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Seit Mitte der 60er Jahre diesen Jahrhunderts hat sich in Europa und Nordamerika vor allem unter Jugendlichen und jungen Erwachsenen der Konsum von gesetzlich verbotenen Substanzen ausgebreitet. Ungefähr gleichzeitig setzte sowohl in den Massenmedien als auch in professionellen Kreisen eine heftige Diskussion über dieses Phänomen ein, die bis heute andauert, was nicht nur auf die fraglos nach wie vor aktuelle Problematik von Sucht bzw. Abhängigkeit insbesondere bezüglich Heroin, sondern auch auf die ständigen Veränderungen in den Konsumentenszenen wie auch die vielfältigen Aktivitäten im Bereich der Drogenpolitik zurückzuführen ist. Diese erhielt auch stets Nahrung von der wissenschaftlichen Diskussion, die sich seit Mitte der 80er Jahre vereinzelt auch mit "Nicht-Junkie-" Kreisen beschäftigt, welche den Konsum von Cannabis, Kokain, Designer-Drogen, Halluzinogenen und teilweise auch Heroin in einen "normalen" Alltag integriert haben, wobei bezüglich Deutschland meines Wissens noch keine umfangreicheren qualitativen Studien für diesen Bereich existieren. Dabei ist von Bedeutung, daß nach Schätzungen, teilweise aus quantitativen Erhebungen abgeleitet (großangelegte repräsentative Umfragen liegen nicht vor und könnten allein schon wegen der Illegalität keine seriösen Ergebnisse liefern), bei den meisten, wenn nicht gar bei allen genannten "Szene-Drogen" die überwiegende Mehrheit der Konsumenten (auch der Gewohnheitskonsumenten), zu diesen "integrierten" oder auch "kontrollierten" Gebrauchern zu zählen ist. Diese Vermutung steht im Gegensatz zur lange Jahre von den Vertretern der offiziellen Drogenpolitik und dem Großteil der Medien verbreiteten Meinung, daß jeglicher Konsum der durch das Betäubungsmittelgesetz illegalisierten Substanzen zu Sucht und sozialer Verelendung führe. Weiterhin werden die Verbote für bestimmte Substanzen oft so begründet, daß diese Drogen "kulturfremd" seien und deshalb keine historisch gewachsenen, konsumregulierenden Sitten und Gebräuche bezüglich des Konsums existieren wie z.B. bei Alkohol, Tabak und Kaffee. Daher ist es natürlich interessant zu erfahren, welcher Art die Mechanismen sind, die, der obigen Auffassung widersprechend, ein alltagsintegriertes Konsumverhalten auch bei illegalen Drogen ermöglichen, bzw. inwiefern sie den Kontrollmustern für die legalen Drogen ähnlich sind. Dabei muß selbstverständlich stets hervorgehoben werden, welche Drogen konsumiert werden, da einerseits zwar alle diese Substanzen den illegalen Status mit den entsprechenden alltagspraktischen Konsequenzen gemeinsam haben, aber doch erhebliche Unterschiede existieren in der jeweiligen Wirkungsweise und -intensität (pharmakologisch wie subjektiv), der Gefahr von Überdosierung und körperlichen oder geistigen Schädigungen sowie subkulturellen Zuschreibungen und Einbindungen. Für diese Arbeit habe ich qualitative Interviews mit dreizehn Personen durchgeführt, die allesamt mit mehreren verschiedenen illegalen Drogen Erfahrungen vorweisen können, wobei allerdings zum Teil deutliche Unterschiede bezüglich der Konsumfrequenzen, -mengen und vor allem auch der präferierten Drogen vorliegen. Dabei werde ich, unter Einbeziehung des Konzeptes von drug, set and setting, einerseits Beispiele für die Verschiedenheit von möglichen Konsummustern aufzeigen, gleichzeitig aber versuchen, gerade in bezug auf Funktionen und informelle Kontrollen des Konsums unterschiedlicher Drogen, Gemeinsamkeiten aufzuzeigen.
O objetivo do presente texto é repensar a aporia pela qual o livro “Dialética do Esclarecimento” é anunciado, a saber, a autodestruição do esclarecimento ou a procura da liberdade pela racionalidade, mas que culmina em uma regressão. Nossa argumentação perfaz dois caminhos: primeiramente, apresentamos a relação existente na obra entre um tipo de antropologia com bases freudianas e uma leitura da sociologia de Marx. Concebemos a noção de uma estrutura psíquica permeável às condições sócio-históricas do ser humano ocidental. Tal condição é imprescindível para a saída da aporia intimamente relacionada a uma antropologia psíquica ligada a um modo histórico da cultura e sociedade. Na sequência, propomos ainda um paralelo entre a possibilidade de um esclarecimento efetivo por meio do resíduo mítico presente na racionalidade técnica apresentada por Horkheimer e Adorno e a assunção da situação humana de desamparo na visão de mundo religiosa, modo freudiano para se alcançar uma posição mais “científica” em relação à realidade. Nesse contexto, utilizaremos rapidamente parte da teoria de Weber como meio para relacionarmos o esclarecimento à religião no que ambos têm em comum, isto é, a defesa contra o sofrimento, a angústia e o desamparo. Talvez seja por meio da assunção do desamparo na racionalidade situada na visão religiosa de mundo, ou ainda, a assunção do mito na racionalidade técnica do esclarecimento, que permitirá o futuro desenvolvimento de uma “antropologia dialética”, o que resultaria na saída da aporia enquanto condição histórica da racionalidade humana.
Türkisch-russische Zentralasienpolitik : geopolitische Rivalität oder strategische Partnerschaft?
(2020)
Die türkisch-russische Geschichte ist eine Geschichte der Rivalitäten. Sie wird wegen 15 Kriege zwischen den beiden Staaten als konflikthaft bezeichnet. Ihren 1. Krieg führten die beiden Staaten wegen Zentralasien, um das Khanat Astrachan (1568–1570). Der Untersuchungszeitraum dieser Dissertation erstreckt sich von diesem Datum bis zum Ende 2019. In diesem Zeitraum rivalisierten die Türkei und Russland geopolitisch in Zentralasien. Diese Arbeit konzentriert sich auf die türkisch-russische Zentralasienpolitik, bzw. darauf, wie die Türkei und Russland auf ihre gegenseitige Zentralasienpolitik reagieren, warum sie in Zentralasien geopolitisch rivalisieren (1. Forschungsfrage) und ob in Zukunft eine türkisch-russische strategische Partnerschaft in Zentralasien möglich ist (2. Forschungsfrage). Politikwissenschaftlich sind diese Fragen von großer Relevanz, weil eine mögliche türkisch-russische strategische Partnerschaft die gesamten Machtverhältnisse der Welt verändern würde.
Técnica, corpo e coisificação: notas de trabalho sobre o tema da técnica em Theodor W. Adorno
(2008)
Trata-se aqui de umas notas de trabalho sobre o tema da técnica em Theodor W. Adorno. O ensaio Educação após Auschwitz e um conjunto de aforismos que compõem o livro Minima moralia são tomados como fontes principais, mas também como roteiro de investigação. As críticas de Adorno à técnica aparecem em vários registros e privilegiamos, nos marcos de nossa reflexão, as relacionados ao corpo e à produção da consciência, elementos que se combinam diversamente nas obras pesquisadas, mas que encontram seu desiderato na crítica ao mundo administrado e aos destinos da subjetividade. Nossos resultados mostram que nas reflexões de Adorno o profundo processo de embrutecimento do humano e a supressão de quaisquer traços de particularidade aparecem intimamente relacionados com o crescente processo de tecnificação, o que por sua vez engendra uma certa pedagogia dos gestos e do corpo. Sugere-se, neste sentido, que a técnica mais refinada não necessariamente leva a um aumento das possibilidades humanas, mas, talvez encaminhe, tendencialmente, a uma escravização do corpo por meio da incorporação dos processos reificadores da tecnificação.
O artigo apresenta brevemente as possíveis implicações da recusa da clonagem, do DGPI e da eugenia liberal para o formalismo da ética discursiva, pois tal recusa poderia sugerir a eleição de um modo de vida privilegiado, (uma vida humana baseada na “inteireza do patrimônio genético”). Apresentamos os elementos do formalismo ético de Habermas e os argumentos centrais de sua crítica às intervenções eugênicas. Sugerimos que a defesa habermasiana da manutenção da indisponibilidade do patrimônio genético (por seu papel na autocompreensão ética do humano como ser livre e autônomo) situa essa matéria da filosofia moral na tensão entre a ação comunicativa, no qual o debate deveria ter sede, e a ação instrumental, que ameaça monopolizar as decisões sobre o tema.
Técnica e liberdade
(2000)
Argumenta-se que o dilema entre técnica e liberdade permanece como tal, como dilema não resolvido, enquanto não se conseguir repensar a questão por uma perspectiva que alcance mais longe e mais fundo do que a tradição antropocêntrica do pensamento ocidental. As concepções de autores como Marcuse, Habermas e Marx são examinadas por um prisma que incorpora sugestões de Heidegger.
This paper contributes to the clarification of the concept of “typicality” discussed in contemporary philosophy of physics by conceiving the nomological status of a typical behaviour such as that expressed in the Second Law of Thermodynamics as a “minutis rectis law”. A brief sketch of the discovery of “typicality” shows that there were ideas of typical behaviour not only in physics but also in sociology. On this basis and in analogy to the Second Law of Thermodynamics, it is shown that the nomological status of sociological laws such as Gresham’s Law can also be conceived as “minutis rectis laws”.
G. A. Cohen argues that John Rawls’s focus on the basic structure of society as the exclusive subject of social justice is misguided. I argue that two understandings of the notion of basic structure seem to be present in the literature, either in implicit or in explicit terms. (1) According to the first, the basic structure is to be equated with a given set of institutions: if they endorse the right principles of justice, the basic structure of society is just; (2) According to the second, a society has a just basic structure if and only if its institutional web manages to realize the relevant principles of justice as well it can. In (2), the institutional structure is not a given: different social circumstances call for different institutional solutions in order to achieve a just basic structure overall. The first part of the paper make a case for (2), and explores some of its normative implications. The second part asks which consequences this understanding may have for the idea of a global basic structure.
This paper analyzes two contemporary, „third-generation“ perspectives within critical theory - Nancy Fraser’s and Axel Honneth’s - with the aim of examining the degree to which the two authors succeed in grounding the normative criteria of social critique in the perspectives of ’ordinary’ social actors, as opposed to speculative social theory. To that end, the author focuses on the influential debate between Fraser and Honneth Redistribution or Recognition? which concerns the appropriate normative foundations of a „post-metaphysical“ critical theory, and attempts to reconstruct the fundamental 29 disagreements between Fraser and Honneth over the meaning and tasks of critical theory. The author concludes that both critical theorists ultimately secure the normative foundations of critique through substantive theorizations of the social, which frame the two authors’ „reconstructions“ of the normativity of everyday social action, but argues that post-metaphysical critical theory does not have to abandon comprehensive social theory in order to be epistmologically „non-authoritarian“.
Given the current Middle Eastern scenario, one may reasonably hold the argument that the on-going turmoil in the Middle East owes its burden equally to the Machiavellian Anglo-American policies in the region and the harrowing failure of the Muslim governments/leaderships in the Middle East to rationally respond to those challenges. But are there any dimensions beyond religion?
Os modelos de democracia propostos pelo liberalismo e pelo republicanismo comunitarista são criticados a partir da perspectiva da política deliberativa tal como concebida pela teoria do discurso. Associando ao processo democrático conotações normativas mais fortes do que o modelo liberal, porém mais fracas do que o modelo republicano, a teoria do discurso articula elementos de ambas numa forma nova.
Trust me, I’m an expert
(2014)
Given such phenomena as the dramatic leaks of the last decade, the vibrantand inflammatory discourse about ‘cyberwar’ and the conflation of the Anti-Counterfeiting Trade Agreement with the ‘backbone of the European economy’, regulation of what the Internet is supposed to be and what people are allowed to do in it is always and everywhere about security, whether users like it or not. And that regulation comes from people, special people we like to think of as experts.
There has been a burgeoning interest in the sociology of the Frankfurt School as well as the oeuvre of Theodor W. Adorno since the 2016 presidential campaign of Donald J. Trump. The objectives of this study are to both illustrate the enduring importance of Adorno and to provide an important theoretical outline in making sense of Trump’s 2016 United States presidential campaign. Using Adorno’s understudied textual analysis of the radio addresses of Martin Luther Thomas and data from Trump’s 2016 US presidential campaign, we find that Trump’s own discourse can be condensed into three of Adorno’s rhetorical devices: (1) the lone wolf device or anti-statism/pseudo-conservatism, reflecting his criticism of "special interests" and his appraisal of business and (self-)finance; (2) the movement device, which amounted to glorification of action; and (3) the exactitude of error device which amounted to xenophobic, ethnonationalist hyperbole.
This is the first article in our series Trouble on the Far-Right.
Europe is in trouble. Far right politics is spreading all over the place and its actors and discourses become increasingly influential at various levels: Parties from the far right achieved successes in French, Austrian and Slovakian elections. Far right movement organizations in Germany and Italy mobilized thousands of people to the streets. In Sweden and Great Britain, vigilante and terrorist groups wage armed struggle. And last but not least, ‚illiberal models of democracy‘ in Poland and Hungary demonstrate the far right’s capacity to transform politics on the European level...
As women's labor-force participation and earnings have grown, so has the likelihood that wives outearn their husbands. A common concern is that these couples may be at heightened risk of divorce. Yet with the rise of egalitarian marriage, wives' relative earnings may be more weakly associated with divorce than in the past. We examine trends in the association between wives' relative earnings and marital dissolution using data from the 1968–2009 Panel Study of Income Dynamics. We find that wives' relative earnings were positively associated with the risk of divorce among couples married in the late 1960s and 1970s, and that this was especially true for wives who outearned their husbands, but this was no longer the case for couples married in the 1990s. Change was concentrated among middle-earning husbands and those without college degrees, a finding consistent with the economic squeeze of the middle class over this period.
Selten hat mich jemand so beeindruckt wie die 17-jährige Malala Yousafzai, die heute gemeinsam mit dem indischen Kinderrechtsaktivisten Kailash Satyarthi den Friedensnobelpreis erhalten hat. Aus dem pakistanischen Swat-Tal stammend setzt sie sich seit sie 11 Jahre alt ist für Bildung ein. 2012 überlebte sie ein Attentat der Taliban. Gratulation an diese großartige, mutige junge Frau!
Traue keinem Studenten
(2013)
Für die moderne Universität ist der Studierende an sich vieles: Zentrale Daseinsbegründung, Kostenfaktor, Potenzial, billige Arbeitskraft und seit einigen Jahren in offizieller Sprache auch Kunde. Nun kommt scheinbar eine weitere Facette des Studierenden dazu: das Sicherheitsrisiko.
Versicherheitlichung findet heute in vielen Lebensbereichen statt. Dem Terrorismus wird der Krieg erklärt, ebenso den Drogen oder der Armut. Diese martialische Sprache geht einher mit institutionellen Auswirkungen – wer etwas als ein bedrohliches Problem definiert, reagiert anders als jemand, der es nur als von der normalen Politik zu lösendes Problem betrachtet. Nun haben Studierende es auch in diesen illustren Kreis geschafft – nur nicht aus Sicht des Staates, sondern aus Sicht der Universität und ihrer Abläufe...
The European Union is currently challenged by right-wing populism and economic stress. To understand the nature of these challenges, we need to take an interdisciplinary approach in which empirical studies of politics are combined with studies of the normative implications of European policy-making. To this end, I draw attention to the right to free movement, which is pivotal both for European politics and liberal political philosophy. I show that even though transnational rights, such as the free movement for people, products and money, are normatively sound and desirable, enhancement of free movement may challenge the heterogeneity among the national models of rights and societal commitments. The risk is that the national institutions as a political arena face difficulties in coping with current political challenges such as right-wing radicalism, social inequality, environmental regulation, immigration and financial insecurity. On the other hand, I argue that we should be aware that the transnational rights might in some countries enhance human rights, which national parliaments have not been able to accommodate.
Transnationale Verlagerung von Care-Arbeit in Hinblick auf Ausbeutungs- und Emanzipationsaspekte
(2010)
Current work on populism stresses its relationship to nationalism. However, populists increasingly make claims to represent ‘the people’ across beyond national borders. This advent of ‘transnational populism’ has implications for work on cosmopolitan democracy and global justice. In this paper, we advance and substantiate three claims. First, we stress populism’s performative and claimmaking nature. Second, we argue that transnational populism is both theoretically possible and empirically evident in the contemporary global political landscape. Finally, we link these points to debates on democracy beyond the state. We argue that, due to the a) performative nature of populism, b) complex interdependencies of peoples, and c) need for populists to gain and maintain support, individuals in one state will potentially have their preferences, interests, and wants altered by transnational populists’ representative claims. We unpack what is normatively problematic in terms of democratic legitimacy about this and discuss institutional and non-institutional remedies.
The title I have chosen seems to signal a tension, even a contradiction, in a number of respects. Democracy appears to be a form of political organisation and government in which, through general and public participatory procedures, a sufficiently legitimate political will is formed which acquires the force of law. Justice, by contrast, appears to be a value external to this context which is not so much linked to procedures of “input” or “throughput” legitimation but is understood instead as an output- or outcome-oriented concept. At times, justice is even understood as an otherworldly idea which, when transported into the Platonic cave, merely causes trouble and ends up as an undemocratic elite project. In methodological terms, too, this difference is sometimes signalled in terms of a contrast between a form of “worldly” political thought and “abstract” and otherworldly philosophical reflection on justice. In my view, we are bound to talk past the issues to be discussed under the heading “transnational justice and democracy” unless we first root out false dichotomies such as the ones mentioned. My thesis will be that justice must be “secularised” or “grounded” both with regard to how we understand it and to its application to relations beyond the state.
Recent developments in Hungary and Poland have made democratic backsliding a major issue of concern within the European Union (EU). This article focuses on the secondary agents that facilitate democratic backsliding in Hungary and Poland: the European People’s Party (EPP), which has continually protected the Hungarian Fidesz government from EU sanctions, and the Hungarian ruling party Fidesz, which repeatedly promised to block any EU-level sanctions against Poland in the Council. The article analyses these agents’ behaviour as an instance of transnational complicity and passes a tentative judgment as to which of the two cases is normatively more problematic. The analysis has implications for possible countervailing responses to democratic backsliding within EU member states.
Die vorliegende Untersuchung wurde mit dem Ziel durchgeführt, fördernde und hemmende Einflussfaktoren auf die Entstehung und Durchführung von translationaler Forschung näher bestimmen zu können. Dazu wurden im Verlauf der Forschung sechs Gruppen von möglichen Einflussfaktoren untersucht. Diese waren 1) externe politische, 2) institutsbezogene, 3) soziale (auf soziale Rollen und sozialen Status bezogene), 4) epistemische, 5) forschungskulturelle und 6) individuelle Faktoren.
Translationale Forschung wurde als Spezialform interdisziplinärer Forschung konzeptualisiert. Auch bei dieser wird Wissen aus mehr als einer wissenschaftlichen Disziplin herangezogen, um ein disziplinübergreifendes Problem zu lösen. Das Besondere an der translationalen Forschung ist jedoch, dass zusätzlich mindestens eine der beteiligten Disziplinen grundlagenorientiert und eine andere anwendungsorientiert ist. Der Vorteil besteht darin, dass fortan der Wissensbestand beider Disziplinen kombiniert werden kann. Ein Nachteil ergibt sich daraus, dass die Wissensbestände untereinander nicht ohne Weiteres anschlussfähig sind und eine „Übersetzung“ durch die unterschiedlichen Praxisbezüge der beteiligten Disziplinen erschwert wird. Die translationalen Forschung muss neben dieser noch einer weiteren Herausforderung begegnen: Denn sie gewinnt ihre Erkenntnisse unter Laborbedingungen, wo Umweltfaktoren praktisch keine Rolle spielen. Dadurch lassen sich ihre Ergebnisse nicht unbedingt in die klinische Praxis transferieren. Kurz gesagt: Was im Labor eine bestimmte Wirkung erzielt hat, entfaltet diese Wirkung nicht automatisch am Patienten.
Im Rahmen der Dissertation wurden sechs translationale Forschungsprojekte aus Berlin-Buch aus der Zeit zwischen 1959 und 1989 untersucht. Aufgrund der in der DDR etablierten, staatlichen Überführungspolitik konnte insbesondere der Einfluss externen politischen Drucks auf diese Forschungsprojekte untersucht werden. Als Quellen dienten archivierte Akten, graue Literatur, zur damaligen Zeit publizierte Fachliteratur und Interviews mit Forschern, die damals an diesen Projekten beteiligt waren. Da es an soziologischer Literatur spezifisch zu translationaler Forschung bisher mangelt, wurden mehrere Einzelstudien aus der soziologischen und wissenschaftshistorischen Forschung herangezogen. Die Untersuchungsergebnisse erweitern den Forschungsstand zur interdisziplinären Forschung und zu Praxisbezügen von Forschung.
Die untersuchten Fallstudien zeigen exemplarisch, dass es die von der Staatsführung der DDR gewollten anwendungsorientierten medizinischen Forschungsprojekte auch in Berlin-Buch gegeben hat. Entgegen der Erwartung zeigen sie aber auch, dass translationale Forschung nicht speziell gefördert (mit Ressourcen oder einem besonderen Commitment) wurde und es somit oft vom Zufall abhängig war, ob diese (vorzeitig) beendet wurde oder nicht. Darüber hinaus konnten Anhaltspunkte dafür gefunden werden, dass translationale Forschung im Wesentlichen auf epistemischen (fachlichen) Schnittstellen beruht, die von anwendungsorientierten Biomedizinern meist aus persönlichem Interesse aufgegriffen werden, wenn sie als solche erkannt werden und wenn entsprechende Ressourcen zur Forschung zur Verfügung stehen.
Somit konnte widerlegt werden, dass das so genante „Translationsproblem“ darauf zurückzuführen ist, dass Kliniker und Forscher kein Interesse haben, miteinander zu kommunizieren oder zu forschen. Ein Problem stellt lediglich dar, dass epistemische Schnittstellen meist zufällig (oft als Nebenprodukte von disziplinärer Forschung) sichtbar werden und es an kurzfristig verfügbaren Ressourcen fehlen kann, um diesen nachzugehen. Hinzu kommt der erhöhte Aufwand, der sich durch das Einbeziehen von Forschern aus anderen Disziplinen ergibt und das vergleichsweise hohe Risiko, dass medizinische Anwendungen, die auf translationaler Forschung aufbauen, unter komplexen Umweltbedingungen (am Patienten) nicht mehr die gewünschte Wirkung entfalten. Die untersuchten Fallstudien haben jedoch auch gezeigt, dass translationale Infrastrukturen und regelmäßiges Peer Review Forschern dabei helfen können, Ergebnisse translationaler Forschung auf ihre Tauglichkeit in der Klinik zu prüfen. Das Risiko des Scheiterns lässt sich jedoch nicht vollständig ausschließen.
Transformationen der Moderne
(2002)
The concept of the "comprehensive approach" has become a paradigm for international state engagement in the field of fostering sustainable peace in crisis-ridden countries. This approach stipulates joint actions of different governmental institutions. The ministry of defence, providing interventionist armed forces; the ministry of interior, providing police personal; the ministry of foreign affairs, providing crisis aid and the ministry of economic cooperation and development define the core actors on the highest level, whilst the implementation of this approach is left to the various, highly heterogeneous employees of the ministries and their sub-contractors...
O presente estudo teórico tem como objetivo relacionar uma discussão sobre o trabalho em equipe interdisciplinar nos serviços públicos de saúde com os principais conceitos do filósofo contemporâneo Axel Honneth, dentre eles aquele que denominou Luta por Reconhecimento. Para tanto, partimos da revisão da noção de sujeito na teoria honnethiana, sobretudo a partir do diálogo que faz com a psicanálise de Donald Winnicott. Destacamos que se trata de um sujeito eminentemente social, cuja constituição depende do reconhecimento do outro em relação a sua alteridade e da legitimação do seu pertencimento a um grupo social. Mostramos que esse reconhecimento se dá através de um processo de luta, essencial para o desenvolvimento da capacidade de amar e se relacionar com o outro. Em seguida, defendemos que o trabalho em equipes interdisciplinares pode ser um espaço para o reconhecimento dos profissionais, tal como discutido por Honneth. Consequentemente, as equipes podem facilitar o desenvolvimento de trabalhos criativos e inovações na organização da assistência oferecida aos pacientes.
A pergunta que move o presente artigo é: como a categoria trabalho social deveria ser incluída no marco de uma teoria social para que, dentro dela, abra uma perspectiva de melhoria qualitativa que não seja utópica? Para dar conta desse problema complexo, o autor sugere num primeiro passo, mais metodológico, o emprego da distinção entre crítica externa e imanente para o propósito de uma crítica das relações de trabalho existentes. Num segundo passo, o autor procura mostrar que o trabalho social só poderá assumir legitimamente este papel de uma norma imanente se ele for conectado às condições de reconhecimento na moderna troca de realizações (Leistungen). São reconstruídas duas condições a partir de Hegel e de Durkheim: uma organização justa do trabalho social necessita remunerar suficientemente o trabalhador para prover-lhe condições socialmente dignas de sobrevivência e precisa estar estruturado de modo a que suas tarefas permitam ao indivíduo trabalhador perceber nelas uma contribuição para a coletividade e relacioná-la com o restante dos trabalhos socialmente necessários.
Contesta-se a tese de Habermas que toma o marxismo como urna variante da filosofia da consciência. O materialismo histórico é reconstruído a partir da inter-relação dialética entre as categorias trabalho e linguagem, abrindo a possibilidade de recuperação da crítica marxista às instituições modernas: o Estado e a empresa capitalista. Argumenta-se que a tentativa habermasiana de escapar das malhas da filosofia da consciência acaba recaindo no que o autor denomina solipsismo social.
As an exemplum of that kind of “modern” art, in terms of Adorno, Kafka’s work is marked not only by its strictly “realistic” character, but also by the unavoidable critical and testimonial value of that realism. According to this perspective, both in Adorno and in Benjamin the testimonial aspect of Kafkian writing – that is of a writing as “dialectical image”, as memory of the unfullfilled possibility – it’s all the same not with its symbolical or “epiphanical” aspect but instead with its “allegorical” one.
Rule in International Relations is increasingly observed as an empirical phenomenon and academically conceptualized. This book describes rule in International Relations using four practice-theoretical dimensions. A method is developed to analyze rule from a practice-theoretical point of view - the Practice Analysis of Rule (PAR). The argumentation is followed that resistance is an important dimension of rule, which enables the researcher to understand the quality of rule. However, the empirical analysis of resistance as an indicator of rule does not allow for the analysis of subtle forms of rule sufficiently, which can have grave consequences in international relations. Therefore, to make this possible, the symbolic dimension is formulated after Bourdieu. In the following, three practice-theoretical dimensions are developed and a methodical approach is presented. Resistance is described as a practice-theoretical dimension. Based on actor-network-theory materiality is described a dimension of rule. At last, iterability is described as dimension of rule which can show the repeatability of practices. It can thus indicate the extent of consolidation of rule in each case. Through the analysis of an empirical case using the four practice-theoretical dimensions the researcher will be enabled to analyze transnational relations of rule in a theory guided and history sensitive manner.
Tourismus in Pakistan : Darstellung, Stellenwert und Perspektiven aus entwicklungspolitischer Sicht
(2006)
El texto se propone exponer críticamente algunos contenidos fundamentales del concepto de totalidad y su importancia para el pensamiento dialéctico. Partiendo de una crítica de la concepción hegeliana de totalidad, busca sin embargo defender este concepto, aunque reconstruido desde un giro materialista a partir de la filosofía desarrollada por Theodor W. Adorno. El concepto de totalidad cambiaría su significado y función a partir de la crítica materialista, pasando de la idea de un todo determinado y definitivo, a un criterio epistemológico y normativo para oponerse con efectividad a la imposición de una totalidad social.
This is the eleventh article in our series on refugees. I came to Frankfurt four months ago. Before that, I had lived in Trentino, Italy, for 14 years. But with the European economic crisis, everything has become difficult; I finally lost my job and decided to go to Germany to give it a new try. Everybody knows that in Germany there are much better chances to get work because the economy doesn’t have such big problems like in Italy, Greece and Spain...
Venezuela steht wegen seiner großen Rohstoffreichtümer im Blickpunkt der Vereinigten Staaten. Aber das besondere Augenmerk der Hegemonialmacht gilt dem bolivarischen Prozeß in Venezuela, denn das Land spielt eine wichtige Rolle bei der Integration des Kontinents und der damit verbundenen Möglichkeiten für fundamentale Veränderungen, die Venezuelas internationale Politik anderen Ländern eröffnet. ...
To imitate all that is hidden. The place of mimesis in Adorno’s theory of musical performance
(2017)
The article examines the use of the concept of mimesis in Adorno’s notes towards a theory of musical performance. In trying to idiosyncratically define the latter as “reproduction”, Adorno relied on a framework elaborating on concepts introduced by Arnold Schoenberg, Hugo Riemann and Walter Benjamin – a framework that the article discusses insofar as it deals with the problem of mimesis. Specific attention is devoted to the relation between Benjamin’s essays on language and translation and Adorno’s theory of notation, that soon became the crucial aspect of his theory of reproduction. Given the shortcomings of Adorno’s theory, which in the end did not achieve its goals, the article proposes to capitalize on his terminology while at the same time rethinking his framework in the light of recent musicological paradigms for the study of musical performance. On the whole, the article shows that it was Adorno’s philosophical assumptions – in particular the theses of music’s non-intentionality and of its non-similarity to language – that prevented him from convincingly theorizing musical performance, and suggests an alternative framework for future research.
“Kurz mal Weltmacht” überschrieb die ZEIT letzte Woche ihren Artikel, der den Untergang von WikiLeaks und das Ende Julian Assanges nachzeichnete. Auch Hoffnungsträger scheitern, hieß es, und der finanzielle Bankrott stelle ein eher wenig rühmliches Ende dar. Und trotzdem, so das Resümee, die Idee hinter seinem Projekt bleibe am Leben. In welche Richtung sie sich für den Nahost-Konflikt verwirklicht, wagt allerdings kaum jemand zu bewerten...
The article studies civil wars and trust dynamics from two perspectives. It looks, first, at rebel governance during ongoing armed conflict and, second, at mass mobilisation against the regime in post-conflict societies. Both contexts are marked by extraordinarily high degrees of uncertainty given continued, or collective memory of, violence and repression.
But what happens to trust relations under conditions of extreme uncertainty? Intuitively, one would assume that trust is shaken or even substantially eroded in such moments, as political and social orders are questioned on a fundamental level and threaten to collapse. However, while it is true that some forms of trust are under assault in situations of civil war and mass protests, we find empirical evidence which suggests that these situations also give rise to the formation of other kinds of trust. We argue that, in order to detect and explain these trust dynamics in contexts of extreme uncertainty, there should be more systematic studies of: (a) synchronous dynamics between different actors and institutions which imply trust dynamics happening simultaneously, (b) diachronous dynamics and the sequencing of trust dynamics over several phases of violent conflict or episodes of contention, as well as long-term structural legacies of the past. In both dimensions, microlevel relations, as well as their embeddedness in larger structures, help explain how episodes of (non-)violent contention become a critical juncture for political and social trust.
Theses against occultism
(1974)
This paper argues that the Fairtrade certification system represents an illuminating example of the challenge of systematically determining consumer and entrepreneurial responsibilities in our global age. In taking up the central question of what, if anything, may be called ‘just’ or ‘fair’ in Fairtrade, I more precisely argue for a two-fold thesis: that (1) a meaningful evaluation of Fairtrade must consider both an interactional and an (arguably prior) institutional understanding of global responsibilities to promote justice and that (2) Fairtrade can be better defended against several popular objections from the perspective of a theory that adequately differentiates between interactional responsibilities and institutional responsibilities of promoting justice under unjust circumstances.
Psychotherapists in mental health institutions as a professional group are part of the medical system, and from this perspective, as representing an occupation that serves the public health interests, as well as those of the individual seeking help. Despite the different existing therapeutic approaches and diverse forms of therapy deriving from these approaches critical theories, however, consider psychotherapy as a profession with a specific jurisdictional claim and own highly specific interests. In contrast to most of the recent discussion around therapy culture, in this article, I argue that sociology and social theory could benefit from an understanding of psychotherapy as a profession with a separate logic and claim for jurisdiction for mental health. Moreover, I present some general trends showing that, regarding psychotherapy, we face a concurrence of a professionalisation, and simultaneously, an already ongoing deprofessionalisation. To develop my argument, I first discuss the perspectives of sociology of the psychotherapy professions. Second, I present the potential lack of professionalism in four dimensions. Third, I discuss possible tendencies of deprofessionalisation. Finally, I conclude by pointing out the importance of theorising the psychotherapy professions for medical sociology.