This article deals with the allez and retour provisions (Claes 2005: 84 f) of the Swedish constitution in relation to IU membership. What are the rules governing the transfer of sovereignty to the Union? And what are the provisions for assessing the constitutionality of the incoming tide of Union law into the domestic legal order? I have three objects in this essay. First, to describe how these two groups of constitutional rules were actually modified in the 2010 revision of the 1974 Instrument of Government. 1 find that neither was changed in any material way. Second, to try to explain the apparent reluctance of the parties involved to clarify the constitutional implications of EU membership. I find that this reluctance is rooted in a belief that European integration is not furthered if the rules contained in the allez and retour provisions are made stricter and more precise. Third, to confront a question conspicuously omitted by the parties in their revision: namely, by what criterion should the allez. and retour provisions be intertwined, if an optimum of hi-level constitutionalism is to be achieved? I argue that, in the end, the underlying issue is whether Swedish citizens want to see the principle of free movement applied as widely as possible. Do they want this principle to be applied across the board? Or would they prefer instead to restrict its application to the case of capital and goods, thus leaving them free to structure the labour market and welfare state as they themselves see fit? Adapted from the source document.
You may not have thought about why tomatoes look the way they do, why our pets and farm animals are so calm and friendly, or how it is possible to get a watermelon without any seeds in it. Although the breeding of plants and livestock have shaped more or less everything we eat, few people know about the scientific achievements and the tedious work that results in the food we see on our plates every day. With this book we wish to give an overview of the background of domestication and breeding, from the beginning of farming more than 10,000 years ago to the molecular work of today. We present the basics of the structures and functions of genes, describe why and how different breeding methods are applied to crops and livestock, and give some insight into legislation surrounding the use of biotechnology in breeding in the EU and in Sweden. We also provide an overview of different products produced through genetic modification, a summary of the economic impact of such crops, and some ethical issues related to breeding in general and to genetic modification in particular.
"In inter-war Sweden, the psychiatric diagnosis of psychopathy served as a controversial but powerful tool for the management of people who failed to live up to contemporary civic ideals. The diagnosis was based on theories of a broad spectrum of biologically-based disorders in the borderland between normality and actual mental illness. The disturbances were assumed to manifest themselves as, for example, homosexuality, hysterical attacks, emotional coldness, mythomania, or restlessness.Another controversial diagnosis was paranoia querulans or querulous paranoia, a disease that was linked to the emergence of the modern state and its rule of law, and thought to manifest itself mainly in hyperbolic complaints against supposed wrongdoings. Thus, the disorder implicated an excessive use of one's civil rights. A particular dilemma related to this disease was that the kind of behaviour that had usually led to the diagnosis and subsequent psychiatric confinement, namely a ardent manner of writing letters to public authorities, was precisely what was required for discharge.In De samhällsbesvärliga (The Social Troublemakers), historian of science and ideas Annika Berg examines how patients described as psychopaths or querulants could negotiate for discharge with doctors and authorities in 1930s and 40s Sweden. This was a period in time when the system of psychiatric care in Sweden was greatly expanded in answer to a perceived shortage, but was also transformed into a somewhat more open apparatus with possibilities to apply for preliminary discharge and other forms of outpatient solutions. It was also a time when psychiatry was under attack from different quarters, and psychiatrists were accused of using flexible diagnoses such as psychopathy to confine people wrongly. Against this backdrop, how did the management of psychopaths and querulants fit with contemporary ideals of citizenship and democracy? How did the patients view themselves? And how were negotiations in individual cases affected by notions of, for example, class, gender and sexuality?"
"One summer day in Stockholm in 1747, the carpenter's daughter Lena Cajsa Bohman faces trial for disobedience to her father. Soon, she admits to more serious crimes. A tangle of trafficking of young women is revealed. It develops into a story of power and greed, of secret networks and trade with young women. The protocols reflects women's circumstances in a time when all extra-marital sexuality was forbidden and the word prostitution was not used. In 18th century Stockholm, no distinction was made between prostitution and extramarital sexuality. All sexual intercourse outside of marriage was illegal for both women and men. Through the combination of a variety of material sources, from trial protocols to memoirs and hateful whore poems, we get a versatile picture of the commercial sexuality. The testimony of mamsell Bohman tells about how the trade was organized, who the profiteers, the women and the buying men were, where the trade took place and how women who provided sex för money were looked upon. The overall aim is to investigate how the whore stigma remains over centuries. The stigma is extremely adaptable and constantly accommodates to new cultural and social contexts, laws, values and established truths. It is intertwined with dominant notions of good and evil, of honor and contempt. During the 18th century, the whore stigma was not yet linked to payment for sex. It could affect all women, but was crossed by other hierarchical social orders. Despite a rigid legal stance and a strong social control, the boundaries were more permeable than they would later become. There was a striking discrepancy between law, jurisprudence and the verdict of the mob in 18th century Stockholm - a city where the bourgeois daughter Lena Cajsa was able to admit to relations with the notorious Lovisa von Plat and a number of illegitimate sexual relations, but escape punishment and marry into nobility."
"One summer day in Stockholm in 1747, the carpenter's daughter Lena Cajsa Bohman faces trial for disobedience to her father. Soon, she admits to more serious crimes. A tangle of trafficking of young women is revealed. It develops into a story of power and greed, of secret networks and trade with young women. The protocols reflects women's circumstances in a time when all extra-marital sexuality was forbidden and the word prostitution was not used. In 18th century Stockholm, no distinction was made between prostitution and extramarital sexuality. All sexual intercourse outside of marriage was illegal for both women and men. Through the combination of a variety of material sources, from trial protocols to memoirs and hateful whore poems, we get a versatile picture of the commercial sexuality. The testimony of mamsell Bohman tells about how the trade was organized, who the profiteers, the women and the buying men were, where the trade took place and how women who provided sex för money were looked upon. The overall aim is to investigate how the whore stigma remains over centuries. The stigma is extremely adaptable and constantly accommodates to new cultural and social contexts, laws, values and established truths. It is intertwined with dominant notions of good and evil, of honor and contempt. During the 18th century, the whore stigma was not yet linked to payment for sex. It could affect all women, but was crossed by other hierarchical social orders. Despite a rigid legal stance and a strong social control, the boundaries were more permeable than they would later become. There was a striking discrepancy between law, jurisprudence and the verdict of the mob in 18th century Stockholm - a city where the bourgeois daughter Lena Cajsa was able to admit to relations with the notorious Lovisa von Plat and a number of illegitimate sexual relations, but escape punishment and marry into nobility."
"In inter-war Sweden, the psychiatric diagnosis of psychopathy served as a controversial but powerful tool for the management of people who failed to live up to contemporary civic ideals. The diagnosis was based on theories of a broad spectrum of biologically-based disorders in the borderland between normality and actual mental illness. The disturbances were assumed to manifest themselves as, for example, homosexuality, hysterical attacks, emotional coldness, mythomania, or restlessness. Another controversial diagnosis was paranoia querulans or querulous paranoia, a disease that was linked to the emergence of the modern state and its rule of law, and thought to manifest itself mainly in hyperbolic complaints against supposed wrongdoings. Thus, the disorder implicated an excessive use of one's civil rights. A particular dilemma related to this disease was that the kind of behaviour that had usually led to the diagnosis and subsequent psychiatric confinement, namely a ardent manner of writing letters to public authorities, was precisely what was required for discharge. In De samhällsbesvärliga (The Social Troublemakers), historian of science and ideas Annika Berg examines how patients described as psychopaths or querulants could negotiate for discharge with doctors and authorities in 1930s and 40s Sweden. This was a period in time when the system of psychiatric care in Sweden was greatly expanded in answer to a perceived shortage, but was also transformed into a somewhat more open apparatus with possibilities to apply for preliminary discharge and other forms of outpatient solutions. It was also a time when psychiatry was under attack from different quarters, and psychiatrists were accused of using flexible diagnoses such as psychopathy to confine people wrongly. Against this backdrop, how did the management of psychopaths and querulants fit with contemporary ideals of citizenship and democracy? How did the patients view themselves? And how were negotiations in individual cases affected by notions of, for example, class, gender and sexuality?"
De senaste åren har sjukförsäkringen utvecklats i en åtstramande riktning utan att någon ändring av socialförsäkringsbalken har skett. Tidigare forskning har fokuserat på regeringens styrning mot ett sjukpenningtal på 9,0 som förklaring till Försäkringskassans förändrade tillämpning. Inom ramen för denna förklaring har även aktiveringspolitikens påverkan på styrningen lyfts fram. I denna artikel argumenterar jag för att det inte endast är regeringens styrning och aktiveringspolitiken som påverkat Försäkringskassans interna styrning, utan också en självideologi hos myndigheten som ligger i linje med ett ämbetsmannastatligt etos. Artikeln undersöker detta genom att göra en åtskillnad mellan enkelt respektivekvalificerat handlingsutrymme hos förvaltningen. Artikeln driver tesen att förändringen inom sjukförsäkringen har sin grund i en kombination av en ämbetsmannastatlig idé om relationen mellan politik och förvaltning (utövandet av ett kvalificerat handlingsutrymme) och en aktiveringspolitisk idé om relationen mellan stat och individ. ; Since the first two decades of the 21st century the Swedish social insurance system has evolved in a more restrictive direction without any corresponding change in the law. Previous research has mainly focused on the government's steering towards a sickness benefit ratio of 9.0 as an explanation to the changed enforcement of the system. Within the framework of this explanation, the activation policy has also been highlighted as a form of meta-ideology that has influenced the governance. This article argues that it's not only the government's control of activation policy that governs the actions of the Swedish social insurance agency, but also a specific ethos of the bureaucracy which consist of the self- ideology that the agency is the lord of the welfare state, not the server. In order to explore this, the article make a distinction between two types of discretion of the bureaucracy, and argue that the change in the Swedish social ...
Illegal hunting has constituted an expression of contested legitimacy of wildlife regulation across the world for centuries. In the following report, we critically engage with the state of the art on the illegal hunting phenomenon. We do so to reveal emerging scholarly perspectives on the crime. Specifically, we aim to capture the complexity of illegal hunting as a socio-political phenomenon rather than an economically motivated crime. To do so, we adopt a critical perspective that pays particular attention to the societal processes that contribute to the criminalization of historically accepted hunting practices. To capture perspectives on illegal hunting, fifteen researchers from various countries participated in an illegal hunting workshop in Copenhagen 16-17th June 2014. A primary contribution of the research workshop was to bring together criminologists, sociologists, anthropologists and geographers, each equipped with their own research perspective, to engage in a critical and interdisciplinary discussion on how to apprehend and constructively address the challenges of illegal hunting in contemporary society. A majority of those that attended were primarily based in the Nordic and the UK context, which motivated a strong focus on the illegal hunting that currently takes places in these countries. Similar trends of illegal hunting were identified across Europe, many of which traced from EU legislation on the reintroduction of large carnivores or other controversial wildlife conservation projects. In the workshop, proceedings took the form of individual presentations, plenary discussions and group work. Common themes that emerged from these presentations were: illegal hunting as communicating socio-political resistance; the targeting of specific species based on its symbolism or environmental history; illegal hunting as symptom of class struggles; the role of rewilding and domestication of nature on wildlife regulation; corruption, complicity and conflicts of loyalty in enforcement, and discrepancies and discontinuities in legality. These themes were framed in an understanding of illegal hunting as a complex, multifaceted expression that transgresses livelihood based motivation. Critical discussions conceptualised illegal hunting as a crime of dissent. This meant situating crimes as everyday forms of resistance against the regulatory regime. In so doing, the relationship between hunters and public authorities was highlighted as a potential source of disenfranchisement. In this interactionist perspective, illegal hunting tells us not just about the rationales of the offenders. It also elucidates the broader context in which non-compliance with regulation serves as symptoms of democratic and legitimacy deficits on the state level. Erratic transitions in legislation and a subsequent discord between legal, cultural and moral norms in society were identified as factors that contribute to the conflict. Crucially, the research workshop and the report contribute with three perspectives. First, it emphasizes the need to uncover the grey areas of complicity in wildlife crime. Previously corruption, bribery and selective law enforcement have been associated with wildlife trafficking in the global south, but this understanding is too blunt for the complicity that exists in many other contexts. Here conflicts of loyalty exist across several strata of society and differ in degrees. In highlighting this fact, we show a more opaque and contingent climate of complicity around illegal hunting in Northern Europe and elsewhere. Second, as crimes of dissent seeking to publicise injustices, illegal hunting and its associated resistance tactics are counterproductive by constituting a 'dialogue of the dead'. With this is mean that such communication is prone to distortion, misunderstanding and exaggeration and does no favors to hunters. There is consequently a need to move to a clarity of messages, as in institutionalised diogue processes. Third, hunting regulation cannot be seen in isolation to the broader differences in society in terms of values, economic factors and development. Research questions for future scholarship concluded the workshop and are summarized in the report. In terms of illuminating the junctures at which additional research is needed, these questions may provide important guidance. Above all, the report is intended as help for policy-makers, wildlife managers and law enforcement in better understanding and responding to the complexities of illegal hunting. We hope this will lead to more long-term preventative measures that address the core of the issue rather than proximate causes. The workshop was organized by the Environmental Communication Division of the Swedish University of Agricultural Sciences. The event constituted a part of the FORMAS funded research project Confronting challenges to political legitimacy of the natural resource management regulatory regime in Sweden - the case of illegal hunting in Sweden whose members include Erica von Essen, Dr. Hans Peter Hansen and Dr. Helena Nordström Källström from the Swedish University of Agricultural Sciences, Professor Tarla R. Peterson from Texas A&M University and Dr. Nils Peterson from North Carolina State University.
The aim of this thesis paper is to integrate three important thematic aspects i.e., improve qualities in the urban ecological situation, provide ideas for handling stormwater flooding and ideas to improve socio-economic aspects for inhabitants. The integration of ideas is illustrated in a masterplan program-sketch in three phases. Dhaka is the capital of Bangladesh. Dhaka is a densely populated fast developing city. The chronological changes of the natural setting due to rapid growth of urbanization in Dhaka city creates an imbalance with nature and disrupts urban ecology. The green and blue structures are replaced with built areas and hard surfaces. The situation for urban ecology in the city of Dhaka affects storm water flooding and social wellbeing. The methods used for background knowledge to this proposal are literature reviews, document searches, interviews, GIS analysis and a study of role models from different countries and contexts where a variety of solutions, proposals and functions inspired me in my own sketching. The methods and the background for this thesis were used to formulate guidelines to support the overall program-sketch for the three phases in a masterplan. The first phase program-sketch includes redesigning the informal settlements in Karail into better living conditions for the dwellers according to Patrick Geddes theories by keeping the overall road- and block structure and provide new shelter, job opportunities and adding recreational values to the area. The second phase concentrated on re-establishing of water streams in a green park according to the philosophy of Fredrick Law Olmsted, and in the third phase the former airport Tejgaon to become a large green area for social meetings, recreation activities for the Dhaka city inhabitants and provide job opportunities for the informal dwellers. The discussion on strengths, limitations, challenges, and further development ends with a conclusion that it is of great importance to work integrated with the three thematic aspects urban ecology, storm water flooding and social wellbeing on an overall level and with understanding of the issues among both specialists, politicians, and inhabitants to be able to implement necessary change towards sustainability.
One third of all food produced for human consumption globally is lost or wasted, making food waste a major problem from both an economic, social and environmental perspective. One way of preventing food waste is through legislation. In Sweden, food inspectors have been recommended to work according to the general rules of consideration (GRC) in the Swedish Environmental Code to reduce food waste. However, there is a lack of published information on whether the GRC are applied to reduce food waste at present, and, if so, how this works in practice. Moreover, the lack of a common standard for food waste quantification is a problem recognized by researchers. Thus, the present study aimed to examine whether and how the GRC are or can be applied to prevent food waste. More specifically, the goal was to investigate the attitude of municipal supervisory authorities and other relevant actors towards applying the GRC in food control, and to identify opportunities and / or obstacles to this. This is expected to contribute with knowledge that in the long term can generate supervisory approaches for reduced food waste. A qualitative research method was used including self-administered questionnaires. Answers were obtained from 11 municipalities and six additional actors including courts, national authorities and a private law firm. After a thematic analysis of the data, this was sorted to describe 1) The current situation in municipal supervision / the current application of the GRC according to other actors 2) The attitude towards applying the GRC in supervision for food waste reduction 3) The attitude towards suggested supervisory practices for reducing food wastage. The results showed that most of the actors surveyed did not apply the GRC to food waste currently, and none of them had issued injunctions to prevent food waste. Nevertheless, it was found that applying the GRC to food control could be possible, according to some practical experience in the field and the majority of the respondents' attitudes. No apparent unsolvable obstacles were identified. How the application of the GRC to food waste would work in practice remains to be solved, though. Consequently, the link between the current situation, the attitudes towards applying the GRC in food control as well as the attitudes towards suggested supervisory practices, was found to be ambiguous. Legal contradictions justify the need for further research, which could pursue the development of a supervisory approach for food waste prevention. ; En tredjedel av all mat som produceras globalt går förlorad eller slösas bort, vilket gör matsvinn till ett omfattande problem ur både ett ekonomiskt, socialt och miljömässigt perspektiv. Ett sätt att förebygga matsvinn är genom lagstiftning. I Sverige har livsmedelsinspektörer rekommenderats att arbeta enligt de allmänna hänsynsreglerna i miljöbalken för att minska matsvinnet. Det saknas emellertid publicerad information om huruvida hänsynsreglerna används för att minska matsvinn för närvarande, och hur detta i så fall fungerar i praktiken. Dessutom är avsaknaden av en gemensam standard för kvantifiering av matsvinn ett problem enligt forskare. Den aktuella studien syftade således till att undersöka om och hur miljöbalkens hänsynsregler tillämpas eller kan tillämpas för att förebygga matsvinn. Mer specifikt var målet att undersöka de kommunala tillsynsmyndigheternas och andra relevanta aktörers inställning till att tillämpa hänsynsreglerna i livsmedelskontroll och att identifiera möjligheter och / eller hinder för detta. Detta förväntas bidra med kunskap som på lång sikt kan generera tillsynsstrategier för minskat matsvinn. En kvalitativ forskningsmetod användes med självadministrerade frågeformulär. Svar erhölls från 11 kommuner och sex ytterligare aktörer, såsom domstolar, nationella myndigheter samt en privat juristbyrå. Efter en tematisk analys av den insamlade datan sorterades denna för att beskriva 1) Den aktuella situationen i kommunal tillsyn / den aktuella tillämpningen av hänsynsreglerna enligt andra aktörer 2) Inställningen till att tillämpa miljöbalkens hänsynsregler i tillsyn för att förebygga matsvinn 3) Attityden gentemot föreslagna tillsynspraxis för att förebygga matsvinn. Resultaten visade att majoriteten av de undersökta aktörerna inte tillämpade hänsynsreglerna på matsvinn för närvarande, och att ingen hade skrivit förelägganden för att förebygga matsvinn. Praktiska erfarenheter inom området samt majoriteten av respondenternas attityder avslöjade dock att det skulle kunna vara möjligt att tillämpa hänsynsreglerna mot matsvinn inom livsmedelskontroll. Inga uppenbart olösliga hinder identifierades. Hur tillämpningen av hänsynsreglerna på matsvinn skulle gå till i praktiken återstår dock att lösa. Följaktligen kunde det konstateras att kopplingen mellan den nuvarande situationen, respondenternas inställning till att tillämpa hänsynsreglerna i livsmedelskontrollen samt attityderna gentemot föreslagna tillsynspraxis var tvetydig. Juridiska motsättningar motiverar behovet av ytterligare forskning, som kan driva utvecklingen av en tillsynsstrategi för förebyggande av matsvinn.
This book, with the title Coalition rule - bloc rule - multiple rule, deals with the development of the forms of government that have been put into practice in Swedish municipalities during the period 1952-2002. Forms of government refer to how the power, in the form of chairmanship of local administrations, has been distributed between the majority and minority in the different municipal councils. Two levels are involved in this study. First a national investigation, which for the main part of the period is done in the form of a total survey. Second, more detailed case studies applicable to the development in the county of Kronoberg, Småland. As the title indicates the development of the forms of government in Swedish municipalities can be classified into three main phases. The first phase, coalition rule, means that the majority and the minority shared chairmanships of local administrations. This was valid at the time of the starting-point of the study and continued until the beginning of the 1970s. The second phase, bloc rule, was seriously modelled during the first half of the 1970s and implied that one of the traditional political blocs had all the chairmanships in a municipality. The third and last phase, multiple rule, can be said to have started in the mid 1990s. This phase was characterised by softened bloc politics, among other things as a consequence of the fact that the Green Party and various local parties had the position as the balance of power in considerably more municipalities. The theoretical framework of the study is composed by the concepts of conflict and consensus, political culture, practice, hegemony and coalition formation. These five elements seem to be interrelated, and they should serve as suitable instruments of analysis. This should make the empirical results more possible to generalise. Conflict and consensus can be connected to the political culture by the fact that the political culture in a municipality can be characterised by either conflict or consensus. The political culture can then lead to a certain practice. For example, under a long succession of terms of office, a system is applied with as far-reaching majority marks as the law allows, where one of the traditional political blocs always is in power in the municipality. There is also an ambition to develop the theoretical insights better, in particular in two cases. First, there is an effort to formulate ideal models of municipal politics on the basis of the conception of hegemony. Second, there is an attempt to integrate the human factor in the theories of coalition formation.
Antimicrobial resistance (AMR) is one of the biggest threats against public health in the world. Antimicrobial substances are used within all different sectors and contribute to development of AMR. Global action against irresponsible use of antibiotics and further development of AMR has been of great concern in the last years and risk factors are being pointed out. Low- and middle-income countries (LMICs) have a precarious role in the matter. Insufficient health care systems, poor law enforcement and, high accessibility of over-the-counter drugs (OTCs) are contributing to the unregulated use of antibiotics. Poorly developed surveillance programmes make it hard to correctly analyse the situation of both antimicrobial use (AMU) and AMR. Bangladesh, like its neighbouring countries, faces a lot of challenges regarding public health. One of the major concerns related to public health is access to safe food. Food products can be contaminated with toxins, chemical substances, and microbial organisms, including AMR-bacteria. Furthermore, national programmes for surveillance of AMU and AMR are inadequate. In this study, data from previously done field studies by Bangladesh Livestock Research Institute (BLRI), Bangladesh Food Safety Authority (BFSA), International Livestock Research Institute (ILRI), and International Food Policy Research Institute (IFPRI) and newly collected information from interviews were put together to analyse the AMR situation in Bangladesh. Sampling of food products (tomato, chicken, fish) from traditional markets and supermarkets was done at three locations representing rural, peri-urban, and urban areas from November 2018 to June 2019. Samples were tested for prevalence of Salmonella spp, Escherichia coli, Vibrio cholerae. Samples positive for bacteria were tested for antimicrobial susceptibility through disc diffusion test. As a supplement to the analysis of samples, questionnaires to the vendors of the food products were made to provide background information. During 2020, statistical analysis of previously collected data and interviews with stakeholders working with AMR was made. The interviews aimed to serve as baseline information about current conditions regarding AMU and AMR. 320 cultivations of 1589 (20.1%) were positive for bacterial prevalence. 319 of these were tested for antimicrobial susceptibility where 203 (63.6%) were found to be multidrug-resistant (MDR) (resistant to three or more antibiotic groups). Furthermore, interviews with stakeholders stated that surveillance of AMU and AMR in Bangladesh is inadequate, especially within the animal and agriculture sector, and that a one health approach on a government level is needed to improve the situation. To be able to fully analyse the AMR situation in Bangladesh, a nation-wide study would need to be conducted, within all sectors, including both AMU and AMR testing.
"Same-sex love was forbidden by law until 1944, and in culture it continued to be taboo, but it has always existed there. The prohibition created tensions which art and literature could play with. Narratives about forbidden love show this through well-known authors such as Agnes von Krusenstjerna, Maria Sandel, Karin Boye and Frida Stéenhoff, and less well-known ones like Gertrud Almqvist, Margareta Suber, Lydia Wahlström and the pseudonym Elsa Gille. The book investigates literary narratives about women's love for women and the ideas about the forbidden contained in them. What strategies did the authors use to get round the ban on the mention of the topic? Are there any utopian visions of how everything could be arranged in a different and better way? And how does the literature relate to other theories about same-sex love? Berättelser om det förbjudna: Begär mellan kvinnor i svensk litteratur 1900–1935 ("Stories of the Forbidden: Desire between Women in Swedish Literature 1900–1935") is a free-standing continuation of Kärlekshistoria: Begär mellan kvinnor i 1800-talets litteratur ("Love Story: Desire between Women in Nineteenth-century Literature", 2008). Together the books span over 100 years of Swedish literary history, making them the most comprehensive study available in the field in Sweden and Scandinavia. Eva Borgström is associate professor of comparative literature and lecturer at the Department of Literature, History of Ideas, and Religion at the University of Gothenburg. She has formerly worked at the National Secretariat for Gender Research and the Department of Gender Studies. - Samkönad kärlek var fram till 1944 förbjuden enligt lag och i kulturen var den tabuerad längre än så, men den har ändå alltid funnits där. Förbudet skapade spänningar som konsten och litteraturen kunde spela med. Berättelser om det förbjudna visar detta genom välkända författare som Agnes von Krusenstjerna, Maria Sandel, Karin Boye och Frida Stéenhoff, liksom mindre kända som Gertrud Almqvist, Margareta Suber, Lydia Wahlström och pseudonymen Elsa Gille. Boken undersöker skönlitterära berättelser om kvinnors kärlek till kvinnor och de föreställningar om det förbjudna som finns i dem. Vilka strategier använde författarna för att komma runt yttrandeförbudet? Finns det några utopier om hur allt skulle kunna ordnas på ett annat och bättre sätt? Och hur förhåller sig litteraturen till andra teorier i tiden om samkönad kärlek? Berättelser om det förbjudna. Begär mellan kvinnor i svensk litteratur 1900–1935 är en fristående fortsättning på Kärlekshistoria. Begär mellan kvinnor i 1800-talets litteratur (2008). Tillsammans spänner böckerna över 100 år av svensk litteraturhistoria och utgör därmed den hittills mest omfattande studie på området som finns i Sverige och Norden. Eva Borgström är docent i litteraturvetenskap och lektor vid Institutionen för litteratur, idéhistoria och religion vid Göteborgs universitet. Tidigare har hon bland annat arbetat på Nationella sekretariatet för genusforskning och Institutionen för genusvetenskap. "
The European Union (EU) Directive 2001/42/EC on the assessment of the effects of certain plans and programmes on the environment (hereafter called the SEA-directive) that came into effect on 21 July in 2001 has started a policy implementation process in the 27 member states. In Sweden the spatial planning in municipalities and their comprehensive planning activities will be a major arena for implementing the SEA directive. The aim of the thesis is to investigate the planning practice emanating from the implementation of the SEA-directive into Swedish municipal planning. The aim is also to shed light on SEA as a steering tool for change. The results from the discourse analysis of the policy expectations of the SEA implementation as expressed in the preparatory works to the law picture a national SEA discourse that wants to above all promote efficiency in the municipal comprehensive planning processes. The message from the discourse is however contradictory. On the one hand a no change picture is outlined on the other hand is outlined major benefits for planning. In relation to sustainable development the role of SEA is down sized. Another study shows how the implementing officers at the local authorities perceive the coming change when SEA is introduced into Swedish municipal comprehensive planning. They foresee difficulties with financing the extra work, new personnel and education, with a greater need for inter-and intra organisational communication, difficulties with political climate and economic environment, as complications with tiering, since the Swedish planning system is not particularly tiered at present. The implementers also have difficulties in understanding the purpose of SEA and how to tackle contradicting objectives, such as more consultations and faster planning processes. The above brief description leads to questions relating to what kind of implementation that will be the results of this situation? In 2007 twelve municipalities, out of a total of 290 had made their first attempts to implement the SEA directive as part of municipal comprehensive plans (MCP). First results or policy outcomes can thus be explored. The main focus of this study is the planning documents, including the environmental report (ER), as they represent the written part of the planning process and the results of the local SEA practice. The empirical focus of the main empirical study are the contents of the SEAs in 24 plans made before the introduction of the SEA directive and the contents of the first 12 municipal comprehensive plans that have implemented the Swedish SEA legislation based on the SEA directive. The result is a change in perspective towards more specific environmental issues in the later plans as compared to the ones made before the demands of SEA. The transparency of consultation has increased and consultations with the County Administrative Board have been held by many of municipalities. By taking a policy implementation perspective, the importance of context is made obvious, for the role that SEA implementation can take and what space for action the implementers have in developing their SEA-practice. The discourse perspective helped to "uncover" and display the character of the governments SEA discourse and thus also to, in more detail, outline the discursive governmental input to change of planning and SEA practice in the municipalities.
Knowledge and valuation of ecosystem services are important components for reaching the governmental goals for improving the natural environments. Recreational fishing has more than one million practitioners nationwide.Knowledge about the fishers and their catches increases the ability to assess whether the ecosystem services are retained. In addition, it gives means for evaluating the actions for the conservation, restoration and sustainable use of oceans, lakes and rivers. Knowledge of recreational fishing is also needed in order to follow up the details in its environmental objectives relating to outdoor recreation, tourism industry and the governmental goals in the open-air policy. The EU's common fisheries policy, the Swedish environmental policy and Swedish fisheries policy all emphasize that ecosystem-based management should be implemented. Thus, there are needs for knowledge of the ecosystems which are exploited by humans. Fish populations are important components of aquatic ecosystems, and are affected by the surrounding environment, while they themselves affect the structures of the aquatic food-webs. Fishes often have regulatory functions in the ecosystems, and thereby contribute to valuable ecosystem services in addition to the more obvious services as providing food and recreation for humans. Mostly issues regarding the impacts of fishing-related activities on fish populations have been focused on commercial fishing. A widespread and intensive commercial fishing may lead to the depletion of stocks or, at worst, a collapse of the fish populations; the fish population reaching such low levels that recovery may be difficult. In recent years the knowledge of the impact of recreational fishing on aquatic systems has increased, but still the effects of recreational fishing on ecosystem are relatively poorly studied, compared to commercial fisheries. For many, it may be difficult to accept that recreational fishing may affect fish populations; each fisher/angler favour just their own fisheries without bearing in mind that although the small influence from each individual fisherman may be small, it will be significant when many fishermen harvest from the same stock. Recreational fishing and its effects on the aquatic ecosystems are often neglected in fisheries science, mainly due to the lack of data to estimate recreational fishing harvest with a sufficient resolution to calculate the effort and landings of recreational fisheries. In this report, we try to give an overall picture of the fish species needing increased knowledge in order to get an estimate of harvest in recreational fisheries and thereby the effect on fish populations. Furthermore, we also try to give a picture of international studies and finally to give examples of methods concerning how and to what extent one may conduct studies in Sweden. Our proposal is largely based on combining different surveys in specific areas that we believe can be used to scale-up the results. We suggest data collation of recreational fishing is concentrated to areas with public waters, because in other water bodies the land owner has sovereignty under the law. The focus areas we point out are those already having some data collection, both in terms of recreational fishing and environmental monitoring / stock assessment and where there are non-fishing protective areas nearby. Collection of data should not be made in all areas at every year; three areas are suggested to become intensive areas (data collection every year) and the remaining areas data collection will take place every three years - on a rolling schedule. The sampling methods we recommend are national survey (i.e. mail and telephone surveys), recording of catches in fishing tourism, voluntary catch registration of individual anglers, collection of data from fishing competitions, on-site inventory of fishing effort (e.g. count fetter and trailers), inventory of catch per effort (e.g. by creel-surveys) and fish tagging studies. For the west coast we propose one focus area, Älgöfjorden. At the coasts of Bohuslän County and the northern part of Halland County the fishing pressure is high for lobster and crab and therefore a focus area should be established in this area. We suggest that data are collected by on-site visits for inventorying fishing effort (counting numbers of pots / buoys / fishing people), combined with catch registration can return an estimates on catch per effort, and this can then be applied to a larger area. Another potential focus area is the area around Torhamn (Blekinge) which, for example, is popular area recreational fishing for pike. Torhamn is one of three national reference areas for coastal fish monitoring on the East Coast and has been monitored since 2002. It is also desirable to study aspects of fishing mortality in recreational fisheries. To our knowledge, there are no national studies that have explored the effects of catch-and-release in natural environments over long periods of time. The Bråviken Bay is a relatively limited and well-defined area having considered high recreational fishing pressure, but large time series from fish monitoring programmes are lacking. This site will give good opportunities for studying pike, pikeperch and to some extent also sea trout, data collection is suggested to take place every third year. An adjacent area is Kvädöfjärden having fish monitoring time series from 1989. Closely situated to Kvädöfjärden is Licknevarpefjärden where fishing has been prohibited since 1970. Additional areas that are of interest to follow up with some regularity are Asköfjärden, Gålö and / or Lagnö in the Stockholm archipelago. In the future it might be fruitful to shift data collection intensity between Torhamn in Blekinge and an area in Stockholm archipelago. Such decision should be based on factors like where the most practical solutions / contact network can be found. In the Gulf of Bothnia angling with nets, traps and similar gears are relatively widespread. We suggest that Långvind Bay in Gävleborg County, is an area for the study of recreational fishing in a relatively sparsely populated county and is most likely typical for large parts of the Gulf of Bothnia. Data collection is suggested to take place every year. As for the Gulf of Bothnia the recreational fishery in the Bothnian Bay are mainly targeting the whitefish, sea trout and, to some extent also perch. By monitoring the recreational fisheries in Kinnbäcksfjärden near Piteå, we hope to be able to describe the local recreational fishing patterns and then apply these values for catch per effort for most of the coastal strip of the Bothnian Bays. Recreational fishing is widespread in all of the five largest lakes in Sweden, and there is a need for data collection in all five. In Lake Vänern, Lake Vättern and Lake Mälaren there are fish monitoring data of good quality and regularity. However, in the two smallest lakes, Lake Hjälmaren and Lake Storsjön in Jämtland County, few test fishing areas and few studies regarding recreational fishing have been made. For Lake Vättern we suggest that data collection is done every year; especially the archipelago in the northern part of the lake will be an excellent area for the study of recreational fishing for pike. In the other four lakes we propose that data collection is made every third year. By studying recreational fishing - its practitioners, scope, gear-use, and harvest, it will be possible to achieve a more detailed view of how recreational fishing is done and how it varies along the Swedish coast and in the five largest lakes. Such knowledge is important for the managers of common fisheries resources and the monitoring of environmental status and evaluating the recreational goals established by the Swedish governments.