To save content items to your account,
please confirm that you agree to abide by our usage policies.
If this is the first time you use this feature, you will be asked to authorise Cambridge Core to connect with your account.
Find out more about saving content to .
To save content items to your Kindle, first ensure no-reply@cambridge.org
is added to your Approved Personal Document E-mail List under your Personal Document Settings
on the Manage Your Content and Devices page of your Amazon account. Then enter the ‘name’ part
of your Kindle email address below.
Find out more about saving to your Kindle.
Note you can select to save to either the @free.kindle.com or @kindle.com variations.
‘@free.kindle.com’ emails are free but can only be saved to your device when it is connected to wi-fi.
‘@kindle.com’ emails can be delivered even when you are not connected to wi-fi, but note that service fees apply.
This chapter demonstrates the importance of comparative analysis of the choice, placing and treatment of illustrations in the text. Here I list the eight surviving sets of the Lancelot-Grail made in the same cultural contexts. I analyse a pair of copies of the Estoire del saint Graal attributable to Metz in the late thirteenth/early fourteenth century, comparing them with MS Royal 14 E.III, the most fully illustrated surviving copy. Both Metz manuscripts show special interest in the end of the story and the tomb of King Lancelot, ancestor of Lancelot du Lac, and one of them shows particular interest in depictions of the Grail. Perhaps it was commissioned by a member of the clergy or by a devout lay person. In this period we have few names of patrons or makers and conclusions must be based on what is in each manuscript and the pictorial choices made there.
This article analyses the role of comparative analysis in free movement judgments of the Court of Justice of the European Union (CJEU). It argues that comparative analysis plays an important role in how the CJEU decides the outcome of free movement cases and that free movement law should thus be characterised as a comparative law method. The argument is developed in three steps. First, comparative analysis takes place in all structural parts of free movement cases. It is not exclusively or even primarily limited to the proportionality test. Second, the role of comparative analysis is directly linked to the effective application of the free movement provisions. This means that comparative analysis is not only relied on to engage in standard-setting (‘calibration’) in free movement cases—it is also used to determine which cases should fall within the scope of application of the free movement provisions (‘demarcation’). Third, because of the close relationship between comparative analysis and the effective application of the free movement provisions, it is possible to characterise negative integration as a comparative law method. Although one component of this method is based on the traditional functional method in comparative law, the main comparative method in free movement law is closely linked to cosmopolitan pluralism, because negative integration provides a ‘frame’ or structure through which Member States are required to investigate and respond to the national laws of other Member States. This method can be described as ‘the law of differentiation’, because it identifies, analyses the extent and assesses the legitimacy of differences in national laws in the context of the internal market.
During the last two decades, there have been various attempts at measuring and assessing the health of civil society. Some have focused almost exclusively on ‘counting’ the nonprofit, while others have assessed the strength of nongovernmental organizations. Yet, these sectors are just a small part of a much larger environment. Moreover, they are the result of Western conceptualizations of civil society, thus not very helpful for one to understand civic participation in non-Western settings. Taking stock of these fundamental issues, this article presents the conceptual framework and methodology of a new global index to measure the ‘enabling environment’ of civil society, rather than its forms and institutional contours. Given the inherent diversity of civil societies worldwide, which defies any attempt at developing predetermined definitions, understanding the conditions that support civic participation becomes the most important objective for those interested in promoting a strong civil society arena. The index was launched by CIVICUS in late 2013 with the name of enabling environment index and covers over 200 countries and territories, making it the most ambitious attempt ever made at measuring civil society worldwide.
In the literature on a possible decline of participation levels, several factors are invoked as alleged causes for this trend. Most prominent among these are generational replacement, the spread of television, rising geographic mobility, increasing time pressure, marital instability, and the decline of religious affiliations. In Bowling Alone, Robert Putnam (Bowling Alone: The Collapse and Revival of American Community, Simon and Schuster, New York, 2000) lends credibility to the claim that these factors are at least related to the decline of participation levels in the United States, and might even be regarded as an underlying cause. In this paper, the author assesses whether these variables also have a bearing on the participation level of the Belgian population. The analysis of a Belgian survey (N = 1341) shows that for most of the invoked causes, the relation is not significant, although the decline in religious affiliation does seem a likely candidate for further research. The paper closes with some suggestions for future research on civic engagement.
Guided by organizational and social movement theories, this study compares the structures, resource bases, ideologies, and strategies of nongovernmental organizations engaged in peace and conflict resolution (P/CROs) in three regions with extended violent conflicts: Northern Ireland, South Africa, and Israel/Palestine. Qualitative content analysis techniques are used to analyze 27 detailed case reports. We analyze the funding patterns and structural attributes of the P/CROs in our sample, with particular attention to how they obtain fiscal resources and membership in spite of the risks they may experience. We then explore the degree of formalization among P/CROs over time and, finally, we examine the ideological frames that P/CROs use and how these frames relate to their tactics. Throughout the analysis we pay attention to how the political context of each region influences P/CRO behavior.
The disciplinary focus on explanatory research designs leads researchers to concentrate on differences between political systems to maximise variation in independent and dependent variables. This causes a bias in comparative analysis towards cross-spatial differences and a neglect of similarities and change that occurs in most or all political systems invariably and simultaneously. The article identifies the main reason for this bias is the misled perception that a strong focus on explanation is necessary for a discipline to establish itself as scientific. The article debates the consequences of such a distortion towards differences in a world in which interdependence and diffusion create convergence. It thus proposes a stronger role for (1) descriptive analysis, (2) cross-temporal explanation, and (3) ‘Most Different Systems Designs’ as ways to address parallel change, re-establish the balance of focus between differences and similarities, and control for diffusion effects.
Given its ubiquitous nature, sport events are one of the most popular venues for episodic volunteering around the world. This article explores the rare dataset of volunteering in sport events in seven countries—Finland, Ghana, India, Japan, Switzerland, Tanzania, United States—to overview the differences and similarities identified in demography, volunteers’ reactions to hosts’ management strategies, satisfaction, and intention to volunteer again. Key findings include differences in the level of satisfaction, where responses among American volunteers were the highest. We also find that although well-organized management strategies such as quality training, communication, and proper appreciation led to higher satisfaction, these factors did not contribute to volunteers’ intent to volunteer again. Such management style might be too impersonal with less autonomy on the part of volunteers that they may not feel needed in future events. Somewhat messy management might motivate volunteers to participate again.
According to the ‘social origin theory’ of civil society studies (Salamon and Anheier, Voluntas, 9(3): 213–248 (1998)), the nonprofit sector of today constitutes a ‘repository of former societal struggles and conflicts’. Correspondingly, nonprofits are embedded in administrative and organizational settings, which in many cases date as far back as the latter half of the 19th century—a time when industrialisation and urbanisation started to exert influence in the western world. France and Germany stand for very different societal traditions, political legacies and administrative structures. Traditionally, France is a highly centralized country in which local governments do not enjoy much autonomy. In contrast, Germany is a federalized country where self-government of local communities was introduced as early as at the beginning of the 19th century. Against this background, it comes as a surprise that, aside from few exceptions, the nonprofit sectors in the two countries are very similar. How does this come? We argue that the reason why the French nonprofit sector of today is very similar to the German nonprofit sector is closely linked to the growth of the welfare state in the two countries.
This chapter summarizes the empirical findings by comparing the three international courts. It shows that the EACJ has been the most deferential of the three courts, followed by the CCJ, and the African Court has been the least deferential. At the same time, the EACJ has the narrowest strategic space, the African Court the broadest and the CCJ lies between. The comparative analysis corroborates the theoretical argument of the book as each court’s deference closely aligns with its degree of formal independence and the extent of political fragmentation among its member states. The chapter revisits the book’s core argument by discussing the scope of the argument and considering its generalizability. It concludes with a discussion of the book’s implications for interdisciplinary research on international courts and IR literature on IOs in contemporary world politics.
This article argues that environmental justice extends beyond planning and decision-making to include enforcement as a critical, yet often overlooked, dimension. It advances the claim that incorporating environmental justice into enforcement law and policy is essential for addressing structural inequalities and promoting accountability in environmental governance. The primary objective of the article is to identify environmental justice guidelines embedded in enforcement frameworks, with the aim of strengthening the role of justice in regulatory practice and enhancing the equity and effectiveness of enforcement outcomes. The analysis focuses on three enforcement tools that reflect a flexible and responsive approach: (i) the United States’ Supplemental Environmental Projects, (ii) the United Kingdom’s Environmental Enforcement Undertakings, and (iii) Chile’s Compliance Programmes. The article draws on three sources of data: case studies, the environmental justice guidelines applicable to them, and the existing state of enforcement. It begins by examining the regulatory design of enforcement systems in the three jurisdictions; it then analyzes each tool to identify how environmental justice dimensions are integrated – or could be integrated – into their design and implementation. Finally, it assesses the practical application of these instruments, arguing that the deliberate incorporation of environmental justice considerations can improve the responsiveness, transparency, and legitimacy of enforcement mechanisms, which ultimately benefits both the environment and affected communities.
Throughout the 21st century, many welfare states have expanded family policies. However, the COVID-19 pandemic spurred significant, though varied, adjustments in family benefits across countries. This study conducts a qualitative comparative policy analysis of ten high-income countries, selected on the basis welfare regime theory, to examine how family policy changed during the COVID-19 crisis and whether these changes marked the beginning of new policy paths. The analysis shows that most institutional responses for families with children were incremental and temporary in nature, serving to reinforce rather than overhaul existing welfare systems. These results align with historical institutionalist theory and its emphasis on path dependence. Despite some convergence in emergency measures, long-standing differences in areas such as childcare availability and benefit generosity persist across the studies welfare state regimes. While the pandemic acted as a catalyst for certain policy innovations, it did not fundamentally disrupt the institutional logic underpinning family policy.
Populism in relation to constitutionalism is a widely discussed and critical, topic. In the literature on the phenomenon, there is a prevalence to identify populism as antithetical to constitutional democracy and as eroding the idea and fundamentals of constitutionalism. However, as this chapter will show, much depends on the definitions offered of populism and constitutionalism, and the analytical commitment to study both as historical phenomena with important contextual differences. As I will argue in this chapter, constitutionalism as such is a contested phenomenon, and populism frequently takes up different forms of critique on the predominant legal understanding of constitutionalism. Furthermore, populism is a phenomenon that manifests itself in different ways, displaying diverse guises depending on distinctive ideological position (left- or rightwing), but equally showing variety in terms of positioning regarding characteristic issues, such as sovereignty, the definition of the political community, or relations to constituent power.
This study quantified the relative vulnerability of 3,141 counties in the United States. We built a comprehensive community vulnerability index (CCVI) that considers household, business, and public levels. Eighteen variables related to household socioeconomic characteristics, business size and diversity, local government economic size, social capital, and net immigration were used. In the existing vulnerability indices (CRE, SVI, and SoVI), the indices were constructed by using socioeconomic characteristics of the household. In addition to socioeconomic variables, this study sought to expand the concept of “place-based” by considering the business structure within the community and the potential ability to maintain the existing order of the community to construct a comprehensive index. Additionally, by providing the relative vulnerability of the community at each level (private, business, public), each dimension can provide evidence on which areas are more vulnerable and need remediation than others. We expect that the CCVI can be broadly extended to be used in various forms. In this study, we extend the vulnerability index by including exogenous variables such as climate change. In particular, the extended climate-enhanced CCVI in this study shows that the existing vulnerability index can be strengthened by incorporating extreme climate events.
This study analyzes National Cyber Security Strategies (NCSSs) of G20 countries through a novel combination of qualitative and quantitative methodologies. It focuses on delineating the shared objectives, distinct priorities, latent themes, and key priorities within the NCSSs. Latent dirichlet allocation topic modeling technique was used to identify implicit themes in the NCSSs to augment the explicitly articulated strategies. By exploring the latest versions of NCSS documents, the research uncovers a detailed panorama of multinational cybersecurity dynamics, offering insights into the complexities of shared and unique national cybersecurity challenges. Although challenged by the translation of non-English documents and the intrinsic limitations of topic modeling, the study significantly contributes to the cybersecurity policy domain, suggesting directions for future research to broaden the analytical scope and incorporate more diverse national contexts. In essence, this research underscores the indispensability of a multifaceted, analytical approach in understanding and devising NCSSs, vital for navigating the complex, and ever-changing digital threat environment.
The article analyses how Russian state-controlled media adapt narratives across their language versions to speak to specific national audiences. These media support the Kremlin by echoing its strategic narratives in the international arena. Our article stems from the assumption that the media tailor the narratives and do not deliver homogenous news. Texts published since the initial days of the Russian invasion of Ukraine were analyzed from Sputnik Czech Republic, Germany, and Sputnik World, known to spread the Russian regime’s propaganda. The central question was how the Russian regime depicted and explained the invasion of Ukraine in 2022 in the chosen languages. Qualitative coding based on a predefined codebook, modified with codes inductively acquired during the analysis, was used to deeply understand strategic narratives and identify key differences among the Russian regime’s influence campaigns in various national contexts. Some narratives were found to differ based on the national contexts, strengthening the initial assumption. However, analyzed texts also consistently depict Russia as a victim and the West as a threat across the language versions.
The family Streblidae is a significant grouping of dipteran insects within the superfamily Hippoboscoidea, which parasitizes the body surface of bats. With the global spread of bat-related pathogens in recent years, Streblidae has gained increasing attention due to its potential for pathogen transmission. A sample of Brachytarsina amboinensis was sequenced on the B. amboinensis were obtained, compared with available Streblidae mitogenomes, and the phylogeny of Hippoboscoidea was reconstructed. The results indicate that the mitochondrial genome of B. amboinensis exhibits a relatively high degree of conservation, with an identical gene count, arrangement, and orientation as the ancestral insect's genome. Base composition analysis revealed a strong bias towards A and T in the base composition. Selection pressure analysis indicated strong purifying selection acting on cox1. Pairwise genetic distance analysis showed that cox1 evolved at a relatively slow rate. Regarding phylogenetic relationships, the constructed phylogenetic trees using Bayesian inference and Maximum Likelihood methods supported the monophyly of the Hippoboscoidea, Glossinidae, Hippoboscidae, and Nycteribiidae clades, with high nodal support values. Our research confirmed the paraphyly of the families Streblidae. In the familial relations between Nycteribiidae and Streblidae, New World Streblidae share a closer kinship with Nycteribiidae. This contrasts with prior findings which indicated that Old World Streblidae share a closer kinship with Nycteribiidae. This study not only enhances the molecular database for bat flies but also provides a valuable reference for the identification and phylogenetic analysis of Streblidae.
The aim of this chapter is to provide an understanding of the structural constraints and opportunities for the populist radical right (PRR) in Latin America. Unlike Western Europe, material values are still of vital importance in many Latin American countries because of high levels of inequality in the region. This represents a major constraint for the emergence of the PRR, and only some parties have been able to overcome it. The author argues that the growth of the PRR relies on three factors: the appeal of the PRR’s hardline discourses, the mobilization of voters dissatisfied with sexual and reproductive rights and secularization, and a crisis of representation among the traditional parties, who are painted by PRR leaders as a corrupt elite.
Conversations involving people with communication disorders or other forms of communicative impairment, such as those with dementia, autism, aphasia, or hearing impairment, differ in systematic ways from typical conversations (i.e., those involving participants without significant communicative or cognitive challenges). Drawing from CA work over the last few decades, this chapter discusses methodological issues involved in data collection in this field and in the transcription and analysis of these types of data. Analysis of the ways in which these interactions are distinctive and ‘atypical’ as regards social actions and the practices used in their construction and deployment involves a form of comparative analysis drawing on CA findings concerning typical interaction. The chapter also discusses other, more explicit, forms of comparative analysis regularly undertaken in this field, including comparison of participants’ conversations over time, and the comparison of how conversations involving participants with one type of communicative impairment compare with those of participants with a different form of impairment. One way in which the latter type of investigation can be developed is discussed in relation to a certain interactional feature – here, interruptive, other-initiation of repair – and how it may be traced across conversations involving participants with different communicative impairments.
A reduction in the demand for meat and particularly red meat has the potential to significantly enhance the sustainability and health of many people's diets. In the current work, I examine situational predictors of meat consumption in nationally representative nutrition surveys from three Western European countries: Switzerland, France and the Netherlands. More specifically, I examine whether the situational factors – the meal type, the day of the week and the location of the food consumption occasion – are predictive of whether meat and red meat are consumed. The results indicate that all three factors are linked to meat and red meat consumption with the patterns varying substantially across the different case study countries and in some cases also the gender of the consumer. The results emphasise the value of mapping situational correlates to inform situated interventions aimed at influencing meat consumption, while also highlighting important differences across both cultures and people.
The significance of food is beyond its gastronomic value. Food symbolises a community's enriched past and holds cultural expressions and traditional knowledge. The linkage of food with religious beliefs, geo-climatic factors, social standards, and various health benefits builds the reputation of the food, which is essentially attributable to its geographic origin. Following the ratification of the Agreement on Trade-Related Aspects of Intellectual Property Rights (TRIPS), the contracting states that have enacted Geographical Indications (GI) legislation (particularly those in Asia) have come forward to protect foodstuffs as GI in order to safeguard their communities and their traditional knowledge associated with foodstuffs. Against this background, the present article attempts to compare foodstuff GIs in eight selected Asian countries with a sui generis system of GI protection as TRIPS compliance. The comparative analysis of the evolution and scope of foodstuff protection, pre-registration and post-registration impact, and quality maintenance provides important insights into convergence and divergence among the selected Asian countries. The study further identifies policy implications for the sustenance of GI.