents of evolutionary economics usually view their approach as incompatible with its neoclassical counterpart. The paper therefore argues that in order to prevent the otherwise fruitful and more realistic evolutionary approach from undermining its own criticism of neoclassical economics and to create a consistent as well as objective evolutionary policy framework, it is necessary to eliminate the equilibrium spirit. Taken together, the main finding of this thesis is that European regional policy and its structural funds can neither theoretically nor empirically be justified and legitimated from an economics point of view. Moreover, the thesis finds that the prevalent positive and instrumental explanation of EU regional policy given in the literature needs to be reconsidered, because these theories can neither scientifically explain the emergence and development of this policy nor are they appropriate to derive objective and scientific policy instruments for EU regional policymakers. N2 - Diese kumulative Dissertation umfasst vier eigenständige Artikel zur EU-Regionalpolitik und ihren Strukturfonds als dem übergreifenden Forschungsthema der Dissertation. Die Arbeit beschäftigt sich mit der Fragestellung, ob sich aus ökonomischer Sicht die EU-Regionalpolitik überhaupt wissenschaftlich, sowohl empirisch als auch theoretisch, begründen lässt. Die ersten beiden Artikel der Dissertation (“The EU structural funds as a means to hamper migration” und “Internal migration and EU regional policy transfer payments: a panel data analysis for 28 EU member countries”) greifen einen bestimmten Aspekt der Debatte um die Rechtfertigung von Eingriffen der EU-Regionalpolitik in den EU-Binnenmarkt auf. Die beiden Artikel analysieren theoretisch und empirisch, ob die Regionalpolitik oder die freien Marktkräfte in Form von freier Migration im europäischen Binnenmarkt besser geeignet sind, um die Lebens- und Beschäftigungsbedingungen der EU-Bürger zu verbessern und anzugleichen. Basierend auf der neoklassischen Theorie des Marktversagens, argumentiert das erste Papier, dass die Strukturfonds der EU Migration, die einen wesentlichen Mechanismus zur Erreichung von Konvergenz der europäischen Mitgliedsstaaten darstellt, verhindern. Es wird deutlich, dass die EU-Regionalpolitik, welche auf Wachstum und Konvergenz der EU-Mitgliedsstaaten abzielt, nicht gerechtfertigt werden kann, wenn die Strukturfonds Migration in der EU behindern, anstatt sie zu fördern. Der zweite Artikel zeigt jedoch, dass die empirische Evidenz bezüglich des Zusammenhangs von EU-Regionalpolitik und Migration nicht eindeutig ist, d.h. verschiedene empirische Untersuchungen zeigen, dass die Strukturfonds Migration behindern aber auch fördern. Daher ist die Frage der wissenschaftlichen Rechtfertigung der EU-Regionalpolitik auf empirischer Grundlage nicht einfach und eindeutig. Dieses Ergebnis ist unbefriedigend, steht aber im Einklang mit der bisherigen theoretischen und empirischen Literatur. Daher geht die Arbeit an dieser Stelle einen Schritt zurück und überprüft die zu Beginn unterstellte theoretische Grundlage ihrer Analyse der Erklärung und Rechtfertigung der EU-Regionalpolitik, die in der vorherrschenden neoklassischen Marktversagenstheorie zu sehen und zu finden ist. Der dritte Artikel („EU regional policy: theoretical foundations and policy conclusions revisited“) behandelt die theoretische Erklärung und Rechtfertigung, als auch die Politikempfehlungen an EU-Regionalpolitiker, welche aus der neoklassischen Marktversagenstheorie abgleitet werden. Der Artikel führt aus, dass das neoklassische Marktversagenskonzept normativ ist und die EU-Regionalpolitik dadurch mit Hilfe eines politischen und damit subjektiven Werturteils rechtfertigt und legitimiert. Dieses Konzept kann jedoch keine wissenschaftlich positive Erklärung der EU-Strukturfonds liefern, noch können daraus objektive und praktisch anwendbare Politikinstrumente abgeleitet werden. Diese Kritik an der neoklassischen Marktversagenstheorie gegeben, stellt das dritte Papier konsequenterweise die vorherrschende Erklärung und Rechtfertigung der EU-Regionalpolitik, welche in der statisch-neoklassischen Gleichgewichtsökonomik geliefert wird, in Frage. Es wird argumentiert, dass eine evolutorische Nicht-Gleichgewichtsperspektive auf die EU-Regionalpolitik wesentlich geeigneter erscheint eine realistische Erklärung für eine der größten Politiken der EU zu geben. Allerdings heißt dies nicht, dass die evolutorische Ökonomik unvoreingenommen als Allheilmittel für eine positive Erklärung und die Ableitung objektiver Politikinstrumente herangezogen werden kann. Warum dies so ist, wird im vierten Artikel der Dissertation („Market failure vs. system failure as a rationale for economic policy? A critique from an evolutionary perspective“) diskutiert. Dieser Artikel greift die Erklärung von Wirtschaftspolitik, die aus evolutorischer Perspektive gegeben wird, neu auf. Die neoklassischen Gleichgewichtsvorstellungen des Markt- und Staatsversagens werden mit den vorherrschenden evolutorischen neo-Schumpeterschen und Österreichisch-Hayekiansichen Vorstellungen die Wirtschaftspolitik betreffend verglichen. Auf diesem Vergleich aufbauend kritisiert das Papier, dass neoklassisches Versagensdenken in der evolutorischen Nicht-Gleichgewichtsökonomik weiterhin zu finden ist, wenn wirtschaftspolitische Fragestellungen erörtert werden. Dies ist sehr überraschend, da die Vertreter der evolutorischen Ökonomik ihren Ansatz normalerweise als inkompatibel zu ihrem neoklassischen Pendant ansehen. Der letzte Artikel argumentiert deshalb, dass der Gleichgewichtsgedanke eliminiert werden muss, um die ansonsten sehr fruchtbare und wesentlich realistischere evolutorische Ökonomik vor der Unterminierung ihrer eigenen Kritik an der Neoklassik zu schützen und einen konsistenten als auch objektiven evolutorischen Analyserahmen für wirtschaftspolitische Fragestellungen zu schaffen. Fasst man das Resultat der Dissertation zusammen, bleibt festzuhalten, dass die EU-Regionalpolitik und ihre Strukturfonds aus ökonomischer Sicht weder theoretisch noch empirisch rechtfertigt und legitimiert werden können. Darüber hinaus kommt die Arbeit zu dem Schluss, dass die vorherrschende positive und instrumentelle Erklärung der EU-Regionalpolitik, die in der Literatur gegeben wird, neu gedacht werden muss, da mit Hilfe dieser Theorien weder das Aufkommen und die Entwicklung dieser Politik erklärbar sind, noch geeignete objektive und wissenschaftliche Politikinstrumente für EU-Regionalpolitiker abgeleitet werden können. KW - EU regional policy KW - structural funds KW - internal migration KW - market failures KW - non-equilibrium economics KW - evolutionary economics KW - system failure KW - economic policy KW - European integration KW - EU-Regionalpolitik KW - Strukturfonds KW - interne Migration KW - Marktversagen KW - Nicht-Gleichgewichtsökonomik KW - Evolutorische Ökonomik KW - Systemversagen KW - Wirtschaftspolitik KW - Europäische Integration Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-90837 ER - TY - THES A1 - Schiller, Christof T1 - The Politics of Welfare State Transformation in Germany BT - Still a Semi-Sovereign State? T2 - Routledge-EUI studies in the political economy of welfare ; 17 Y1 - 2016 SN - 978-1-315-62390-0 PB - Routledge CY - London ER - TY - GEN A1 - Borgnäs, Kajsa T1 - The Policy Influence of Sustainability Indicators BT - Examining Use and Influence of Indicators in German Sustainability Policy Making N2 - In 2002 Germany adopted an ambitious national sustainability strategy, covering all three sustainability spheres and circling around 21 key indicators. The strategy stands out because of its relative stability over five consecutive government constellations, its high status and increasingly coercive nature. This article analyses the strategy's role in the policy process, focusing on the use and influence of indicators as a central steering tool. Contrasting rationalist and constructivist perspectives on the role of knowledge in policy, two factors, namely the level of consensus about policy goals and the institutional setting of the indicators, are found to explain differences in use and influence both across indicators and over time. Moreover, the study argues that the indicators have been part of a continuous process of ‘structuring’ in which conceptual and instrumental use together help structure the sustainability challenge in such a way that it becomes more manageable for government policy. T3 - Zweitveröffentlichungen der Universität Potsdam : Wirtschafts- und Sozialwissenschaftliche Reihe - 76 Y1 - 2016 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus4-96342 SP - 1 EP - 20 ER - TY - THES A1 - Borgnäs, Kajsa T1 - Governing through 'governing images' BT - Understanding the policy role of sustainability indicators N2 - In the debate on how to govern sustainable development, a central question concerns the interaction between knowledge about sustainability and policy developments. The discourse on what constitutes sustainable development conflict on some of the most basic issues, including the proper definitions, instruments and indicators of what should be ‘developed’ or ‘sustained’. Whereas earlier research on the role of (scientific) knowledge in policy adopted a rationalist-positivist view of knowledge as the basis for ‘evidence-based policy making’, recent literature on knowledge creation and transfer processes has instead pointed towards aspects of knowledge-policy ‘co-production’ (Jasanoff 2004). It is highlighted that knowledge utilisation is not just a matter of the quality of the knowledge as such, but a question of which knowledge fits with the institutional context and dominant power structures. Just as knowledge supports and justifies certain policy, policy can produce and stabilise certain knowledge. Moreover, rather than viewing knowledge-policy interaction as a linear and uni-directional model, this conceptualization is based on an assumption of the policy process as being more anarchic and unpredictable, something Cohen, March and Olsen (1972) has famously termed the ‘garbage-can model’. The present dissertation focuses on the interplay between knowledge and policy in sustainability governance. It takes stock with the practice of ‘Management by Objectives and Results’ (MBOR: Lundqvist 2004) whereby policy actors define sustainable development goals (based on certain knowledge) and are expected to let these definitions guide policy developments as well as evaluate whether sustainability improves or not. As such a knowledge-policy instrument, Sustainability Indicators (SI:s) help both (subjectively) construct ‘social meaning’ about sustainability and (objectively) influence policy and measure its success. The different articles in this cumulative dissertation analyse the development, implementation and policy support (personal and institutional) of Sustainability Indicators as an instrument for MBOR in a variety of settings. More specifically, the articles centre on the question of how sustainability definitions and measurement tools on the one hand (knowledge) and policy instruments and political power structures on the other, are co-produced. A first article examines the normative foundations of popular international SI:s and country rankings. Combining theoretical (constructivist) analysis with factor analysis, it analyses how the input variable structure of SI:s are related to different sustainability paradigms, producing a different output in terms of which countries (developed versus developing) are most highly ranked. Such a theoretical input-output analysis points towards a potential problem of SI:s becoming a sort of ‘circular argumentation constructs’. The article thus, highlights on a quantitative basis what others have noted qualitatively – that different definitions and interpretations of sustainability influence indicator output to the point of contradiction. The normative aspects of SI:s does thereby not merely concern the question of which indicators to use for what purposes, but also the more fundamental question of how normative and political bias are intrinsically a part of the measurement instrument as such. The study argues that, although no indicator can be expected to tell the sustainability ‘truth-out-there’, a theoretical localization of indicators – and of the input variable structure – may help facilitate interpretation of SI output and the choice of which indicators to use for what (policy or academic) purpose. A second article examines the co-production of knowledge and policy in German sustainability governance. It focuses on the German sustainability strategy ‘Perspektiven für Deutschland’ (2002), a strategy that stands out both in an international comparison of national sustainability strategies as well as among German government policy strategies because of its relative stability over five consecutive government constellations, its rather high status and increasingly coercive nature. The study analyses what impact the sustainability strategy has had on the policy process between 2002 and 2015, in terms of defining problems and shaping policy processes. Contrasting rationalist and constructivist perspectives on the role of knowledge in policy, two factors, namely the level of (scientific and political) consensus about policy goals and the ‘contextual fit’ of problem definitions, are found to be main factors explaining how different aspects of the strategy is used. Moreover, the study argues that SI:s are part of a continuous process of ‘structuring’ in which indicator, user and context factors together help structure the sustainability challenge in such a way that it becomes more manageable for government policy. A third article examines how 31 European countries have built supportive institutions of MBOR between 1992 and 2012. In particular during the 1990s and early 2000s much hope was put into the institutionalisation of Environmental Policy Integration (EPI) as a way to overcome sectoral thinking in sustainability policy making and integrate issues of environmental sustainability into all government policy. However, despite high political backing (FN, EU, OECD), implementation of EPI seems to differ widely among countries. The study is a quantitative longitudinal cross-country comparison of how countries’ ‘EPI architectures’ have developed over time. Moreover, it asks which ‘EPI architectures’ seem to be more effective in producing more ‘stringent’ sustainability policy. Y1 - 2016 ER - TY - BOOK A1 - Franzke, Jochen T1 - Slovak Telecom administration : transformation and regulation in a dynamic market N2 - This study is analysing the transformation of Slovak administration in the telecommunication sector between 1989 and 2004. The dynamic telecom sector forms a good example for the transition problems of post-socialist administration with special regard to the regulation regime change. After describing briefly the role of the telecom sector within economy, the Slovak sectoral policy is analysed. The focus is layed on telecom legislation (including the regulation framework), liberalization of the telecom market and privatisation of the former state owned telecom operator. The transformation of the organizational structure of the "Slovak telecommunication administration" is analysed in particular at the level of the ministry and the regulating agency. T3 - Forschungspapiere "Probleme der Öffentlichen Verwaltung in Mittel- und Osteuropa" - 06 KW - Verwaltung KW - Slowakei KW - Telekommunikation KW - Regulierung Y1 - 2005 U6 - http://nbn-resolving.de/urn/resolver.pl?urn:nbn:de:kobv:517-opus-6530 SN - 978-3-939469-00-1 ER -