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1 – 10 of 41Filippo Marchesani and Francesca Masciarelli
This study aims to investigate the synergies between the economic environment and the smart living dimension embedded in the current smart city initiatives, focusing on the…
Abstract
Purpose
This study aims to investigate the synergies between the economic environment and the smart living dimension embedded in the current smart city initiatives, focusing on the localization of female entrepreneurship in contemporary cities. This interaction is under-investigated and controversial as it includes cities' practices enabling users and citizens to develop their potential and build their own lives, affecting entrepreneurial and economic outcomes. Building upon the perspective of the innovation ecosystems, this study focuses on the impact of smart living dimensions and R&D investments on the localization of female entrepreneurial activities.
Design/methodology/approach
The study uses a Generalized Method of Moments (GMM) and a panel dataset that considers 30 Italian smart city projects for 12 years to demonstrate the relationship between smart living practices in cities and the localization of female entrepreneurship. The complementary effect of public R&D investment is also included as a driver in the “smart” city transition.
Findings
The study found that the advancement of smart living practices in cities drives the localization of female entrepreneurship. The study highlights the empirical results, the interaction over the years and a current overview through choropleth maps. The public R&D investment also affects this relationship.
Practical implications
This study advances the theoretical discussion on (1) female entrepreneurial intentions, (2) smart city advancement (as a context) and (3) smart living dimension (as a driver) and offers valuable insight for governance and policymakers.
Social implications
This study offers empirical contributions to the preliminary academic debate on enterprise development and smart city trajectories at the intersection between human-based practices and female entrepreneurship.
Originality/value
This study offers empirical contributions to the preliminary academic debate on enterprise development and smart city trajectories at the intersection between human-based practices and female entrepreneurship. The findings provide valuable insights into the localization of female entrepreneurship in the context of smart cities.
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Gunnar Vittersø, Mattia Andreola, Unni Kjærnes, Sabina Kuraj, Alexander Schjøll and Hanne Torjusen
Presently, we are witnessing an increased public attention directed towards the negative impacts on climate and environment from food production and consumption. Policies aimed at…
Abstract
Presently, we are witnessing an increased public attention directed towards the negative impacts on climate and environment from food production and consumption. Policies aimed at changing consumption patterns are focused on voluntary measures, such as information and labelling schemes for consumers to make conscious choices in the market. However, such measures have proven to be of highly variable importance and only a small proportion of consumers consciously choose so-called ethical products when buying food. By a comparison of Europeans' valuations of chicken meat, we discuss the dynamics between individual processes and the social and contextual conditions for consumption changes. This study is based on national representative surveys carried out in seven European countries, and concerns peoples' valuations of indirect quality factors related to origin, animal welfare and their relation to producer, brand and production methods (organic, breed). Overall, the engagement varies considerably across Europe as well as in the sociodemographic patterns. We ascribe this variation mainly to cultural, social and institutional differences. This chapter concludes that despite European harmonization of regulations and integrated markets, the consumer role is shaped quite differently depending on cultural and social structures as well as institutional configurations and trust. These contextual conditions need to be considered when formulating policies on food consumption and food system transitions.
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In his classic World Risk Society (1999) Ulrich Beck emphasised modernisation entails a relentless wave of human-made disasters—toxic spills, industrial accidents, transportation…
Abstract
In his classic World Risk Society (1999) Ulrich Beck emphasised modernisation entails a relentless wave of human-made disasters—toxic spills, industrial accidents, transportation stoppages, and power outages, for example. Simultaneously these modern ‘risk societies’ must also withstand natural disasters such as floods, hurricanes, and earthquakes. Building on Beck’s principle that disaster risks accumulate as societies advance technologically, we explore the necessity of public health and political leadership to win over support of the traditional ethnic Black community to implement effectively COVID-19 pandemic policies. The term Black community used in this chapter has been used only for representation and must be interpreted broadly beyond ethnic and discriminatory limitations.
This chapter will show that, to reach their COVID-19 pandemic control objectives, US public health and political officials had to incorporate the longstanding ethnic and racial identity of Black communities. These authorities did this by utilising traditional cultural resources of Black communities such as churches and popular cultural figures. Political, corporate, and public health leadership was also heavily influenced by the Black protests in the months following the George Floyd police murder. Medical policy authorities publicly endorsed and advocated the health and social justice grievances of Black communities while the George Floyd riots raged. This US case study illustrates the power of the ethnic dimension and ideological anti-racism in society’s response to the increasingly complex web of disasters including the COVID-19 pandemic.
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Torgeir Aadland, Gustav Hägg, Mats A. Lundqvist, Martin Stockhaus and Karen Williams Middleton
To increase the understanding of how entrepreneurship education impacts entrepreneurial careers, the purpose of the paper is to investigate the role that a venture creation…
Abstract
Purpose
To increase the understanding of how entrepreneurship education impacts entrepreneurial careers, the purpose of the paper is to investigate the role that a venture creation program (VCP) might have in mitigating or surpassing a lack of other antecedents of entrepreneurial careers. In particular, the authors focus on entrepreneurial pedigree and prior entrepreneurial experience.
Design/methodology/approach
Data from graduates of VCPs at three universities in Northern Europe were collected through an online survey. Questions addressed graduate background prior to education, yearly occupational employment subsequent to graduation and graduates' own perceptions of entrepreneurial activity in employment positions. The survey was sent to 1,326 graduates and received 692 responses (52.2% response rate).
Findings
The type of VCP, either independent (Ind-VCP) or corporate venture creation (Corp-VCP), influenced the mitigation of prior entrepreneurial experience. Prior entrepreneurial experience, together with Ind-VCP, made a career as self-employed more likely. However, this was not the case for Corp-VCP in subsequently choosing intrapreneurial careers. Entrepreneurial pedigree had no significant effect on career choice other than for hybrid careers.
Research limitations/implications
Entrepreneurial experience gained from VCPs seems to influence graduates toward future entrepreneurial careers. Evidence supports the conclusion that many VCP graduates who lack prior entrepreneurial experience or entrepreneurial pedigree can develop sufficient entrepreneurial competencies through the program.
Originality/value
This study offers novel evidence that entrepreneurship education can compensate for a lack of prior entrepreneurial experience and exposure for students preparing for entrepreneurial careers.
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Richard M. Kubina, Jared Van and Madeline Halkowski
Educational psychologists play critical roles in assessing, supporting and enhancing student outcomes. Adopting Precision Teaching (PT) methods could amplify their capacity to…
Abstract
Purpose
Educational psychologists play critical roles in assessing, supporting and enhancing student outcomes. Adopting Precision Teaching (PT) methods could amplify their capacity to serve struggling students. PT is a measurement system for defining target behaviours, systematic data collection, data displays and data-based programming decisions. The purpose of this paper is to present a rationale for the benefits of Precision Teaching to educational psychologists across four key domains: assessment, intervention, consultation, and research.
Design/methodology/approach
This paper explains and provides examples of how PT principles would enhance practices in each domain. For assessment, PT enables clearer problem specification, direct behaviour measurement and growth metrics. For intervention, PT supplies tactics grounded in research and efficient progress monitoring. For consultation, PT aligns with data-based problem-solving models. For research, PT promotes tighter experimental control and measurement of key phenomena.
Findings
Integrating PT would sharpen assessment acuity through enhanced goal setting and progress quantification. Intervention expertise would improve via research-based techniques and response-driven decision rules. Consultation efficacy would rise from consistent data conventions and collaborative problem analysis. Finally, single-case experimental methods would raise the rigour of investigations into core learning processes.
Originality/value
The paper uniquely demonstrates how PT can enhance educational psychology practices across assessment, intervention, consultation, and research. By integrating precise behavior measurement, real-time data collection, and systematic decision-making, PT offers innovative solutions to improve student outcomes and professional efficacy. Its evidence-based approach also strengthens collaboration and research rigor in the field.
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Abstract
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C. C. Wolhuter, Oscar Espinoza and Noel McGinn
This paper takes stock of developments in, and the state of, the field of comparative and international education at the beginning of the 21st century, using as data base articles…
Abstract
This paper takes stock of developments in, and the state of, the field of comparative and international education at the beginning of the 21st century, using as data base articles published in the journal Comparative Education Review during the second decade of the 21st century and to compare results with a content analysis done on the first 50 years of the existence of the Review and which was published in 2008. The 246 articles that were published in the Comparative Education Review during the decade 2010–2019 were analyzed under the following metrics: levels of analysis of articles; number of units covered by articles; research methods; narrative basis; phase of education articles cover; and mode of education articles deal with. Compared to the first 50 years of the existence of the Review, single-unit national-level studies still dominate the field, though less so. A case can be made out for a deconcentration to allow more space for research at geographic levels both larger and smaller than the nation-state. The most prominent narrative in which articles are framed is that of the social justice narrative. The neo-liberal economic narrative stands strong too, while the poor standing of the human rights narrative is disappointing. Turning to modes and phases of education is concerned, the shadow education system has registered on the comparative and international education research agenda, while there seems to be a modest upswing in interest in pre-primary education. Thoughts about the future trajectory of the field are suggested.
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Kristina Frid, Elin K. Funck and Anna H. Glenngård
This paper aims to extend insights about the relationship between inter-organizational collaboration and approaches to control from the perspective of decision-makers. We…
Abstract
Purpose
This paper aims to extend insights about the relationship between inter-organizational collaboration and approaches to control from the perspective of decision-makers. We investigate the relationship between approaches to control and intended forms of integration between actors responsible for solving the complex problem of integrated person-centered care for elderly with diverse and significant needs.
Design/methodology/approach
The empirical study is based on a content analysis of contractual agreements. We have analyzed a total of 118 collaboration agreements and associative documents between all Swedish regions and municipalities.
Findings
The study shows that intended integration is subject to remarkable variation in intended forms of inter-organizational collaboration in this Swedish case. The paper illustrates that decision-makers’ intentions with proposed collaboration in each given context are important for the chosen approach to control. Regardless of intended forms of integration, our study suggests that an imminent soft approach to control is expressed alongside limited signs of hard control. Various forms of intended integration can be managed by the two approaches simultaneously insofar as the agreements appear to have a two-sided purpose.
Originality/value
Our paper proposes an empirically driven taxonomy of intended forms of integration initiatives. The taxonomy provides resources for studies about how collaboration can be managed when it is stipulated by national legislation but local self-governance gives actors considerable freedom to decide on how to organize and manage services. By presenting the taxonomy and relating this to approaches of control, our iterative study builds on and adds to a recent stream of research arguing that the relationship between collaboration and approaches to control may by fuzzier and more complex than originally thought.
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This paper aims to explore how accounting is fostering neoliberal citizenship through the participants of Australia’s National Disability Insurance Scheme (NDIS). More…
Abstract
Purpose
This paper aims to explore how accounting is fostering neoliberal citizenship through the participants of Australia’s National Disability Insurance Scheme (NDIS). More specifically, this paper aims to understand how accounting discourse and the management accounting technique of budgeting, when intertwined with automated administrative processes of the NDIS, are giving rise to a pastoral form of power that directs people’s behaviour toward certain ends.
Design/methodology/approach
Publicly available data has been crafted into an autoethnographic case study of one fictitious person’s experiences with the NDIS – Mina. Mina is an amalgam created from material submitted to the Joint Parliamentary Standing Committee on the NDIS. Mina’s experiences are then analysed through the lens of Foucault’s concept of pastoral power to explore how accounting has contributed to marketising and digitising public disability services.
Findings
Accounting rhetoric appears to be a central part of rationalising the decision to shift to individualised disability funding. Those receiving payments are treated as self-governable, financially responsible subjects and are therefore expected to have knowledge of management accounting techniques and budgeting. However, NDIS’s strong reliance on the accounting concepts of funds, budgets, cost and price is limiting people’s autonomy and subjecting them to intervention and control.
Originality/value
This paper addresses calls to explore the interplay between accounting and current disability policies. The analysis shows that incorporating accounting into the NDIS’s algorithms serves to conceal the underlying ideology of the programs, subtly driving behaviours towards neoliberal objectives. Further, this research extends the Foucauldian accounting literature by revealing the contribution of accounting to reinforcing the authority of digital pastors in contemporary times.
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This study focuses on the triadic multilevel psychic distance (MPD) between the firm, target market and bridge-maker and its consequences for firm internationalization…
Abstract
Purpose
This study focuses on the triadic multilevel psychic distance (MPD) between the firm, target market and bridge-maker and its consequences for firm internationalization. Specifically, it spotlights the triadic psychic distance between firms, the levels of psychic distance in the target market (country and business) and the bridge-maker. Therefore, this study examines the triadic MPD among these three entities and its impact on firm internationalization.
Design/methodology/approach
This study uses qualitative and case study research approaches. It is based on 8 case companies and 24 internationalization cases. Secondary data were collected, and interviews with bridge-makers and industry experts were conducted.
Findings
The study found that MPD appeared in the triad. The MPD between firms and markets is related to country-specific differences and business difficulties. The MPD between the firm and the bridge-maker is based on the latter’s lack of knowledge vis-à-vis bridging the firm’s MPD. Finally, the MPD between bridge-makers and the market is based on the former’s lack of knowledge of the home country’s business difficulties.
Originality/value
This is the first study to develop and adopt a triadic multilevel psychic distance conceptualization that provides evidence for and sheds light on the triadic MPD and its effect on firm internationalization. This study identifies the reasons behind triadic MPD in connection to firm internationalization. Notably, firm internationalization is interdependent on the triadic MPD setting between the firm, bridge-maker and target market. It has theoretical value and contributes to the recent advancement in the understanding of MPD in international marketing literature.
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