The Routledge
International Handbook of
the Sociology of Education
Edited by
Michael W. Apple, Stephen J. Ball
and Luis Armando Gandin
First published 2010
by Routledge
2 Park Square, Milton Park, Abingdon, Oxon., OX14 4RN
Simultaneously published in the USA and Canada
by Routledge
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This edition published in the Taylor & Francis e-Library, 2009.
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© 2010 Selection and editorial matter, Michael W. Apple, Stephen J. Ball and
Luis Armando Gandin; individual chapters, the contributors
All rights reserved. No part of this book may be reprinted or
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British Library Cataloguing in Publication Data
A catalogue record for this book is available from the British Library
Library of Congress Cataloging in Publication Data
The Routledge international handbook of the sociology of education/
edited by Michael W. Apple, Stephen J. Ball and Luis Armando Gandin.
p. cm.
Includes bibliographical references.
1. Educational sociology – Handbooks, manuals, etc. I. Apple, Michael W.
II. Ball, Stephen J. III. Gandin, Luis Armando, 1967–.
LC191.R684 2010
306.43 – dc22
2009023567
ISBN 0-203-86370-4 Master e-book ISBN
ISBN10: 0–415–48663–7 (hbk)
ISBN10: 0–203–86370–4 (ebk)
ISBN13: 978–0–415–48663–7 (hbk)
ISBN13: 978–0–203–86370–1 (ebk)
Contents
Notes on contributors
Acknowledgements
List of abbreviations
Introduction
Mapping the sociology of education: social context, power and knowledge
Michael W. Apple, Stephen J. Ball and Luis Armando Gandin
Part 1: Perspectives and theories
1 ‘Spatializing’ the sociology of education: stand-points, entry-points and
vantage-points
Susan L. Robertson
ix
xv
xvi
1
13
15
2 Foucault and education
Inés Dussel
27
3 Education and critical race theory
David Gillborn and Gloria Ladson-Billings
37
4 The ethics of national hospitality and globally mobile researchers
Johannah Fahey and Jane Kenway
48
5 Towards a sociology of the global teacher
Meg Maguire
58
6 Codes, pedagogy and knowledge: advances in Bernsteinian sociology of education
Ursula Hoadley and Johan Muller
69
7 Social democracy, complexity and education: sociological perspectives from
welfare liberalism
Mark Olssen
8 The ‘new’ connectivities of digital education
Neil Selwyn
79
90
v
CONTENTS
9 A cheese-slicer by any other name? Shredding the sociology of inclusion
Roger Slee
10 The sociology of mothering
Carol Vincent
11 Rationalisation, disenchantment and re-enchantment: engaging with
Weber’s sociology of modernity
Philip A. Woods
99
109
121
12 Recognizing the subjects of education: engagements with Judith Butler
Deborah Youdell
132
Part 2: Social processes and practices
143
13 Doing the work of God: home schooling and gendered labor
Michael W. Apple
145
14 New states, new governance and new education policy
Stephen J. Ball
155
15 Towards a sociology of pedagogies
Bob Lingard
167
16 Families, values, and class relations: the politics of alternative certification
Andrew Brantlinger, Laurel Cooley and Ellen Brantlinger
179
17 Popular culture and the sociology of education
Greg Dimitriadis
190
18 Schooling the body in a performative culture
John Evans, Brian Davies and Emma Rich
200
19 Tracking and inequality: new directions for research and practice
Adam Gamoran
213
20 Economic globalisation, skill formation and the consequences for higher
education
Phillip Brown and Hugh Lauder
229
21 Education and the right to the city: the intersection of urban policies,
education, and poverty
Pauline Lipman
241
22 A revisited theme – middle classes and the school
Maria Alice Nogueira
253
23 Governing without governing: the formation of a European educational space
António Nóvoa
264
24 The university in the twenty-first century: toward a democratic and
emancipatory university reform
Boaventura de Sousa Santos
vi
274
CONTENTS
Part 3: Inequalities and resistances
283
25 The Indian middle classes and educational advantage: family strategies
and practices
Geetha B. Nambissan
285
26 Equality and social justice: the university as a site of struggle
Kathleen Lynch, Margaret Crean and Marie Moran
296
27 Educational organizations and gender in times of uncertainty
Jill Blackmore
306
28 Bringing Bourdieu to ‘widening participation’ policies in higher education:
a UK case analysis
Pat Thomson
318
29 The sociology of elite education
Agnès van Zanten
329
30 The dialogic sociology of the learning communities
Ramón Flecha
340
31 The democratization of governance in the Citizen School project: building
a new notion of accountability in education
Luis Armando Gandin
349
32 Syncretism and hybridity: schooling, language, and race and students from
non-dominant communities
Kris D. Gutiérrez, Arshad Ali and Cecilia Henríquez
358
33 Dilemmas of race-rememory buried alive: popular education, nation,
and diaspora in critical education
Grace Livingston
370
34 Momentum and melancholia: women in higher education internationally
Louise Morley
384
35 Sociology, social class and education
Diane Reay
396
36 Interfaces between the sociology of education and the studies about
youth in Brazil
Marília Pontes Sposito
37 Social class and schooling
Lois Weis
405
414
vii
Contributors
Editors
Michael W. Apple is the John Bascom Professor of Curriculum and Instruction and
Educational Policy Studies at the University of Wisconsin, Madison. Among his most recent
books are Educating the ‘right’ way: markets, standards, God, and inequality, The subaltern speak:
curriculum, power, and educational struggles, Democratic schools: lessons in powerful education, and The
Routledge international handbook of critical education.
Stephen J. Ball is Karl Mannheim Professor of Sociology of Education at the Institute of
Education, University of London, and Fellow of the British Academy. His work uses sociology
in the analysis of education policy. Recent books include Education plc (Routledge, 2007) and
The education debate (Policy Press, 2008).
Luis Armando Gandin is Professor of Sociology of Education at the Federal University
of Rio Grande do Sul in Brazil. He is one of the editors of Currículo sem Fronteiras and
Editor-in-Chief of Educação & Realidade. Professor Gandin has published several books in
Brazil and Portugal and is one of the editors of The Routledge international handbook of critical
education.
Contributors
Arshad Ali is a doctoral candidate at UCLA’s Graduate School of Education and Information
Studies. His current research explores the construction of the label ‘Muslim’ as an emerging
racial and political marker in the United States. Arshad earned a Bachelor’s degree in Sociology
from UCLA, graduating cum laude with College Honors, and a Master’s degree in Education
from Harvard University, with a focus on pedagogy and educational policy. He has served as
the founding director of MAPS, a UCLA-based outreach program working with students in
south and west Los Angeles.
ix
CONTRIBUTORS
Jill Blackmore is a Professor of Education in the Faculty of Arts and Education, Deakin
University, and Director of the Centre for Research in Educational Futures and Innovation.
Recent publications include Performing and reforming leaders: gender, educational restructuring and
organizational change (2007, SUNY Press).
Andrew Brantlinger is an Assistant Professor at the University of Maryland, College Park.
His research interests are at the intersection of mathematics education, urban education and
critical theory. He has trained and researched alternatively certified mathematics teachers in
three urban school districts.
Ellen Brantlinger is Professor Emeritus from Indiana University-Bloomington. Her books
include: Politics of social class in secondary schools (1993) and Dividing classes: how the middle class
negotiates and rationalizes school advantage (2003). She directed the Undergraduate Special Education Teacher Education Programs at Indiana University for two decades and the Graduate
Program in Curriculum Studies for five years.
Phillip Brown is Research Professor in the School of Social Sciences, Cardiff University. His
forthcoming and recent books include: Brown, P., Lauder, H. and Ashton, D. (2009) The global
auction: the broken promises of opportunities, jobs and rewards; Lauder, H., Brown, P., Dillabough
J.-A. and Halsey, A.H. (eds) (2006) Education, globalization and social change, Oxford: Oxford
University Press. Currently being translated into Japanese at Tokyo University: Brown, P. and
Hesketh, A. (2004) The mismanagement of talent, Oxford: Oxford University Press; Brown, P.,
Green, A. and Lauder, H. (2001) High skills: globalisation, competitiveness and skill formation, Oxford:
Oxford University Press. Brown, P. and Lauder, H. (2001) Capitalism and social progress: the
future of society in a global economy, Basingstoke: Palgrave Press.
Laurel Cooley is an Associate Professor of Mathematics at Brooklyn College and studies urban
mathematics education. She serves as co-PI for MetroMath – mathematics for America’s cities. She
teaches linear algebra to undergraduates and math content courses to secondary teachers.
Margaret Crean is a research assistant in Equality Studies in the UCD School of Social Justice,
University College Dublin, and a community activist.
Brian Davies is Emeritus Professor of Education in the School of Social Sciences, Cardiff
University, Wales, UK. Since his Social control and education (Methuen, 1976), he has taught and
written widely on social theory and research, educational policy and pedagogic practice.
Greg Dimitriadis is Professor of Sociology of Education at the State University of New York
at Buffalo.
Inés Dussel is a Researcher at the Latin American School for the Social Sciences (FLACSO)/
Argentina, and holds a Ph.D. from the University of Wisconsin-Madison. Her interests include
the history and theory of pedagogy and schooling, and more recently the relationships between
education and visual culture.
John Evans is Professor of Sociology of Education and Physical Education in the School of
Sport and Exercise Sciences, Loughborough University, UK. He has written widely on the
body, identity and equity in education, and is founding editor of the international journal Sport,
Education and Society.
x
CONTRIBUTORS
Johannah Fahey is a Research Fellow at Monash University, Australia. She has a Ph.D. in
cultural studies from Macquarie University, Australia. Her latest co-edited book is called
Globalizing the research imagination. Her latest co-authored book is Haunting the knowledge
economy. Her earlier book is David Noonan: before and now.
Ramón Flecha is Professor of Sociology at the University of Barcelona and Doctor Honoris
Causa by the University of Timisoara. He has made theoretical contributions in the fields
of critical pedagogy, sociology and cultural studies: dialogic learning, dialogic societies,
communicative methodology of research.
Adam Gamoran is Professor of Sociology and Educational Policy Studies and Director of the
Wisconsin Center for Education Research at the University of Wisconsin-Madison. He recently
edited, with Yossi Shavit and Richard Arum, Stratification in higher education: a comparative study
(Stanford University Press, 2007).
David Gillborn is Professor of Education and Critical Race Studies in Education at the Institute
of Education, University of London.
Kris D. Gutiérrez is Professor of Social Research Methodology, Graduate School of Education
and Information Studies, at the University of California, Los Angeles. Her work examines the
relationship between language/literacy, culture and learning. Specifically, her work focuses on
the processes by which people negotiate meaning in culturally organized contexts, using language
and literacies that are embedded within sociohistorical traditions. Issues of equity are central to
her work.
Cecilia Henríquez is a doctoral student in the Division of Social Research Methodology at
the University of California, Los Angeles Graduate School of Education & Information Studies.
She received her B.S. degree in Mathematics from the Massachusetts Institute of Technology
and her M.A. degree in Education from the University of California, Los Angeles. Her research
interests include studying the everyday mathematical practices of non-dominant communities,
including informal learning spaces, and the implication on educational practice.
Ursula Hoadley is a senior lecturer in curriculum theory in the School of Education at the
University of Cape Town. She works in the areas of sociology of pedagogy, curriculum and
teacher’s work.
Jane Kenway is Professor of global education studies at Monash University and a Fellow of
the Academy of the Social Sciences in Australia. Among her many books are Consuming children
(with Bullen), Masculinity beyond the metropolis (with Kraack and Hickey-Moody) and Haunting
the knowledge economy (with Bullen, Fahey and Robb).
Gloria Ladson-Billings is Kellner Family Professor in Urban Education, Professor of
Curriculum and Instruction and Educational Policy Studies and H.I. Romnes Fellow at the
University of Wisconsin, Madison.
Hugh Lauder is Professor of Education and Political Economy at the University of Bath His
books include: Brown, P., Lauder, H. and Ashton, D. (2009) The global auction: the broken promises
of opportunities, jobs and rewards; Lauder, H., Brown, P., Dillabough, J.-A. and Halsey, A.H.
(eds) (2006) Education, globalization and social change, Oxford: Oxford University Press. Currently
xi
CONTRIBUTORS
being translated into Japanese at Tokyo University: Brown, P., Green, A. and Lauder, H. (2001)
High skills: globalisation, competitiveness and skill formation, Oxford: Oxford University Press.
Brown, P. and Lauder, H. (2001) Capitalism and social progress: the future of society in a global
economy, Basingstoke: Palgrave Press. He is the editor of the Journal of Education and Work.
Bob Lingard works in the School of Education at The University of Queensland. His research
interests include school reform and education policy. He is the co-editor, with Jenny Ozga, of
The RoutledgeFalmer Reader in Education Policy and Politics (2007) and co-author with Fazal Rizvi
(2009) of Globalizing Education Policy (Routledge). He is an Editor of the journal Discourse: Studies
in the Cultural Politics of Education and a former President of the Australian Association for
Research in Education.
Pauline Lipman is Professor of Educational Policy Studies at the University of Illinois-Chicago.
Her research focuses on race and class inequality in schools, globalization and the political
economy of urban education, particularly in relation to neoliberal urban development.
Grace Livingston is Associate Professor and Director (2008–2009) of African American Studies
at the University of Puget Sound, Tacoma, Washington, where she also works in its Race and
Pedagogy Initiative. Her research investigates the structure of knowledge production
relationships and the foundations of social theory, particularly in relation to matters of race and
social class.
Kathleen Lynch is Professor of Equality Studies in the UCD School of Social Justice, University
College Dublin.
Meg Maguire teaches and researches issues of policy and practice, teachers’ lives and social
justice in urban contexts. She is Professor of Sociology of Education in the Centre for Public
Policy Studies at King’s College London.
Marie Moran is assistant lecturer and doctoral candidate in Equality Studies, University College
Dublin.
Louise Morley is a Professor of Education and Director of the Centre for Higher Education
and Equity Research (CHEER) (www.sussex.ac.uk/education/cheer) at the University of
Sussex, UK. She has a strong international profile in the field of sociology of higher education
studies. Her research and publication interests focus on gender, equity, quality and power in
higher education. She is currently directing an ESRC/DFID funded research project on
Widening Participation in Higher Education in Ghana and Tanzania (www.sussex.ac.uk/
education/wideningparticipation).
Johan Muller is Professor of Curriculum and Director of the Graduate School in the Faculty
of Humanities at the University of Cape Town. He works and publishes in the area of the
sociology of knowledge.
Geetha B. Nambissan is Professor of Sociology of Education at the Zakir Husain Centre for
Educational Studies, Jawaharlal Nehru University, New Delhi, India. Her research has focussed
on exclusion and inclusion in education, with a focus on marginal groups in India. Her
xii
CONTRIBUTORS
publications include Child Labour and the Right to Education in South Asia: Needs versus Rights?
(co-ed.) (Sage, 2003). She is on the advisory board of the Journal of Education Policy.
Maria Alice Nogueira is Professor of Sociology of Education at the Federal University of
Minas Gerais (UFMG), Brazil. Her research has focused on the family–school relationships and
social advantage in education. She has published many articles in Brazil and abroad. She has
co-edited two books: Família & Escola – trajetórias de escolarização em camadas médias e populares
(Vozes, 2000) and A escolarização das elites – um panorama internacional da pesquisa (Vozes, 2002).
António Nóvoa is Professor of Education. He earned a Ph.D. in History at Sorbonne
University (Paris) and a Ph.D. in Educational Sciences at Geneva University (Switzerland). Since
2006, he has been the President of the University of Lisbon (Portugal).
Mark Olssen is Professor of Political Theory and Education Policy in the Department of
Political, International and Policy Studies, University of Surrey. His most recent books are
Toward a global thin community: Nietzsche, Foucault, and the cosmopolitan commitment, Paradigm
Press, Boulder and London, published 2009; and Michel Foucault: materialism and education,
Paradigm Press, Boulder and London, published in May 2006. He has published extensively
in leading academic journals in Britain, America and in Australasia.
Diane Reay is a Professor of Education at the University of Cambridge, with particular interests
in social justice issues in education, Pierre Bourdieu’s social theory, and cultural analyses of
social class. Her book on higher education choice and access degrees of choice (with Miriam
David and Stephen Ball) was published in 2005 by Trentham Press.
Emma Rich is Senior Lecturer in ‘The Body and Physical Culture’ in the School of Sport
and Exercise Sciences, Loughborough University, UK. She is co-author of The medicalization
of cyberspace (2008) and Education, disordered eating, and obesity discourse: fat fabrications (2008), and
the forthcoming edited text ‘Expanding the obesity debate’. She is also founder of the Gender,
Sport and Society Forum.
Susan L. Robertson is Professor of Sociology of Education and is located in the Centre for
Globalisation, Societies and Education, University of Bristol. Her current research interests
include understanding the dynamic relationship between knowledge production, circulation
and consumption as it is mediated by scales of political and social action. Susan has been working
particularly on developing a spatial analytic in the social analysis of education.
Neil Selwyn is a senior lecturer at the London Knowledge Lab, where his research and teaching
address the sociology of technology use in educational settings.
Roger Slee holds a Chair in Inclusive Education at the Institute of Education, University of
London. He is the Founding Editor of the International Journal of Inclusive Education.
Boaventura de Sousa Santos is Professor of Sociology at the School of Economics,
University of Coimbra (Portugal), Distinguished Legal Scholar at the University of WisconsinMadison Law School and Global Legal Scholar at the University of Warwick. He is Director
of the Center for Social Studies of the University of Coimbra and Director of the Center of
xiii
CONTRIBUTORS
Documentation on the Revolution of 1974, at the same University. He has published widely
on globalization, sociology of law and the state, epistemology, democracy and human rights,
in Portuguese, Spanish, English, Italian, French and German.
Marília Pontes Sposito is full Professor in the area of Sociology of Education in the School
of Education at the University of São Paulo, Brazil. Her research is in the fields of sociology
of the youth, sociology of education and sociology of collective action.
Pat Thomson is Professor of Education and Director of Research in the School of Education,
The University of Nottingham. Her recent publications include three Routledge books, School
leadership – heads on the block?, Doing visual research with children and young people and Helping
doctoral students write: pedagogies for supervision.
Agnès van Zanten is a sociologist and Senior Researcher at the Centre National de la
Recherche Scientifique. She works at the Observatoire Sociologique du Changement, a research
centre of Sciences-Po in Paris. She is also the Director of an international network on
educational policy.
Carol Vincent is a Professor of Education at the Institute of Education, University of London.
Her research interests include families’ relationships with the education and childcare systems,
social class, mothering and education policy. She is currently directing an ESRC-funded project
exploring the educational strategies of the Black middle classes.
Lois Weis is State University of New York Distinguished Professor of Sociology of Education
at the University at Buffalo, State University of New York. She is the author and/or editor of
numerous books and articles relating to race, class, gender, education and the economy.
Philip A. Woods holds a Chair in Educational Leadership and Policy, University of Gloucestershire,
UK. He has written and researched extensively on educational policy, leadership and governance,
drawing on his sociological background, with a particular interest in democracy, alternative
education, and entrepreneurialism and public values. He is co-editor of Alternative education for
the 21st century: philosophies, approaches, visions, published by Palgrave in 2009.
Deborah Youdell is Professor of Education at the Institute of Education, University of London.
Her work is located in the sociology of education and is concerned with educational inequalities
and the way these are connected to student subjectivities and everyday life in schools.
xiv
Acknowledgements
Editing a Handbook is never easy. It seems like a good idea in theory but actually involves lots
and lots of hard work and many frustrations and setbacks along the way. We were lucky to
have Carolina Junemann, who acted as the book administrator and did a lot of that hard work
and sorted out most of the frustrations and set backs – for which we are very, very grateful.
We also wish to thank our contributors for keeping to time and to their word lengths; we were
sorry to lose a couple of people along the way, through no fault of their own. And we are also
grateful to Anna Clarkson for her encouragement and for making sure we crossed the road
safely.
xv
Abbreviations
AC
ACU
BITU
CBOs
CCC
CCS
CEC
CEU
CLS
CREATE
CRT
EQUIP
EWI
FPR
GPA
HE
HEC
HESA
HLTA
IAS
IME
IMF
INSA
IT
JWL
LSCs
NCLB
NGOs
NWU
NYCTF
xvi
Alternative certification
Association of Commonwealth Universities
Bustamante Industrial Trade Union
Community Based Organizations
Commercial Club of Chicago
Centre for Civil Society
Commission of the European Communities
Council of the European Union
Critical legal studies
Campus for Research Excellence and Technological Enterprise
Critical Race Theory
Enabling Quality Improvement Programmes in Schools
Egalitarian World Initiative
Framework Programs of Research
Grade Point Average
Higher education
Hautes Etudes Commerciales
Higher Education Statistics Agency
Higher Level Teaching Assistant
Indian Administrative Service
Intensive Mothering Expectations
International Monetary Fund
Institut National des Sciences Appliquées
Information technology
Jamaica Welfare Limited
local school councils
No Child Left Behind
Non-Government Organizations
National Workers Union
New York City Teaching Fellows
ABBREVIATIONS
OP
PAP
PNP
PR
PVOs
QSRLS
SAT
SMED
STEM
TA
TFA
TNC
TNTP
TPS
UCD
UWI
Participatory Budget
People’s Action Party
People’s National Party
Permanent Resident
Private Voluntary Organizations
Queensland School Reform Longitudinal Study
Scholastic Aptitude Tests
Municipal Secretariat of Education
Science, technology, engineering and mathematics
Teaching Assistant
Teach for America
Transnational Company
The New Teachers Project
totally pedagogized societies
University College Dublin
University of the West Indies
xvii
Introduction
Mapping the sociology of education:
social context, power and knowledge
Michael W. Apple, Stephen J. Ball and
Luis Armando Gandin
The sociology of education is a diverse, messy, dynamic, somewhat elusive and invariably
disputatious field of work. Reflecting this Lather (1988) suggests that the names that sociologists
use to represent themselves are best referred to in the plural – feminisms, phenomenologies,
Marxisms, postmodernisms. The sociology of education is produced by a disparate and varied
group of researchers, writers and teachers, who are variously invested in national traditions of
study with different histories – although there is a marked convergence of topics, methods and
perspectives in relation and in response to globalization (see below). The ‘communications heavy,
travel-based, market dependent’ (Marginson and Considine, 2000: 48) world of higher education
and the increased extent of co-mingling of scholars, as well as the global reach of multinational
publishing houses, have established the conditions for ideas and theories to flow easily between
sites of academic work, in the same way as in other fields – but also to flow in particular
directions.
Nonetheless, the sociology of education continues to be marked by theoretical fissures,
discontinuities and sometimes-acrimonious paradigm disputes. As one of us (Apple, 1996b: 125)
put it in a review of sociology of education in the United States: ‘what actually counts as the
sociology of education is a construction’. That construction is an outcome of ideological and
very practical struggles and is marked by differences in power and in resources. This collection
is itself inevitably an act of construction: a drawing-up of boundaries, a marking-off of divisions,
oppositions and positions, a ‘carving up and carving out’ (Edwards, 1996). It is not a ‘policing
action’ (Apple 1996b), but, on the other hand, it is by no means an ‘innocent’ text. We did
not set out deliberately to fashion a purist or definitive version of the field, quite the opposite,
but the inclusions and exclusions and neglects announced by the collection will have something
of that effect, and we discuss these later.
We can use sociological tools to think about the field of sociological practice. In Bernstein’s
terms, sociology, in common with other social sciences, has a ‘horizontal knowledge structure’,
which consists of ‘a series of specialized languages with specialized modes of interrogation and
criteria for the construction and circulation of texts’ (Bernstein, 1999: 162) which have no
principles of integration. These specialized languages and their theoretical idiolects are ‘not
translatable’ (p. 163) he argues, their speakers are exclusive, and their relations are serial. Thus,
1
MICHAEL W. APPLE, STEPHEN J. BALL AND LUIS ARMANDO GANDIN
academic and social capital within the practice of sociology is bound up, as he sees it, with the
‘defence of and the challenge of other languages’ (p. 163). Development in such a ‘horizontal
discourse’, as he termed it, is not greater generality or abstraction or integration but the development of a new language that ‘offers the possibility of fresh perspective, a new set of questions,
a new set of connections, and an apparently new problematic, and most importantly, a new
set of speakers’ (p. 163).
His point is that the discreteness of these languages and the competition between the
narcissism of their dedicated speakers are fundamental barriers to incorporation. Within such
a discursive regime, he suggests that the primary motivation lies in the ‘marketing’ of new
languages. He goes on to describe what he calls the implicit ‘conceptual syntax’, or ‘weak
grammars’ of horizontal knowledge structures, such as those of sociology of education, which
present particular problems to acquirers, in terms of knowing whether they are ‘really speaking
or writing sociology’ (p. 164). Acquisition is tacit and depends upon acquiring the appropriate
‘gaze’; ‘a particular mode of recognizing and realizing what counts as an “authentic” sociological
reality’ (p. 165). This gives rise then to ‘segmental competences’ and ‘segmental literacies’ that
rest upon an ‘obsession with language’, but also, inasmuch that these knowledge structures are
retrospective, they are also ‘characterized by inherent obsolescence’ (p. 167).
This collection offers some practical insights into what ‘really speaking or writing sociology’
means and to contribute to the development of sociological literacy. Bernstein goes on to say
that the segmentalizing structures of sociology also ‘shatters any sense of an underlying unity’
(p. 170). Thus, in the past thirty years in particular, the sociology of education has been defined
and redefined by a set of theoretical and methodological disputes, that is contending idiolects,
and has also been subject to various breakaways and splits that have created new sub-fields,
even distinct, new disciplines. These contending ‘discourse communities’ ‘produce knowledge
and establish the conditions for who speaks and who gets heard’ (Brantlinger, 2000).
In all of this, sets of ‘interests’ are at stake. These are: the personal – related to the satisfactions,
reputations and status of those in positions of power and patronage, and expressions of identity;
those more conventionally referred to as ‘vested’ – including the material rewards from career,
position and publication; and the ideological – matters of value, personal philosophy and political
commitment. Such interests are at stake in the everyday life of academic practices. That is, in
the decisions, appointments and influences that shape and change the field of sociology of
education and its rewards. They have been reflected in the efforts of scholars of colour,
women, gay and lesbian and disabled scholars to rework the boundaries, the analytic tools and
theoretical bases of the sociology of education and, in doing so, get positions and grants, get
published, assert control of key journals and/or create new ones. Struggles over interests take
place, in an intellectual register, on the floor of conferences and in the pages of journals, but
they are also played out, micro-politically, in editors’ offices, in department meetings and in
appointing committees. Such struggles are also embedded in ‘the hidden curriculum in graduate
sociology departments’ (Margolis and Romero, 2000), taking two forms. A ‘weak’ version
defines and attempts to control what it means ‘to be a sociologist’ as part of a professionalization
process within which certain methods, topics, concerns and dispositions are validated as ‘good
sociology’.
This is described by Bourdieu (1988: 56) as the ‘corporeal hexis’, ‘the visceral form of
recognition of everything which constitutes the existence of the group, its identity, its truth,
and which the group must reproduce in order to reproduce itself ’. The ‘strong’ form works
to reproduce stratified and unequal social relations, reinforcing, in particular, the control and
influence of white, male scholars (see Bagilhole, 1993). In these terms, the sociology of education
2
INTRODUCTION
has its own sociology; its own ‘collective scientific unconscious’, in Bourdieu’s words; and its
own particular conditions of production, which at different points in time have set different
limits upon thought through the deployment of specific sets of theories, problems and categories.
In its recent history, the boundaries between sociology and philosophy, political science,
geography and social psychology have become fuzzy and loose. Consequently, it is sometimes difficult to say who is a sociologist of education and who is not, and where the field
begins and ends. In particular, postmodernism ‘has spread like a virus through the disciplines
of the social sciences and humanities eating away at the boundaries between them’ (MacLure,
2003: 4). The postmodern or linguistic turn can be seen, in typical paradoxical fashion, both
as an invigoration of, and threat to, the sociology of education, or rather to modernist social
science generally. It is ‘the end’ of social science and a new beginning. As Bloom (1987: 379)
gloomily describes it, this is ‘the last, predictable stage in the suppression of reason and the
denial of the possibility of truth in the name of philosophy’. Postmodern theory does present
a challenge to a whole raft of fundamental, often dearly cherished but sometimes un-examined,
assumptions in sociological practice, most obviously and profoundly the deployment of
totalizing ‘grand narratives’. Large, all-encompassing and systemic ‘explanations’ of ‘the social’
are disrupted and eschewed by postmodernism, and indeed Lyotard defines the postmodern as
an ‘incredulity towards meta-narratives’. As Lather (1988: 7) explains: ‘What is destroyed by
the post-structuralist suspicion of the lust for authoritative accounts is not meaning, but claims
to the unequivocal dominance of any one meaning’. As a result: ‘Over the last two decades
“postmodernism” has become a concept to be wrestled with, and such a battleground of
conflicting opinions and political forces that it can no longer be ignored’ (Harvey, 1989: 39).
Various epistemological positions within this debate are taken up in the collection with both
the deployment of grand narratives and some incredulity.
Of course, many sociologists do not take postmodernism seriously, in part perhaps because
they regard postmodernism itself as lacking seriousness and condemn it as ironic, nihilistic and
narcissistic and apolitical. Indeed, for some feminists, postmodernism is ‘a problem’, even just
‘boys games’, particularly in as much that postmodernism critiques the ‘oppressions’ embedded
within the humanist tradition upon which ‘women’s liberation’ draws. For others, postmodernism offers an extension to, and new possibilities for, critique and situated struggle. Kenway
(1997: 132) goes as far as to argue that: ‘In many senses feminist postmodernism has become
“The New Way” to approach feminist research, pedagogy and politics’; but goes on to warn
that: ‘when one takes this new way, one confronts many confusions, difficulties, dilemmas and
dangers’. This collection reflects the inroads of the postmodern, or perhaps more accurately the
post-structural, into theorizing and research, but it also takes account of the continuing
significance of various forms of modernist theory and modernist sociological research practice.
In placing these multiple traditions side by side so to speak, we wish to argue that it is at the
intersection of the varying positions within the sociology of education – each of which has its
own overlapping critical impulses – that progress can be made in understanding the complex
relations that connect education with the larger realities of our societies.
Bernstein’s fundamental criticism of the sociology of education was that it is organized around
commitments to ‘languages of dedication’ rather than to ‘a problem and its vicissitudes’ (1999:
170). This is true, to some extent, although Bernstein’s account may be said to be unduly
pessimistic and one-sided in terms of the overall balance between dedication and analytic rigour
across contemporary sociology of education as a whole. But certainly, in different ways, the
sociology of education rests on dedication and social commitment and is a redemptive practice.
The papers in this collection share a commitment to social critique and social justice, and we
3
MICHAEL W. APPLE, STEPHEN J. BALL AND LUIS ARMANDO GANDIN
elaborate on this ‘role’ for the sociology of education below, but they also share and display a
commitment to intellectual rigour – theoretical and/or empirical.
Despite its segmentalization and disputation, there is another version of the ‘story’ of the
sociology of education, a set of continuities within difference. Rhoads (2000: 7), for example,
notes that ‘The work of postmodernists, feminists and critical theorists has been particularly
attentive to issues of positionality and representation . . .’ The recent history of the sociology
of education demonstrates a set of common concerns, elisions and linkages. A good deal of
contemporary work is eclectic (in the best sense) and integrationist – conciliatory even. Not
that this is easily achieved in sociological work, Apple (1996b: 141) writes of ‘the difficult
problem of simultaneously thinking about both the specificity of different practices, and the forms
of articulated unity they constitute . . .’. He goes on to argue, however, that:
it is exactly this issue of simultaneity, of thinking neo [marxism] and post [modernism]
together, of actively enabling the tensions within and among them to help form our
research, that will solidify previous understandings, avoid the loss of collective memory
of the gains that have been made, and generate new insights and new actions.
To a great extent, the vitality and purposefulness of the project of the sociology of education,
and its attraction for students and practitioners, are underpinned by the continuing cross-play
of tensions and disputes, not the least those tensions between, to borrow Moore’s (1996: 159)
formulation, critical research ‘of ’ education and research ‘for’ education. However, this crossplay of positions, currents and influences is also a source of confusion and a major challenge
for any newcomer seeking a sensible grasp of the field. This collection is aimed at making that
grasp just a little easier.
In addition to its internecine struggles, the developments and discontinuities within sociology
and the sociology of education both reflect and respond to changes in societies – national and
global. However, there are neither inevitable nor simple relationships between social and political
contexts and the preoccupations and dispositions of the academy. Over and against this, we
must not forget that the social sciences act back on and in society through the recontextualization
of the ‘human sciences’ within professional education or the work of government, although
perhaps less directly now than in the past.
‘Human science’ knowledge functions politically and is intimately implicated in the practical
management of social and political problems. The idea that human sciences such as sociology
stand outside or above the political agenda concerning the management of the population
or somehow have a neutral status embodied in a free-floating, progressive rationalism is a
dangerous and debilitating conceit. ‘Scientific’ or theoretical vocabularies may distance
researchers from the subjects of their activity but, at the same time, they also construct a ‘gaze’
that renders the ‘landscape of the social’ ever more visible and produce or contribute to discourses
that create particular sorts of ‘subject positions’ for people to occupy.
However, governments are no longer content to wait for the harvest of research ideas that
academics produce; they seek to engineer the crop through tenders and the funding of
increasingly tightly focused research programmes. Policy desire increasingly shapes research
offerings, and concomitantly increasing amounts of significant and sensitive research for ‘government’ is out-sourced to the commercial sector (see Ball, 2007) rather than entrusted to the
university sector. University-based research is itself also increasingly subject to the ‘authority
and apparent objectivity of disciplines such as accountancy, economics and management’
(MacKinnon, 2000: 297), through the incentives of academic capitalism and the operationaliza4
INTRODUCTION
tion of concepts such as ‘quality’ and ‘policy-relevance’ – a disciplining of the disciplines. The
tension between ‘making’ and ‘taking’ problems in social research, noted by Young (1971), is
being played out in new ways in the contemporary politics of research and university funding.
In taking seriously the issues surrounding the ‘making’ and ‘taking’ of social problems, in
this Handbook we have chosen material that has a critical edge. A considerable number of the
chapters included here are ‘engaged’, and one of the three sections has this as a particular focus.
Many of the authors take a position that is similar to what Michael Burawoy has called ‘organic
public sociology’. In his words, but partly echoing Gramsci as well, the critical sociologist is
an organic intellectual who:
works in close connection with a visible, thick, active, local, and often counter-public.
[She or he works] with a labor movement, neighborhood association, communities of
faith, immigrant rights groups, human rights organizations. Between the public sociologist
and a public is a dialogue, a process of mutual education . . . The project of such [organic]
public sociologies is to make visible the invisible, to make the private public, to validate
these organic connections as part of our sociological life.
(Burawoy, 2005: 265)
This act of becoming (and this is a project, for one is never finished, always becoming) a critical
scholar/activist is a complex one. Because of this, let us extend our earlier remarks about the
role of critical research in education. Our points here are tentative and certainly not exhaustive.
But they are meant to begin a dialogue over just what it is that ‘we’ should do.
In general, there are seven tasks in which critical analysis (and the critical analyst) in education
must engage (Apple, 2006b).
1
2
3
4
It must ‘bear witness to negativity’. That is, one of its primary functions is to illuminate
the ways in which educational institutions, policies and practices are connected to the
relations of exploitation and domination – and to struggles against such relations – in the
larger society. We use the words exploitation and domination technically. They point to
structures and processes that Nancy Fraser (1997) refers to as a politics of redistribution
and a politics of recognition.
In engaging in such critical analysis, whenever possible it also must point to contradictions
and to spaces of possible action. Thus, its aim is to critically examine current realities with
a conceptual/political framework that also emphasizes the spaces in which counterhegemonic actions can be or are now going on.
At times, this also requires an expansion of what counts as ‘research’. Here, we mean acting
as critical ‘secretaries’ to those groups of people and social movements who are now engaged
in challenging existing relations of unequal power or in what elsewhere has been called
‘non-reformist reforms’. This is exactly the task that was taken on in the thick descriptions
of critically democratic school practices in Democratic schools (Apple and Beane, 2007) and
in the critically supportive descriptions of the transformative reforms such as the Citizen
School and participatory budgeting in Porto Alegre, Brazil (Gandin, 2006).
The ideal of the organic intellectual has particular salience in the sociology of curriculum,
an area that has grown markedly within the sociology of education and in critical
curriculum studies. When Gramsci (1971) argued that one of the tasks of a truly counterhegemonic education was not to throw out ‘elite knowledge’ but to reconstruct its form
and content so that it served genuinely progressive social needs, he provided a key to another
5
MICHAEL W. APPLE, STEPHEN J. BALL AND LUIS ARMANDO GANDIN
5
6
7
6
role ‘organic intellectuals’ might play (see also Gutstein, 2006; Apple, 1996a). Thus, we
should not be engaged in a process of what might be called ‘intellectual suicide’. That is,
there are serious intellectual (and pedagogic) skills in dealing with the histories and debates
surrounding the epistemological, political and educational issues involved in justifying what
counts as important knowledge. These are not simple and inconsequential issues, and the
practical and intellectual/political skills of dealing with them have been well developed.
However, they can atrophy if they are not used. We can give back these skills by employing
them to assist communities in thinking about this, learning from them and engaging in
the mutually pedagogic dialogues that enable decisions to be made in terms of both the
short-term and long-term interests of oppressed peoples.
In the process, critical work has the task of keeping traditions of radical work alive. In the
face of organized attacks on the ‘collective memories’ of difference and struggle, attacks
that make it increasingly difficult to retain academic and social legitimacy for multiple critical
approaches that have proven so valuable in countering dominant narratives and relations,
it is absolutely crucial that these traditions be kept alive, renewed, that new traditions be
created and when necessary criticized for their conceptual, empirical, historical and political
silences or limitations. This involves being cautious of reductionism and essentialism and
asks us to pay attention to what we mentioned above, what Fraser has called both the
politics of redistribution and the politics of recognition (Fraser, 1997). This includes not
only keeping theoretical, empirical, historical and political traditions alive but also, very
importantly, extending and (supportively) criticizing them. And it also involves keeping
alive the dreams, utopian visions and ‘non-reformist reforms’ that are so much a part of
these radical traditions (Jacoby, 2005; Apple, 1995; Teitelbaum, 1993).
Keeping traditions alive and also supportively criticizing them when they are not adequate
to deal with current realities cannot be done unless we ask ‘For whom are we keeping
them alive?’ and ‘How and in what form are they to be made available?’ All of the things
we have mentioned before in this tentative taxonomy of tasks require the relearning or
development and use of varied or new skills of working at many levels with multiple groups.
Thus, journalistic and media skills, academic and popular skills, and the ability to speak
to very different audiences are increasingly crucial. It also requires that we relearn and
mobilize the technical skills of the most elegant statistical models available. For too long,
such skills have been rejected by many critical sociologists as simply ‘positivist’. This had
meant that, in the public debates over policy means, ends and outcomes, statistics generated
out of deeply problematic assumptions and ideologies dominate the discursive space
and the media. Thus, as we engage in the spirited debates over what education does and
should do, we need to be very cautious of not marginalizing valuable ‘technical’ skills
and also need to find ways of making the data generated by such approaches visible and
understandable to a wider public than those within the field of sociology of education (see
Apple, 2006a).
Finally, critical sociologists of education must act in concert with the progressive social
movements their work supports or in movements against the assumptions and policies they
critically analyze (Gramsci, 1971). The role of the organic intellectual implies that one
must participate in and give one’s expertise to movements surrounding struggles over a
politics of redistribution and a politics of recognition. It also implies learning from these
social movements. This means that the role of the ‘unattached intelligentsia’ (Mannheim,
1936), someone who ‘lives on the balcony’ (Bakhtin, 1968), is not an appropriate model.
As Bourdieu (2003: 11) reminds us, for example, our intellectual efforts are crucial, but
INTRODUCTION
they ‘cannot stand aside, neutral and indifferent, from the struggles in which the future of
the world is at stake’.
The chapters included in this volume provide instances of authors taking up one or more
of each of these tasks. These seven tasks are demanding, and no one person can engage equally
well in all of them simultaneously. What we can do is honestly continue our attempt to
come to grips with the complex intellectual, personal and political tensions and activities that
respond to the demands of this role. Actually, although at times problematic, ‘identity’ may be
a more useful concept here. It is a better way to conceptualize the interplay among these tensions
and positions, since it speaks to the possible multiple positionings one may have and the
contradictory ideological forms that may be at work both within oneself and in any specific
context (see Youdell, in progress). And this requires a searching critical examination of one’s
own structural location, one’s own overt and tacit political commitments, and one’s own
embodied actions.
Of course, not everyone who sees herself or himself as a critical sociologist of education will
agree with all of what we have said above. This is to be expected. We outline the points above
to document one of the major sets of goals – and the tensions that arise out of them – to establish
a partial set of decision rules for judging the multiple senses of efficacy that might cohere with
the chapters included here.
Even so, despite our best efforts, any selection of papers from the vast output of the sociology
of education is bound to be both idiosyncratic and unsatisfactory. The point is, does it work,
does it do a useful job for the intended readership, and is it the ‘best’ work for the purposes at
hand? This is not a representative selection in any sense, whatever that might mean in terms
of the sociology of education. But even now, as we write this, we can see ways in which we
might have put the book together differently, made different choices, given space and emphases
to different things. Clearly, not every sub-specialism, theoretical position or important figure
is included. That would be impossible. Further, there is no systematic attempt directly to
represent the founding ‘fathers’ of sociology, nor of the sociology of education. That sort of
approach to the field is adequately dealt with in existing textbooks. This is not a collection
of ‘classic’ papers; these can be accessed easily in other ways. Rather, the work included here
is ‘state of the art’; a set of newly written and previously unpublished papers by some of the
leading scholars in the field. The emphasis is on theoretically informed and transposable work,
work of international relevance and coverage that has a critical relevance.
On the whole, the papers operate at a level of generality and with a conceptual richness that
make them readable in, and applicable to, a wide variety of national locations. They draw on
literatures from a variety of different national settings and in many instances, of necessity, they
take into account the overbearing and inescapable realities of globalizations, in all their forms,
but not crudely or simplistically. Education itself is increasingly a traded good within international
education service markets and global labour markets. The international trade in students has
grown massively in the past ten years. It is already worth $400 billion worldwide; 2.7 million
students are now studying outside their home countries, a 50 per cent increase since 2000, and
this is estimated to rise to 8 million by 2025. Nonetheless, struggles over what it means to be
educated, and against the commodification of education, and for and in defence of democratic
and critical forms of education, involving students and teachers, occur in many locations. Thus,
some of the papers address what Boaventura de Sousa Santos calls the ‘sociology of absences’
(Santos, 2004). That is, they aim to explain that what does not exist is, in fact, actively produced
as non-existent, and thus to transform impossible into possible objects.
7
MICHAEL W. APPLE, STEPHEN J. BALL AND LUIS ARMANDO GANDIN
To be made present, these absences need to be constructed as alternatives to hegemonic
experience, to have their credibility discussed and argued for and their relations taken as
object of political dispute. The sociology of absences therefore creates the conditions to
enlarge the field of credible experiences.
(The world social forum: toward a counter-hegemonic globalisation
(part 1): 239 www.choike.org/documentos/wsf_s318_sousa.pdf)
While localities and national systems inflect the processes of globalization differently and
struggles ensue, convergences and homogenization of educational forms and modalities, driven
by what Santos (2003) calls ‘monocultural logics’, are very clearly evident within and between
settings. These logics are very evident in current education policies that privilege choice,
competition, performance management and individual responsibility and risk management.
As editors, the three of us are more than a little aware of the necessity of avoiding such
monocultural logics. Indeed, in trying to make this volume an international one, we are
conscious of the power of a number of the arguments that have come out of the literature on
both post-colonialism and globalization.
We are taken with the fact that post-colonial experience(s) (and the plural is important) and
the theories of globalization that have been dialectically related to them are powerful ways of
critically engaging with the politics of empire and with the ways in which culture, economy
and politics all interact, globally and locally, in complex and overdetermined ways. Indeed, the
very notions of post-colonialism and globalization ‘can be thought of as a site of dialogic
encounter that pushes us to examine center/periphery relations and conditions with specificity,
wherever we may find them’ (Dimitriadis and McCarthy, 2001: 10).
As they have influenced critical sociology of education, some of the core politics behind postcolonial positions are summarized well by Dimitriadis and McCarthy (2001) when they state that,
‘The work of the postcolonial imagination subverts extant power relations, questions authority,
and destabilizes received traditions of identity’ (p. 10; see also Bhabha, 1994; Spivak, 1988).
Sociologists of education interested in globalization, in neo-liberal depredations and in postcolonial positions have largely taken them to mean the following. They imply a conscious process
of repositioning, of ‘turning the world upside down’ (Young, 2003: 2). They mean that the
world is seen relationally – as being made up of relations of dominance and subordination and
of movements, cultures and identities that seek to interrupt these relations. They also mean
that, if you are someone who has been excluded by the ‘West’s’ dominant voices geographically,
economically, politically and/or culturally, or you are inside the West but not really part of it,
then ‘postcolonialism offers you a way of seeing things differently, a language and a politics in
which your interests come first, not last’ (p. 2). Some of the best work in the field of sociology
of education mirrors Robert Young’s more general claim that post-colonialism and the global
sensitivities that accompany it speak to a politics and a ‘philosophy of activism’ that involve
contesting these disparities. It extends the anti-colonial struggles that have such a long history
and asserts ways of acting that challenge ‘Western’ ways of interpreting the world (p. 4). This
is best stated by Young (2003) in the following two quotes:
Above all, postcolonialism seeks to intervene, to force its alternative knowledges into the
power structures of the west as well as the non-west. It seeks to change the way people
think, the way they behave, to produce a more just and equitable relation between
different people of the world.
(Young, 2003: 7)
8
INTRODUCTION
and
Postcolonialism . . . is a general name for those insurgent knowledges that come from
the subaltern, the dispossessed, and seek to change the terms under which we all live.
(Young, 2003: 20)
What Young says about post-colonialism is equally true about theories of globalization and
about the entire tradition of critical sociological scholarship and activism in education. These
reminders about insurgent knowledges, of course, have clear connections to the points we made
earlier about the complex and multiple roles that critical sociologists of education in general
need to consider. One of the important issues with which we will have to deal, a function
implied in our listing of the tasks of the critical sociologist of education earlier, is to help to
restore the collective memories of insurgent knowledges so that they can be used as resources,
not only for critical research, but for people who seek to interrupt the relations of dominance
and subordination that so deeply characterize so many nations and regions of this world. As
you will see, this concern with the social production of, and conditions for, memory and
forgetting will be brought up in this book.
Having said this, again we need to be aware of our own positioning within knowledge power
structures. Given length limitations and the diversity of current tendencies and emerging
traditions within the critical sociology of education, despite the international scope and range
of the papers in the collection, there is a clear Western, Northern and Anglo-Saxon bias. Hence,
another volume is necessary, one that would chart the progress, tensions and debates in a
considerably larger range of nations and would counter the epistemological and ideological
assumptions that may still underpin parts of this Handbook, even when we ourselves have tried
to be conscious and critical of them. This would be an exceptionally worthwhile project, and
we urge that it be taken up so that the debates within sociology of education can become even
more international than they are now.
In editing this volume, we have tried to pay attention to the quality of the writing. While
there is a wide variety of styles and forms of expression, again important in themselves, all the
writers communicate their ideas effectively, although some papers are more ‘difficult’ than others.
Some are more pedagogical, and some more writerly. Some report on research; others discuss
and deploy theoretical analyses. Some are more influenced by cultural analysis; others by more
structural concerns. In different ways, they show something of the social practices of sociology,
that is, how sociological analysis is done and how sociological sensibilities are brought to bear
upon significant contemporary issues. The make-up of the collection also reflects, to a degree,
our own interests and prejudices, our own biographies in the sociology of education and our
own sense of excitement about educational possibilities, or our frustrations with, anger at, and
engagement with, injustices.
The papers are organized into three general but very porous sections: ‘Perspectives and theories’,
where the emphasis is on the application of theoretical ideas (e.g. psycho-social, feminism,
Critical Race Theory) or the use of the work of particular writers (e.g. Foucault, Bernstein,
Bourdieu, Butler) and the deployment of particular key concepts such as space, connectivity,
pedagogy, globalization, governmentality, equality and disability; ‘Social processes and practices’,
where the focus is on various contemporary educational phenomena, which are subject to critical
interrogation (families, home schooling, skills, tracking, integration, the middle class, university
reform etc.); ‘Inequalities and resistances’, where issues of class, race and gender and ‘colonial
mentalities’ are critically addressed, and forms of social and political struggle and community
9
MICHAEL W. APPLE, STEPHEN J. BALL AND LUIS ARMANDO GANDIN
involvement in education are examined and documented – what Santos calls the ‘sociology of
emergences’ – ‘to know better the conditions of the possibility of hope’ (2004: 241).
The handbook is an odd, over-used and rather unwieldy literary form. We accept that; but
nonetheless we hope you enjoy the book and find it useful, and we would like to know what
you think about it – what you like and do not like, how you think it could be improved. With
this in mind, we include here our email addresses so that the critical conversation can continue.
We can be reached at:
[email protected] (Michael W. Apple);
[email protected]
(Stephen J. Ball); and
[email protected] (Luis Armando Gandin).
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Apple, M.W. (2006b) ‘Rhetoric and reality in critical educational studies in the United States’, British
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INTRODUCTION
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interpretation of culture, Urbana, IL: University of Illinois Press, pp. 271–313.
Teitelbaum, K. (1993) Schooling for good rebels, Philadelphia, PA: Temple University Press.
Youdell, D. (in progress) After identity: power and politics in education, London: Routledge.
Young, M.F.D. (ed.) (1971) Knowledge and control, London: Collier-Macmillan.
Young, R. (2003) Postcolonialism, New York: Oxford University Press.
11
Part 1
Perspectives and theories
1
‘Spatializing’ the sociology of education
Stand-points, entry-points, vantage-points1
Susan L. Robertson
Introduction
This chapter explores the implications of an absence of a critical spatial lens in the conceptual
grammar of the field of the sociology of education. I argue that it is not sufficient to simply
bring a spatial lexicon to our conceptual sentences (as in ‘geographies’ of classroom emotions;
the school as a ‘place’; communities of practice). This is to fetishize space, leaving a particular
medium of power, projects and politics – space – to go unnoticed. Rather, to apply a critical
spatial lens to the sociology of education means seeing the difference that space, along with
time and sociality – the two privileged angles of view in modernity – makes to our understanding
of contemporary knowledge formation, social reproduction and the constitution of subjectivities
(Massey, 2005: 62; Soja, 1996: 71). By tracing out the ways in which space is deeply implicated
in power, production and social relations, I hope to reveal the complex processes at work in
constituting the social relations of ‘education space’ as a crucial site, object, instrument and
outcome in this process. A ‘critical’ spatial lens in the sociology of education involves three
moves: one, an outline of the ontological and epistemological premises of a critical theory of
space; two, the specification of the central objects for enquiry to education and society; and
three, bringing these theoretical and conceptual approaches together to open up an entry point
for investigation, a vantage point from which to see education–society phenomena anew, and
a standpoint from which to see how education space is produced and how it might be changed.
Move 1: a critical theory of space
Space is a highly contested concept in social science. Here, I will introduce the core vocabulary
for a critical socio-spatial theory drawn from the leading theorists on space, including Lefebvre
(1991), Soja (1996), Harvey (2006), Massey (1994), Smith (1992), Brenner (2003) and Jessop
et al. (2008). This vocabulary, which has been developed over time and as a result of a series
of spatial turns, offers us a set of theoretical and empirical concepts with which to work. The
following assumptions are key: that, ontologically, space is social and real; that spaces are social
relations stretched out; and that space is socially produced.
15
SUSAN L. ROBERTSON
Epistemologically, space can be known through particular categories of ideas, as ‘perceived’,
‘conceived’ and ‘lived’ (Lefebvre, 1991), or as ‘absolute’, ‘relative’ and ‘relational’ (Harvey, 2006).
These two framings will be developed in this chapter. Spaces are dynamic, overlapping and
changing, in a shifting geometry of power (Massey, 1994). The organization of socio-spatial
relations can take multiple forms and dimensions. This is reflected in a rich spatial lexicon that
has been developed to make sense of the changing nature of production, (nation)state power,
labour, knowledge, development and difference. Key concepts in this lexicon are ‘territory’,
‘place’, ‘scale’, ‘network’ and ‘positionality’. These concepts are pertinent for the sociology of
education, which has, as its central point of enquiry, on the one hand, the role of education
in (re)producing modern societies, and on the other hand, an examination of transformations
within contemporary societies and their consequences for education systems, education
experiences, opportunities and outcomes.
An ontology of space
French philosopher Henri Lefebvre and British-born geographer David Harvey are both viewed
as having transformed our understanding of space, from a largely geometrical/mathematical term
denoting an empty area, to seeing space in more critical ways: as social, real, produced and
socially constitutive. Lefebvre’s intellectual project explicitly works with and beyond the binary
of materialism and idealism. What marks out Lefebvre’s meta-philosophical project is his concern
with the possibilities for change by identifying ‘third space’ (Soja, 1996: 31), a space of radical
openness. In other words, Lefebvre’s approach is concerned, not only with the forces of
production and the social relations that are organized around them, but also moving beyond to
new, an-Other, unanticipated possibilities.
The introductory essay, ‘The plan’, in The production of space (1991) is regarded as containing
Lefebvre’s key ideas. Lefebvre begins by arguing that, through much of modernity, our
understanding of space was profoundly shaped by mathematicians, who invented all kinds
of space that could be represented through calculations and techniques (Lefebvre, 1991: 2),
To Lefebvre, what was not clear was the relationship between these representations (mental
space) and ‘real space’ – ‘. . . the space of people who deal with material things’ (Lefebvre,
1991: 4).
However, Lefebvre was unhappy with pursuing an analytics of space centred on either
continental philosophy or Marxism. He regarded this binary pairing as part of a conceptual
dualism (conceived/idealism versus lived/materialism), closed to new, unanticipated outcomes.
Lefebvre was particularly critical of the way continental philosophers, such as Foucault and
Derrida, fetishized space, so that the mental realm, of ideas, representations, discourses and signs,
enveloped and occluded social and physical spaces. To Lefebvre, semiology could not stand as
a complete body of knowledge because it could not say much about space other than it was a
text; a message to be read. Such thinking, he argued, was both political and ideological in that
its science of space concealed the social relations of (capitalist) production and the role of that
state in it (Lefebvre, 1991).
This did not mean Lefebvre embraced Marxism unproblematically. Though Lefebvre’s
project aimed to reveal the way the social relations of production projected themselves onto
space (Lefebvre, 1991: 129), he was critical of the way Marxist theorists on the one hand
fetishized temporality, and on the other hand reduced ‘lived space’ to labour and products,
ignoring the complexities of all spheres of life (such as art, politics, the judiciary) and their
attendant social relations. A more expansive idea of production was embraced to take account
16
‘SPATIALIZING’ THE SOCIOLOGY OF EDUCATION
of the multiplicity of ways in which ideas are produced, humans are created and labour, histories are
constructed and minds are made (Lefebvre, 1991: 70–72). For Lefebvre,
social space subsumes things produced; and encompasses their relationships in their
coexistence and simultaneity – their (relative) order and their/or their relative disorder.
It is the outcome of a sequence or set of operations, and thus cannot be reduced to the
rank of a simple object.
(Lefebvre, 1991: 73)
Similarly mindful of the need to avoid fetishizing space over time and vice versa, theorists such
as Harvey (1989) and Massey (1994: 2) refer to ‘space–time’ to emphasize the integral nature
of space and time, while Massey (1994) and Rose (1993) have advanced theoretical projects
around gender as a social relation that is also profoundly spatially organized.
The twin ideas of ‘space’ and ‘production’ are central to Lefebvre’s analysis. Using an approach
he calls ‘analysis followed by exposition’, Lefebvre’s project is to make space’s transparency and
claim to innocence opaque, and therefore visible and interested. A ‘truth of space’, he argued,
would enable us to see that capital and capitalism influence space in practical (buildings,
investment and so on) and political ways (classes, hegemony via culture and knowledge). It is
thus possible to demonstrate the role of space – as knowledge and action – in the existing
capitalist mode of production (including its contradictions), to reveal the ways in which spaces
are ‘produced’, and to show that each society had its own mode of production and produces
its own space. Furthermore, if – as he argued was the case – the transition from one mode of
production to another over time entailed the production of new spaces, then our analyses must
also be directed by both the need to account for its temporality and also its spatiality.
Harvey, in an essay entitled ‘Space as a keyword’ (2006), draws upon a Marxist ontology
of historical materialism and, like Lefebvre, seeks to understand processes of development under
capitalism. However, Harvey’s central focus has centred upon capitalist temporalities and
spatialities, specifically the contradiction between capital’s concern to annihilate space/time in
the circuit of capital, and capital’s dependence on embedded social relations to stabilize the
conditions of production and reproduction (Harvey, 1982, 1989). Nevertheless, for both writers,
the production of space, the making of history and the composition of social relations or society
are welded together in a complex linkage of space, time and sociality, or what Soja has called
the trialectics of spatiality (1996).
Epistemologies of space
If epistemology is concerned with how we know, then the question of how to know space is
also complicated by the multiple ways in which we imagine, sense and experience space. We
travel through space, albeit aided by different means. We also attach ourselves to particular
spaces, such as places of belonging, giving such places psycho-social meaning. Lefebvre’s
theoretical approach is to unite these different epistemologies of space. In other words, in order
to ‘. . . expose the actual production of space . . .’ (Lefebvre, 1991: 16) ‘. . . we are concerned
with logico-epistemological space, the space of social practice, the space occupied by sensory
phenomena, including products of the imagination such as projects and projections, symbols
and utopias’ (Lefebvre, 1991: 11–12). These claims led Lefebvre to identify and develop three
conceptualizations of space at work all of the time in relation to any event or social practice:
spatial practice (the material, or perceived space); representations of space (or conceptualized
17
SUSAN L. ROBERTSON
space, or conceived space); and representational spaces (it overlays physical space and is directly
lived through its associated images and symbols; or lived space) (Lefebvre, 1991: 38–39).
Like his meta-philosophical embrace of idealism and materialism, Lefebvre’s epistemology
is never to privilege one spatial dimension over another, for instance conceived space over
lived space. Rather, the three dimensions are part of a totality, a ‘trialectics of being’ (Soja,
1996: 71).
Harvey’s epistemology of space is somewhat different. Though both agree upon the
materiality of space, which Harvey calls ‘absolute space’, while Lefebvre refers to it as ‘perceived
space’, Harvey offers two alternative concepts to make up a somewhat different tripartite division:
that of ‘relative space’ and ‘relational space’. Applied to social space, space is relative in the
sense that there are multiple geometries from which to choose (or not), and that the spatial
frame is dependent upon what is being relativized and by whom (Harvey, 2006: 272). So, for
instance, we can create very different maps of relative locations depending on topological
relations, the various frictions enabling movements through space are different, the different
spatio-temporal logics at work, and so on. The idea of ‘relational space’ is intended to capture
the notion that there are no such things as time and space outside the processes that define
them. This leads to a very important and powerful claim by Harvey, of internal relations. In
other words, ‘an event or a thing at a point in space cannot be understood by appeal to what
exists only at a particular point. It depends upon everything that is going on around it . . . the
past, present and the future concentrate and congeal at a certain point’ (Harvey, 2006: 274).
This point is particularly pertinent for a critical theory of education and society, for it is to
argue that it is critical to see ‘events’ in relation to wider sets of social, economic and political
processes.
The spatiality and geometry of power
In the arguments advanced so far, the idea that space is a form of power is implicit. Doreen
Massey (1994: 2005) makes this explicit. Not only is space social relations stretched out, but
these social relations constitute a ‘geometry of power’ (Massey: 1994: 4). This is a dynamic and
changing process. This implies a plurality (Lefebvre, 1991) or a ‘. . . lived world of a simultaneous
multiplicity of spaces’ (Massey, 1994: 3), of uncountable sets of social spatial practices made up
of networks and pathways, bunches and clusters of relationships, all of which interpenetrate
each and superimpose themselves on one another (Lefebvre, 1991: 86). This multiplicity of
spaces is ‘. . . cross-cutting, intersecting, aligning with one-another, or existing in relations of
paradox or antagonism’ (Massey, 1994: 3). To insist on multiplicity and plurality, argues Massey,
is not just to make an intellectual point. Rather, it is a way of thinking able to reveal the spatial
as ‘constructed out of the multiplicity of social relations across all spatial scales, from the global
reach of finance and telecommunications through the geography of the tentacles of national
political power, to the social relations within the town, the settlement, the household and the
workplace’ (Massey, 1994: 4).
Massey’s (2005: 147) relational politics of space is also more in tune with Lefebvre’s, of a
framing imagination – like ‘anOther’ – that keeps things more open to negotiation, and that
takes fuller account of the ‘constant and conflictual process of the constitution of the social,
both human and non-human’ (2005: 147). In Massey’s view (2005: 148), this is not to give
ground to the modernist project, of no space and all time, or the postmodern project, of all
space and no time, but to argue for configurations of multiple histories, multiple entanglements,
multiple geographies, out of which difference is constituted, and where differences count.
18
‘SPATIALIZING’ THE SOCIOLOGY OF EDUCATION
The organization of spatial relations – a methodology
Jessop et al. (2008) take up the challenge of advancing a methodology for studying spatial
relations. They propose a lexicon that includes key concepts such as ‘territory’, ‘place’, ‘scale’,
‘network’ and ‘positionality’.
‘Territory’ refers to the boundaries that constitute space in particular ways, as differentiated,
bordered areas of social relations and social infrastructures supporting particular kinds of
economic and social activity, opportunity, investment and so on. Territories are arenas to be
managed and governed, with the state and the boundaries of the nation state particularly
important throughout the twentieth century (Harvey, 1982: 390, 404). Territories are filled
with normative content, such as forms of identification. Interest in the idea of territory and
processes of territorialization emerged when attention turned to the assumption that political
power was established around national boundaries by nation states, and that these boundaries
also served to define societies as ‘nationally bounded’. The unbundling of the relationship
between territory and sovereignty since the 1980s has resulted in changing spatialities of
statehood (Brenner, 2003), the changing basis of citizenship claims (Robertson, 2009) and forms
of subjectivity. Territory, as a spatial form of organization, can be read as absolute (a material
thing, as in a human resource complex), as conceived (e.g. a map of a region) and as lived (e.g.
attachment as a Canadian). It is relative in that the movement within and across territories, for
instance, will be different, dependent upon where and how one is located. It is relational in
that it is not possible to understand particular territories without placing them in their past,
present or emergent futures.
‘Scale’ represents social life as structured in particular ways, in this case relationally, from
the body to the local, national and global (Herod and Wright, 2002). This structuring of social
life is viewed as operating at the level of the conceived and the material; in other words, that
scales, such as the national or global are real enough; they are also powerful metaphors around
which struggles take place to produce these social relations. Extending Lefebvre’s insights into
the social production of space, Smith (1990) has termed this the ‘social production of scale’.
Work on scales, their recalibration and re/production, have helped generate insights into the
making of regions (scale-making), the global, the reworking of the local, and strategic bypassing
of the scales (as in scale jumping) and so on. Scales themselves may shift in importance as a
result of processes that include new regionalisms, globalization and decentralization. There have
also been important critiques of scale advanced by writers such as Marston et al. (2005) for the
conceptual elasticity of the concept and, more importantly, the privileging of vertical
understandings of socio-spatial processes, rather than vertical and horizontal. Marston et al. (2005:
420) are at pains to point out that the power of naming (as in representations of space) should
not be confused with either perceived or lived spaces. This is an important point and emphasizes
the value of ensuring we keep these epistemologies distinct in our analysis.
‘Place’, on the other hand, is constituted of spatialized social relations and the narratives
about these relations. Places, such as ‘my home’ or ‘my school’, only exist in relation to particular
criteria (as in ‘my school’ draws upon criteria such as formal learning, teachers and so on), and,
in that sense, they are material, they are social constructions or produced (Hudson, 2001: 257),
and they are lived. Massey argues that place emerges out of the fixing of particular meanings
on space; it is the outcome of efforts to contain, immobilize, to claim as one’s own, to include
and therefore exclude (1994: 5). ‘All attempts to institute horizons, to establish boundaries, to
secure the identity of places, can in this sense be seen as attempts to stabilize the meaning
of particular envelopes of space-time’ (Massey, 1994: 5). Amin puts this relational argument a
19
SUSAN L. ROBERTSON
little differently: that place is ‘. . . where the local brings together different scales of practice/social
action’ (2004: 38) and where meanings are constituted of dwelling, of affinity, of performativity
(Amin, 2004: 34). From the perspective of production, places are ‘. . . complex entities; they
are ensembles of material objects, workers and firms, and systems of social relations embodying
distinct cultures and multiple meanings, identities and practices’ (Hudson, 2001: 255).
Importantly, places should not be seen as only whole, coherent, bounded or closed, though
they may well be (Hudson, 2001: 258). Rather, we should also see places as potentially open,
discontinuous, relational and as internally diverse, as they are materialized out of the networks,
scales and overlapping territories that constitute this space–time envelope (Allen et al., 1998:
55–56). For Hudson (2001: 258), the degree of ‘closedness’ or openness is an empirical question
rather than an a priori assertion.
More recently scholars, influenced by the work of Castells (1996), have advanced a relational
reading of space that ‘. . . works with the ontology of flow, connectivity and multiple
expression’ (Amin, 2004: 34). In this work, social relations stretch horizontally across space
(implicitly questioning scale – as in local to global – as the main organizer of place). The
metaphor representing this idea is the ‘network’. The project is not to focus on spatial
hierarchies, as is implied in the idea of scale, but on the transversal, the porous nature of knots
and clusters of social relations. The idea of ‘the network’ has become particularly appealing
and powerful in thinking about interspatial interconnectivity – for instance in governance
systems, inter-firm dependencies, communities of participants and so on. And while this way
of conceiving space has a materiality about it, as we can see with, for instance, communities
of Internet game-players, the organization of a firm, or a network of experts, it is a way of
representing spatial organization. Most importantly, however, the idea of the network is to
press the temporality of spatial formations: as ‘temporary placements of ever moving material
and immanent geographies, as “hauntings” of things that have moved on but left their mark
in situated moments in distanciated networks that cross a given place’ (Amin, 2004: 34). The
reason for pressing this way of reading (network versus scale and territory) is, for Amin, a question
of politics: it relates, not only to the scope and reach of local political activity, but also what is
taken to count as political. This is a particularly important point for understanding current
developments in education, particularly higher education, as local entities, such as universities,
stretch their institutional fabrics across space.
For Shepherd, ‘positionality’ is a corrective to the fascination with networked relations, which
tend to overlook ‘. . . the asymmetric and path dependent ways in which futures of places depend
on their interdependencies with other places’ (2002: 308). Positionality within a network is
dependent upon which network one participates in; it is emergent and contingent rather than
pre-given; and it describes how different entities are positioned with regard to one another in
space/time. Positionality is relational, it involves power relations, and it is enacted in ways that
tend to reproduce and/or challenge existing configurations. For Shepherd (2002: 319), the idea
of positionality is critical in calling attention to how connections between people and places –
such as the World Bank in Washington and the African economies, or members of a household
– play a role in the emergence of proximal and geographic inequalities. Similarly, drawing locales
and their pre-capitalist forms of production into circuits of capitalist production (for instance,
bringing pre-capitalist/pre-modern tribal relations in Samoa into capitalist colonial networks
of relations) draws these actors into new social relations of power and inequality. Finally, the
conditions for the possibility of place do not necessarily depend upon local initiative but, rather,
with the interactions with distant places. For example, education provision in Cyprus is partly
shaped by Cyprus’s relations with the European Commission, while member states of the World
20
‘SPATIALIZING’ THE SOCIOLOGY OF EDUCATION
Trade Organization are differently positioned with regard to the centres of global power, so
that negotiating education sectors will be differently experienced as a result.
The importance of Jessop et al.’s (2008) intervention is to advance an approach that
overcomes the privileging of one spatial form of organization over another – e.g. scale over
other spatialities: the result of what they argue are different turns that unfortunately display all
of the signs of ‘. . . theoretical amnesia and exaggerated claims to conceptual innovation’
(p. 389). For Jessop et al., it is important to see that these processes and practices are closely
linked and, in many cases, occurring simultaneously, and propose a way of reading these together.
This is important and clearly offers sets of readings of events that are not limited to one spatial
form of organization.
Move 2: the conceptual grammar of the sociology of education
The question of how to lay out the conceptual grammar of the field is a particularly challenging
one. One way is to work at a particular level of abstraction so as to enable the possibility of
translation across the different ontological and epistemological traditions that are bought to bear
on the education and society relationship. Dale’s (2006) work on ‘the education questions’ is
particularly valuable here. There are three levels of questions. Level 1 focuses on the practice;
level 2 on the politics of education; and level 3 on the outcomes of education. In opening up
these three levels we can then begin to place key approaches, topics, issues and debates that
have taken place over time and space and in relation to particular kinds of social relation and
forms of social reproduction. These questions are specified in four ways:
1
2
3
4
Who is taught what, how, by whom, where, when; for what stated purpose and with what justifications;
under what (school/university classroom) circumstances and what conditions; and with what results?
How, by whom, and at what scale are these things problematized, determined, coordinated, governed,
administered and managed?
In whose interests are these practices and politics carried out? What is the scope of ‘education’, and
what are its relations with other sectors of the state, other scalar units and national society?
What are the individual, private, public, collective and community outcomes of education?
In relation to who is taught what, how, by whom, when and where, we immediately can see that
learning opportunities are differentially experienced, and different kinds of learning are acquired.
This has been a major field of concern for sociologists such as Bourdieu (1986) and his argument
that various forms of capital (cultural, economic and social) are differently mobilized and realized
through learning experiences in the home, in schools and in the wider society. Similarly,
Bernstein’s (1990) work on pedagogic discourse and its relationship to class, codes and control
links pedagogy to wider processes of social reproduction. There is a considerable literature on
the ways in which social relations, such as gender, race, sexuality and old colonial relations (cf.
Arnot and Reay, 2006; Gillborn and Youdell, 2006; Smith, 2006), are produced through what
is taught to whom, and where.
Concerning the questions of ‘how, by whom and at what scale are these things problematized,
determined, coordinated, governed, administered and managed?’ and ‘in whose interests are these practices
and politics carried out?’, this is broadly the province of governance (cf. Dale, 1996). Sociological
research around this question has concerned itself with the emergence of markets as a mechanism
of coordination (cf. Gewirtz et al., 1995; Ball, 2007; Ball et al., 1996; Levin and Belfield, 2006);
21
SUSAN L. ROBERTSON
the rise in importance of international organizations, such as the OECD, the World Bank and
the World Trade Organization, in shaping education agendas within national states (Rizvi and
Lingard, 2006; Robertson et al., 2002); the emergence of private companies in providing
education services (cf. Ball, 2007; Hatcher, 2006; Mahony et al., 2004); and how new economic
sectors are being produced, bringing education more tightly into the global economy (cf. Brown
and Lauder, 2005; Guile, 2006; Kamat et al., 2004).
Finally, in relation to the question about outcomes as a result of these projects and processes
as they are mediated through education, we begin to see very clearly that particular identities
are produced, families advantaged or excluded, classes constituted, genders reproduced,
populations privileged and so on through education. Here, concepts such as social mobility,
social inheritance, social stratification, social class, cultural consumption, citizenship,
identity and community are facets of those wider social relations: the result of how knowledges,
power and difference are also constituted through a multiplicity of differentiated education
spaces.
Move 3: spatializing the sociology of education
In this final section, I want to reinforce the point I made in my introductory remarks: that the
sociology of education is spatially rich in the metaphors used to name and understand social
processes and relations, but analytically and theoretically weak in accounting for the difference
that space makes. Adopting a critical spatial analytic, of the kind I have outlined above, means
taking seriously the following propositions in relation to the sociology of education: that
1
2
3
4
5
6
social relations are latent in space and reproduced through systems such as education;
education spaces are a product;
education spaces are produced;
education spaces are polymorphic;
education spaces are dynamic geometries of power and social relations; and
education spaces and subjectivities are the outcome of a dialectical interaction.
There are any number of possible routes through, and reworkings of, the sociology of
education in relation to space, time and sociality. It should also be noted that the different levels
of education questions are likely to be worked out using particular combinations of concepts
from the spatial lexicon outlined above.
For instance, absolute and perceived education spaces, such as a school, are simultaneously
territorial (with boundaries that include and exclude) and networked (connected territories or
nodes). We can use the two different epistemologies advanced by Lefebvre and Harvey above,
together with the different forms of spatial organization outlined above, to generate a grid, as
below with illustrative processes content.
Given the exigencies of length, I will only develop two examples from the education questions
above to show what this might mean: first, ‘tracking’ students into different education groups,
and second, processes of decentralization/marketization in education governance (see Tables 1.1
and 1.2). Typical organizational processes in which almost all schooling systems differentiate
learners in some way in the education system are through spatial practices such as ‘grouping’,
‘tracking’ or ‘streaming’, or through the provision of different kinds of schooling experience,
such as private versus public schools, or vocational schools versus comprehensive schools.
22
‘SPATIALIZING’ THE SOCIOLOGY OF EDUCATION
Table 1.1 ‘Tracking’: spatial stratification
Spatial practice
[perceived space]
Representations of space
[conceived]
Spaces of representation
[lived]
Absolute space
particular knowledges/
lessons delivered to
‘tracked’ student;
classroom
class groups/ability/
year levels/school types;
school prospectus;
school uniform;
aspiration; feelings of worth/
lessness; belonging;
withdrawal; resistance and
rebellion
Relative space
different levels of
student development;
local school ecology;
school mix (of social
classes; cultural
backgrounds)
‘ability’ as innate
intelligence/tracks and
grades as reflecting
capabilities; publicprivate school contrasts;
inspection reports;
anxiety over resources
need to produce competence;
‘nothing here for us-we
always fail; reject schooling
as ‘un-cool’ failing/
successful school
Re/production of
failure; ‘meritocracy’;
social stratification
being a competent learner;
the working class ; class
strategies such as voice, exit
and choice; white flight
Relational space School as a system of
reproduction over time;
performance in the
education system
Table 1.2 Decentralisation/markets: spatial governance
Spatial practice
[perceived space]
Representations of space
[conceived]
Spaces of representation
[lived]
Absolute space
movement of
responsibilities to new
nodes outward and
upward; downward;
new sectors
local development plans;
partnership plans; subcontracting/outsourcing;
school development
plans; local visions;
markets
anxieties over opportunities
for choice; greater
organisational responsibilities
without power to affect
necessary changes;
surveillance; performativity
Relative space
Different geometries of
governance relations
that cut across scales;
rescaling;
local development,
social capital,
community expertise,
partnership; public/
private; third sector
[networks]
differential choices;
different inspection
regimes; different feelings
of involvement by wider
community
global discourses of
choice, markets, self
management,
entrepreneurialism;
neo-liberal political
project
desires of consumer;
entrepreneur; flexible;
anxiety about responsibility
for one’s future
Relational space policy frameworks that
operate at multiple
nodes; competitiveness
23
SUSAN L. ROBERTSON
Here, we can see particular geometries of power at work: the outcome of the way in which
the social relations of production are projected onto education spaces, at the level of systems,
schools, classrooms and groups. This system of spatial stratifying is a key mechanism of social
reproduction. Space, as we can see in this example, is a medium and resource of power. This
conception of education space – as thickened clusters of social relations legitimated by notions
of ability/intelligence/learning capability – takes a material form. Children attend different classes
and have different learning experiences. This spatial organization of education space is also
regulated/governed through systems of assessment and self-management. It is a lived space, so
that learners and teachers both feel, in palpable albeit different ways, the emotions that arise
from discourses of aspiration, capability, achievement, responsibility, meritocracy and so on.
That lives to be lived in the future are shaped by this projected and deep penetration of the
social relations of production onto education space, as workers in a system of capitalist social
relations, illustrates the point Lefebvre and Harvey both make about the linkages between events
and practices. In other words, the multiple epistemologies and modalities of space are deeply
implicated in the making of pedagogic identities.
This second example focuses on the policy of ‘decentralization’ and the rolling out of
education markets, a powerful, neo-liberal discourse that has resulted in the relocation of education activity away from previously fixed, institutionalized centres to new, reworked spaces of
knowledge production with new geometries of social relations. In most cases, the centres
of power in the Westphalian state, the national state, have rescaled selective functions to different
nodes in the scalar architecture of the global order. These scales have, in turn, been reworked
to include new sets of logics – around efficiency, choice, local partnership, self-management,
responsibility. More importantly, unpicking institutionalized social relations has enabled new,
non-state actors (particularly for-profit) into the reconstitution of education spaces. Much of
the literature on decentralization has tended to view the movement of power in a downward
direction – to the local organization/community. While this most certainly was the direction
in which some education activity has flowed, viewing the movement only in this direction, and
in terms of the official discourse – decentralization – would be to take at face value the spatial
imaginary of the representation of space. The idea of scale – as opposed to decentralization –
enables us to see quite what is at stake: the social production of scale and the reconstitution of
social relations in a shifting spatial geometry of power and social relations. Using the concept
of scale enables us to trace movements in multiple directions, as new nodes of power and rule
are constructed or invigorated, struggled over and legitimated. In turn, we are able to see the
emergence of a new functional and scalar division of the labour of education space. Positionality
matters in this case, as the social relations arising from market-based relations are dependent upon
who and what are included in the spatial organization of choice. So, too, do networks, which
work as means of protection against exclusions as well as mechanisms to ensure inclusion – such
as clubs. Spatializing state projects, such as ‘decentralization’ and ‘markets’, raise significant issues
for the spatiality of the sociology of education – anchored as it has been in a deep, methodological
nationalism and statism. This is despite the fact that the sites, scales, strategies and subjectivities
for the re/constituting and governing of education have been highly dependent upon
re/projecting and re/working education spatial and social relations.
Conclusion
This paper can only begin to set out the necessary parameters, and possibilities for insights that
might be realized, in a project of reworking the sociology of education in spatial terms. At one
24
‘SPATIALIZING’ THE SOCIOLOGY OF EDUCATION
level, the idea that space matters in the sociology of education might be to state something that
is – for want of a better word – all too obvious. Those involved in education, whether as teachers,
learners or researchers of these processes, are confronted with spatial metaphors all of the time.
At another level, however, it continues to surprise me that the conceptual grammar in the
sociology of education continues in a way that offers us a relatively banal reading of space, of
the ‘all too obvious’ ways in which space matters – such as identifications with particular spaces
and so on. While important, this is to understand only one of the spatial epistemologies through
which we know and are constituted by the social. It is, therefore, to miss the very real, powerful
and significant way in which the social relations within the multiplicity of overlapping education
spaces are constantly being strategically, spatially recalibrated, reorganized and reconstituted to
produce a very different geometry of power. Continuing with a conceptual grammar in the
sociology of education that is oriented towards modernity’s preoccupation with time and
sociality, and not spatiality, means continuing with a set of concepts that are unable to grasp
the full enormity of the changes that have been advanced under the rubric of globalization and
the ways in which education space has been radically transformed. Clearly, one important
implication of spatializing the sociology of education is the challenge that follows from this:
the development of a set of methodological/organizational categories that are able to take full
account of the concerns of sociologists of education. Finally, I would argue that, in spatializing
the sociology of education, we, in turn, enhance the possibilities of what Lefebvre named
‘anOther’ space emerging: an alternative, differently constituted, social space, constructed out
of ideas about being and becoming, that might in turn mediate the full onslaught of the social
relations of global capitalism.
Note
1
I am extremely grateful to Peter Jones for his engagement and generative conversations on this
project.
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26
2
Foucault and education
Inés Dussel
It is somewhat paradoxical to devote a chapter to an author who insistently challenged the
authority of proper names and who called for a dismantling of the “author function” as part
of his critique of the essentialist view of the subject.1 Yet, Foucault’s name has become
unavoidable for social theorists in the last thirty years, and his place within the sociology of
education cannot be questioned—however problematic it remains, as will be discussed later.
Not only was he a prolific writer, with fifteen books published during his lifetime (1926–1984),
and several more, along with over 360 articles, chapters and interviews, collected and printed
after his death,2 but, in some respects, it could be argued that he continues to be so, as several
of his courses at the Collège de France are still waiting to be edited and published, and new
interviews and collections appear periodically. He has also been the subject of innumerable
books and articles, with which whole libraries could be filled.
Although he did not consecrate an entire book, nor even a complete text, to the question
of education, his impact on educational thought and particularly on the field of the sociology
of education has been substantial. This fact is most remarkable considering that his philosophy
is a bitter pill to swallow for educators, as it shakes most of the grounds on which modern
schooling has been built: truth, knowledge, vocation, enlightenment, or salvation. Not
surprisingly, his denunciation of the injustices committed by educational institutions has turned
his work into a cornerstone for critical pedagogy since the mid 1970s.3 For example, in the
Anglo-speaking academic field, Stephen Ball (1990) edited a thoughtful compilation on the
uses of Foucault’s work for educational policy and sociology, and Tom Popkewitz (1991)
produced a political reading of the rhetoric of educational reform and change, and of pedagogical
discourse, based on Foucault’s texts. These few examples show the extent to which Foucault’s
work has helped renew the topics and methodologies of educational thought.4
What is most important is that his political stances on education have extended in the
educational field well beyond critical pedagogy. After Foucault, it is difficult to state undauntedly
that education is concerned solely with doing good to people and promoting social progress.
It is not unusual to listen to undergraduates or teachers speaking about the relationship between
schools and the production of disciplined bodies, or to refer to histories of education in terms
of genealogies. At least in continental Europe and Latin America, it has almost become
27
INÉS DUSSEL
commonplace to quote bits and pieces of Discipline and punish to denounce the fact that schools
discipline (in the sense of repress) children (Foucault, 1995).
To become such a widely recognized author has not been without consequences. It could
be said that the discomfort originally caused by Foucault’s work has, more times than
would be desirable, been domesticated and turned into a comfortable reading position (as was
observed by McLeod, 2001). This chapter intends to argue against this taming of Foucault’s
work into a “safe knowledge strategy” and its conversion into a conceptual apparatus that already
knows what it is going to find. Maybe it is about time to ask if the once-discomforting
Foucaultian interventions can still be sharp and poignant, and if the knowledge they produce
is useful for “cutting” our current ways of understanding education as a social action
(Foucault, 2003b).
In the field of the sociology of education, this kind of domestication has led to Foucault’s
work being read as somewhat flat sociological descriptions. Let’s take, for example, the book
that has become part of the “vulgata” of educational sociology. Castro (2004b), author of an
impressive book on Foucault’s vocabulary, defies such a reading: “Discipline and Punish is not
a book on sociology: it does not describe a society but an ideal.” Something similar was asserted
by Foucault in an interview conducted shortly after the publication of the book: “If I had wanted
to describe ‘real life’ in the prisons, I indeed wouldn’t have gone to Bentham.” (Foucault, 2003a:
253) He immediately added that to assume that ideals are not part of reality is to hold a very
poor notion of the real, but he certainly did not think that, when writing Surveiller et punir, he
was producing the ultimate work on the sociology, or even the history, of the prison or of
schooling.
This reading of Foucault’s complex and multilayered work as plain sociological descriptions
is one of the reasons why his inclusion within the field of the sociology of education remains
problematic. Also, his texts refuse to comply with the classical rules of sociological work that
prescribe detachment and neutrality, and renounce the possibility of finding “social” (namely,
pre-discursive) truths and causes in a “real world” that is supposed to exist outside discursive
practices (an assumption shared by critical sociological traditions).
On the other hand, many of his gestures have been welcomed by those seeking to renew
sociological practices, especially when he looked for regularities and patterns of social discourses
that simultaneously accounted for singularities, when he sought to problematize and historicize
what we conceive of as “the social,” and when he rejected prescriptive and judicial positions
about social events. He intended to “address ‘practices’ as a domain of analysis, approach the
study from the angle of ‘what was done’” (Foucault, 2003c: 4). Foucault’s value for sociologists
might well be the opposite of the flat descriptions we are currently offered: his work enables
us to open up what we think the social is, and to interrogate the totalizing discourses of the
social sciences.
Taking as its point of departure this problematic relationship between Foucault’s work and
the sociology of education, this chapter proposes an overall discussion of his texts around three
concepts that can help unfold this tension in different directions. Those three concepts are power,
body, and critique. In this piece, there is no intention to exhaust a far-too-vast oeuvre, not only
because of its magnitude but also because it would be impossible to account for all the exegesis
and critiques that have been raised about these main concepts. Another important point for
this International Handbook is that the reading of Foucault is tied to national traditions and
problematics, in many more ways than could be accounted for in these pages. Variations in the
role of the state, of scientific discourses, and even the traditions of teaching produce disparate
readings of Foucault that would need a closer scrutiny.5 More humbly, the chapter aims at
28
FOUCAULT AND EDUCATION
producing a few troubling effects on what we think we already know about Foucault and its
value for a sociology of education, and will do so using less well-known texts that, hopefully,
might still tell us something poignant about these highly navigated topics.
Power
Power has been a major theme in Foucault’s work. Following Edgardo Castro’s annotated
vocabulary (2004a), “power” appears 7,276 times throughout all his French texts, while
“knowledge” appears 4,025 times, and “body,” 3,554. However, power is an elusive concept
for the French philosopher. He stated that it should not be considered a substance but a relation;
that it is microphysical and multiform, and operates in multiple games that have their own
historicity (Foucault, 1983). There is no single power that can be located at a given place; it
is some sort of an analytic grid or logbook that helps us understand how subjects relate to each
other and how institutions are organized. It is a relationship that can be exercised from outside
inside and from inside outside (Foucault, 1983). Power is not a zero-sum game: we all have
some kind of power, not necessarily comparable to others. Another basic trait is that power is
repressive as much as it is productive; power obliges, but also incites, mobilizes. It is embodied
and enacted in our bodies and in our discourses:
Governing people . . . is not a way to force people to do what the governor wants; it is
always a versatile equilibrium, with complementarity and conflicts between techniques
which impose coercion and processes through which the self is constructed or modified
by himself.
(Foucault, 1997b: 182)
At some point, Foucault (1997a: 51) provides a definition of power as “a whole series of
particular mechanisms, definable and defined, which seem likely to induce behaviors or
discourses.” This capacity to “conduct the conduct,” to influence others, is as marvelous as it
is dangerous, and produces effects that have to be closely monitored. Foucault says, in a suggestive
essay on the value of rebellion, that,
The power that one man exercises over another is always perilous. I am not saying that
power is evil by nature; I am saying that, owing to its mechanisms, power is infinite
(which does not mean to say that it is all powerful; quite to the contrary).
(Foucault, 1999: 134)
In this essay, he asserts that a proof that power is not totally oppressive is that there are human
beings who revolt. And these revolts are the ones that allow history to become such, and not
a determinist evolution. Foucault pictured those revolts as the anonymous rebellions of
“abnormals,” of outcasts, of those in the margins, but precisely because of that, the most heroic
kinds of revolt. He considered that one should always have
to be respectful when something singular arises, to be intransigent when power offends
against the universal . . . It is always necessary to watch out for something, a little beneath
history, that breaks it, that agitates it; it is necessary to look, a little behind politics, for
that which ought to limit it, unconditionally.
(Foucault, 1999: 134)
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INÉS DUSSEL
A little beneath history and a little behind politics: Foucault urges us to look in other places,
and these other places are not defined loci (margins or centers) but are continuously redefined
in terms of the game. The sociology of education, informed by a Foucaultian framework, should
be thought of as a mobile and historical cartography, and not as a static picturing of an already
defined topography.
How do these ideas resonate in the sociology of education? I would like to focus on the
critique of teaching as an oppressive social power, an important part of the Foucault “vulgata”
already mentioned. George Steiner, usually not very passionate about Foucault’s thought,
appraises the philosopher’s contribution to thinking about pedagogical relationships, and
especially about the figure of the Teacher.
No matter how simplified it has become, Foucault’s point of view is still relevant.
Teaching could be considered as an exercise, open or hidden, of power relations. The
Teacher has a psychological, social, and physical power. S/he can reward and punish,
exclude and rise. Her authority is institutional, charismatic or both at the same time. She
is helped by the promise or the threat.
(Steiner, 2003: 13)
Steiner affirms unapologetically that Teachers (with a capital T) have a power that should
be operated for good reasons. Yet similar statements about teachers always exercising some sort
of power over their students, that exams are disciplinary institutions, and that authority always
carries with it a risk have led some educators to incline themselves to a sort of pedagogical
abstention, or to become wary of any type of education that has been equaled to imposition
and authoritarianism.
Foucault’s references on teaching reject this abstentionism and point to the need to
understand, historically and sociologically, the discourses that have shaped teaching as a position
of power.6 In one of his last texts, he said that authority is not condemned to be useless or
authoritarian:
[the pedagogical institution] has often been rightly criticized . . . [Yet] I see nothing wrong
in the practice of a person who, knowing more than others in a specific game of truth,
tells those others what to do, teaches them and transmits knowledge and techniques to
them. The problem in such practices where power—which is not in itself a bad thing—
must inevitably come into play is knowing how to avoid the kind of domination effects
where a kid is subjected to the arbitrary and unnecessary authority of a teacher, or a student
put under the thumb of a professor who abuses his authority. I believe that this problem
must be framed in terms of rules of law, rational techniques of government and ethos,
practices of the self and of freedom.
(Foucault 1996b: 447)
In this text, Foucault invites the reader to think about education as a social and historical practice
that involves power relations but that can be none the less a training exercise in the paradoxes
of freedom, and that seeks to expand its limits through new experiences. Sociology, then, is
not reduced to what the social actually is, but includes how it turned to be that way, and also
what it can be if different ways of thinking are introduced.
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FOUCAULT AND EDUCATION
Body
The second concept that will be reviewed is the body. Foucault insists repeatedly, clearly in
Discipline and punish but in many other texts as well, that power is exercised first and foremost
on bodies, and that is precisely the source of its materiality. The body is the surface on which
this game is played, on which power is produced and repressed. The body is the surface upon
which the law is written, patterns of normality are shaped, and relations of subjection and
obedience are founded (Nievas, 1998).
As with power, Foucault conceives of bodies, not as mere substances (although their
materiality is never questioned), but as the effects of discourses of power that have their own
historicity. His many writings on the topic intend to open up sociological and historical
perspectives on the body, yet this movement does not reduce the body to being the effect of
a transcendental and already determined context. For example, in Discipline and punish, he goes
from the inside to the outside: from the discourses on disciplining bodies to the more general
regularities for organizing space and time, individuals, or power grids. It is not because of a
given context that the body is produced in particular ways, but it is through understanding the
minutiae of everyday monastic rules or apprenticeship regulations that one can learn something
about a given epoch.
Following Foucault, Brazilian historian Denise Bernuzzi Sant’Anna wrote that the body is
a polysemic text in which biology, psychological expressions, cultural anxieties and phantoms,
and history get mingled. The body is
a mutant memory of the laws and codes of each culture, a register for the solutions and
for the technological and scientific constraints of each time . . . The body has not ceased
to be fabricated throughout time.
(Bernuzzi de Sant’Anna, 1995: 12)
This idea of fabrication clearly speaks about social and educational processes. One of the great
merits of Foucault’s work has been to reframe the history and present of pedagogy as the history
and present of an intervention on bodies. In the twentieth century, pedagogy and education
were dominated by rational pedagogies, with echoes from Calvinist pedagogies—even in
Catholic countries such as France or Spain—that conceived bodies as the site of sinful
inclinations or, in the modern scientific version, pathologies and illnesses.
Foucault’s work has rendered visible the phenomenal concern about bodies in educational
institutions. As British sociologist Philip Corrigan (1988) said, one usually forgets what schools
made “with, to, and for my body.” Schools sought to produce a total transformation of students’
bodily behavior, through rules and regulations that prescribed social performances, appearances,
and moral scales and that established “normal” patterns as well as deviations. Notions of decency
and decorum, cleanliness and filthiness were tied into political, economic, and moral categories,
and constructed power relations that had pervasive effects (cf. Vigarello, 1988). This construction
persisted for many decades. In her reflections on bodies and schools, a contemporary Brazilian
educator, Guacira Lopes Louro (1999), recalls the struggle with the educational authorities over
the regulation of attire, particularly over the donning of uniforms, which apparently expropiated
the students of their bodies and turned them into an indivisible part of the school community.
These struggles condensed issues of authority and knowledge in schools that were far from
marginal to their educational aims.
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INÉS DUSSEL
Against this mode of subjectivation through rigid patterns, pedagogies of sexual freedom or
the “express yourself ” type flourished in the 1960s and 1970s (Vigarello, 1978). Foucault’s work
is very helpful also to counterbalance the influence of a certain naïf-romanticism on the natural
qualities of bodies. Peter Cryle (2000), in an insightful essay on “The Kama Sutra as curriculum,”
provides good arguments to discuss the idea that the natural and the spontaneous are outside
discourse, and that any teaching of bodily behaviors goes against the authenticity and freedom
of one’s own. Cryle points to the different modes of relationship to the body that are present
in the Kama Sutra, whose sequence of exercises could even be conceived as a curriculum for
erotic pleasure. Desire and pleasure, then, are never outside discourse; they are social practices
that have been shaped by discourses that have their own historicity.
A sociological reading of Foucault’s thought about bodies in schools could also point to the
new discourses that are being stated on contemporary bodies. Studies on aesthetic patterns,
diets, surgeries and medical treatments—including the increasing pharmacopedia which
children’s psychology is turning into—fashion, style, tattoing, piercings, are all important to
understand how bodies are inscribed in and by power, and also where disruptions and revolts
emerge.
Critique
The third point of this overview of Foucault’s work and its value for the sociology of education
will deal with the notion of “critique.” Foucault was an acid critic of intellectuals’ pretentious
claims of detachment and objectivity. According to his view, all the building of modern social
science had served for producing discourses of truth on human beings, knowledge, and society
that had resulted in subjections and domestications. He was especially critical of leftist intellectuals
who, in the name of socialism and revolution, never abandoned their claims to dictate what is
good, just, and true for the rest of their human fellows, and were never self-critical about their
complicity with institutional powers, be it the Party, the University or the State. He also attacked
the idea of revolution, as he disbelieved in the synchrony of ruptures: there is no such limit as
a revolution, but a series of transformations, and these transformations are not held together
necessarily by any unifying principle or meaning (Castro, 2004a).
However distant he felt himself from the figure of the “critical intellectual,” Foucault never
gave up the role of critique and established, at least in some of his writings, a clear affiliation
with what is usually known as the “progressive tradition” in social theory, particularly with
Marxism and the Frankfurt School, although always escaping any re-introduction of the
sovereign subject. In an entry on his own name that he prepared for a Dictionnaire des philosophes
in the early 1980s, Foucault defined himself as heir to the critical tradition of Kant and decided
to call his intellectual project “a critical history of thought” (in Rabinow and Rose, 2003: 1).
In this respect, there are clear links between his project and the sociology of school knowledge
and of educational discourses.
But there are other echoes of his view of “critique” that could point to different links and
directions. In a conference delivered at the French Society for Philosophy in 1978, Foucault
dealt with the notion of “critique” in a more consistent way. To the question of “what is
critique?” he answered that it is an action, an instrument that “oversees a domain it would
want to police and is unable to regulate” (Foucault, 1997a: 25). Rooted in the legacy of
Enlightenment and in an attitude that has both come along with, and gone against, the political
objectives of governing subjects, the art of critique has sought to be an act of defiance, of
32
FOUCAULT AND EDUCATION
opposition; a way of changing the government, of seeking a form of escaping it or displacing
it. Critique is
A kind of cultural form, both a political and moral attitude, a way of thinking, etc. and
which I would very simply call the art of not being governed or better, the art of not
being governed like that and at that cost. I would therefore propose, as a very first
definition of critique, this general characterization: the art of not being governed quite
so much.
(Foucault, 1997a: 29)
The locus of critique is not a neutral or safe space. There is no place that can be preserved
from power/knowledge strategies, and, in these games, we are all participants, we all take sides
and are complicit to one or another power play.
Also, the subject who criticizes and intervenes, the subject of politics, is not a sovereign
subject that could be defined a priori. Once again, Foucault was a master of discontinuous
thought and of a politics that continually has to recreate itself. In an interview performed around
politics and problematization, he discussed his own participation in collective movements:
“we” must not be previous to the question; it can only be the result—and the necessarily
temporary result—of the question as it is posed in the new terms in which one formulates
it . . . For example, I’m not sure that at the time when I wrote the history of madness,
there was a preexisting and receptive “we” . . . Laing, Cooper, Basaglia7 and I had no
community, nor any relationship; but the problem posed itself to those who had read
us, as it also posed itself to some of us, of seeing if it were possible to establish a “we”
on the basis of the work that had been done, a “we” that would also be likely to form
a community of action.
(Foucault, 2003d: 21)
There is not a sovereign subject of revolt, nor is there one of critique, but communities of
action. This comment also points to the fact that, as feminist and post-colonial critics have
emphasized some years later building upon some of Foucault’s insights,8 critique is always a
situated action that is to be localized in specific conditions and be engaged as a passionate activity,
slanted and biased, that seeks to point out what the cost is of being governed in those ways,
but also seeks to imagine which other forms would be possible so that we can reduce injustice
and enlarge our margins of freedom.
To think around a situated critique implies a different relationship to temporality. In another
interview conducted in 1978, Foucault manifested:
one of the most destructive habits of modern thought . . . is that the moment of the
present is considered in history as the break, the climax, the fulfillment, the return of the
youth, etc. . . . One must probably find the humility to admit that the time of one’s own
life is not the one-time, basic, revolutionary moment of history, from which everything begins and is completed. At the same time, humility is needed to say without
solemnity that the present time is rather exciting and demands an analysis. We must ask
ourselves the question, What is today? In relation to the Kantian question, “What is
Enlightenment?” one can say that it is the task of philosophy to explain what today
is and what we are today, but without breast-beating drama and theatricality and
33
INÉS DUSSEL
maintaining that this moment is the greatest damnation or daybreak of the rising sun.
No, it is a day like every other, or much more, a day which is never like another.
(Foucault, 1996a: 359)
Today is a day unlike any other day. One cannot sleep over one’s own certainties, nor
perform critical acts that repeat themselves and say nothing new. There is no definite or just
solution to all social problems, but the important thing is that the question (of madness, of
imprisonment, of power) remains open for a new strategy to emerge (Potte-Bonneville, 2007:
260). A just appraisal of Foucault within the sociology of education would be one that does
not turn his work into a comfortable position, but one that keeps its vitality and poignancy.
To think about schools and power after Foucault should imply daring to see what of his “art
of impugnation” is helpful to think about this present, to grasp what it tells about ourselves as
subjects of knowledge and as bodies, but also to see what discomforts us enough to build new
communities of action in order to think and act differently about schools, knowledge, and power.
Notes
1
2
3
4
5
6
7
8
34
See, especially, “What is an author?” (Foucault, 1977). He was particularly wary of the kind of
analysis that searches for a unifying principle within a certain oeuvre and that explains that principle
in terms of the author’s persona.
I have followed Bert (2004), who provides a thorough bibliography of Foucault.
Of course, Foucault’s inscription in the field of critical pedagogy has not gone unchallenged. He
has been labeled as a “young conservative” (Habermas, as quoted by Fraser, 1996), and it has been
said that his work is characterized by an “absence of historicity, of individual agency, and of politics,
in short” (Schrag, 1999). But also his work has been turned into a critical intervention against many
of the assumptions stated by critical theories (see, for example, Popkewitz and Brennan, 1998;
Tamboukou and Ball, 2003; Baker and Heyining, 2004). While it is important to understand these
dissents and nuances, and this chapter clearly sides with the second type of intervention and not
with the first type of reading, that path will not be pursued in these pages.
Among the earlier works can be noted Anne Querrien´s thought-provoking genealogy of elementary
schooling, which was oriented by Foucault himself (Querrien, 1976), and Georges Vigarello’s erudite
history of the corrections (dressage) of the body as the genealogy of a pedagogical power, ranging
from the sixteenth- to the twentieth centuries (Vigarello, 1978). Valerie Walkerdine (1988) used
Foucault’s critique of liberal rationality to put into question the primacy of educational psychologies
to explain the acts of knowing. More recent scholarship includes Baker and Heyning (2004), Jardine
(2005), Olssen (2006, first edition in 1999), and Peters and Besley (2007).
It should be noted that the bibliography on Foucault/education is enormous and exceeds the
few Anglo, Spanish, and French references I will be providing. Some other works are cited in the
chapter, but I acknowledge that my selection is not fair to the numerous efforts made by many
scholars to bring Foucault’s work closer to the educational field. Apologies to all of them.
I thank Tom Popkewitz for pointing this out to me.
Popkewitz (1998) and McWilliam (1999) provide insightful Foucauldian readings of teaching.
All members of the anti-institutionalization movement in psychiatry in the 1960s.
This relationship has not been without tensions. Ann P. Stoler (1995) provides a good discussion
on Foucault’s silence on imperialism and colonialism. Spivak (2008) uses Foucault wisely to
interrogate contemporary spectacles of punishment but also Middle East projects of modernization
and westernization. Fraser (1996) and the collection in which it is included are but a few of the
many examples that could be provided about these tensions.
FOUCAULT AND EDUCATION
References
Ball, S.J. (1990) Foucault and education. Disciplines and knowledge, London: Routledge.
Baker, B. and Heyning, K. (2004) Dangerous coagulations. The uses of Foucault in the study of education, New
York and Bern: Peter Lang Publishing.
Bernuzzi de Sant’Anna, D. (1995) “Apresentaçao,” in Políticas do corpo. Elementos para uma história das práticas
corporais, São Paulo: Estaçao Liberdade.
Bert, J.-F. (2004) “Bibliographie générale,” Le Portique 13–14 “Foucault: usages et actualités.” Available
online at http://leportique.revues.org/document643.html (accessed 6 January 2009).
Castro, E. (2004a) El vocabulario de Michel Foucault. Un recorrido alfabético por sus temas, conceptos y autores,
Buenos Aires: Prometeo 3010/Universidad Nacional de Quilmes.
–––– (2004b) “Descifrando a Foucault. Entrevista con Ivana Costa,” Diario Clarin 19 June 2004.
Available online at www.clarin.com/suplementos/cultura/2004/06/19/u-779060.htm (accessed
4 January 2009).
Corrigan, P. (1988) “The making of the boy: meditations on what grammar school did with, to, and for
my body,” Journal of Education 170(3).
Cryle, P. (2000) “The Kama Sutra as curriculum,” in C. O’Farrel, D. Meadmore, E. McWilliam and
C. Symes (eds) Taught bodies, New York and Bern: Peter Lang Publishing, pp. 17–26.
Foucault, M. (1977) “What is an author? (trans. Joshua Harari),” in D. Bouchard (ed.) Language,
knowledge, counter-memory: selected essays and interviews, Ithaca, NY: Cornell University Press.
–––– (1983) “The subject and power,” in P. Rabinow and H. Dreyfus (eds) Michel Foucault: beyond
structuralism and hermeneutics, Chicago, IL: Chicago University Press.
–––– (1995) Discipline and punish. The birth of the prison, New York: Vintage Books.
–––– (1996a) “How much does it cost for reason to tell the truth,” in S. Lotringer (ed.) Foucault live.
Collected interviews, 1961–1984, New York: Semiotext(e), pp. 348–362.
–––– (1996b) “The ethics of the concern for self as a practice of freedom (interview with Raul FornetBetancourt, Helmut Becker, and Alfredo Gomez-Muller),” in S. Lotringer (ed.) Foucault live. Collected
interviews, 1961–1984, New York: Semiotext(e), pp. 432–449.
–––– (1997a) “What is critique?,” in The politics of truth, New York: Semiotext(e).
–––– (1997b) “Subjectivity and truth,” in The politics of truth, New York: Semiotext(e).
–––– (1999) “Is it useless to revolt?,” in Religion and culture. Michel Foucault, New York: Routledge.
–––– (2003a) “Questions of method,” in P. Rabinow and N. Rose (eds) The essential Foucault. Selections
from the essential works of Foucault, 1954–1984, New York: The New Press, pp. 246–258.
–––– (2003b) “Nietzsche, genealogy, history,” in P. Rabinow and N. Rose (eds) The essential Foucault.
Selections from the essential works of Foucault, 1954–1984, New York: The New Press, pp. 351–369.
–––– (2003c) “Michel Foucault. Maurice Florence,” in P. Rabinow and N. Rose (eds) The essential
Foucault. Selections from the essential works of Foucault, 1954–1984, New York: The New Press,
pp. 1–5.
–––– (2003d) “Polemics, politics, and problematizations: an interview with Michel Foucault,” in
P. Rabinow and N. Rose (eds) The essential Foucault. Selections from the essential works of Foucault,
1954–1984, New York: The New Press, pp. 18–24.
Fraser, N. (1996) “Michel Foucault: A ‘Young Conservative’?” in S. Hekman (ed.) Feminist interpretations
of Michel Foucault, University Park, PA: Penn State University Press, pp. 15–38.
Jardine, G. (2005) Foucault and education, New York: Peter Lang.
Lopes Louro, G. (ed.) (1999) O corpo educado. Pedagogias da sexualidade, Belo Horizonte: Autentica.
McLeod, J. (2001) “Foucault forever,” Discourse: studies in the cultural politics of education, 22(1): 95–104.
McWilliam, E. (1999) Pedagogical pleasures, New York and Bern: Peter Lang Publishing.
Nievas, F. (1998) El control social de los cuerpos, Buenos Aires: Eudeba.
Olssen, M. (2006) Michel Foucault: materialism and education, Boulder, CO: Paradigm Publishers.
Peters, M. and Besley, T. (2007) Subjectivity and truth: Foucault, education, and the culture of self, New York:
Peter Lang.
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Popkewitz, T.S. (1991) A political sociology of educational reform. Power/knowledge in teaching, teacher education,
and research, New York: Teachers’ College Press.
–––– (1998) Struggling for the soul: the politics of education and the construction of the teacher,
New York: Teachers’ College Press.
–––– and M. Brennan (eds) (1998) Foucault’s challenge. Discourse, knowledge, and power in education, New
York: Teachers’ College Press.
Potte-Bonneville, M. (2007) Michel Foucault, la inquietud de la historia (trans. Hilda García), Buenos Aires:
Manantial.
Querrien, A. (1976) L’Ensaignement. Travaux élementaires sur l’école primaire, Fontenay-sous-Bois:
Recherches.
Rabinow, P. and Rose, N. (2003) “Introduction. Foucault today,” in The essential Foucault. Selections from
the essential works of Foucault, 1954–1984, New York: The New Press.
Schrag, F. (1999) “Why Foucault now?,” Journal of Curriculum Studies, Op-Ed paper. Available at
http://faculty.ed.uiuc.edu/westbury/JCS/Vol31/Schrag.html.
Spivak, G. (2008) “1996: Foucault and Najibullah’,” in Other Asias, Malden, MA: Blackwell Publishing.
Steiner, G. (2003) Lecciones de maestros, Madrid: Siruela.
Stoler, A. (1995) Race and the education of desire. Foucault’s history of sexuality and the colonial order of things,
Durham, NC, and London: Duke University Press.
Tamboukou, M. and Ball, S.J. (eds) (2003) Dangerous encounters, New York: Peter Lang.
Vigarello, G. (1978) Le corps redressé. Histoire d’un pouvoir pédagogique, Paris: J.P. Delarge.
–––– (1988) Concepts of cleanliness. Changing attitudes in France since the Middle Ages, Cambridge/Paris:
Cambridge University Press/Maison des Sciences de l’Homme.
Walkerdine, V. (1988) The mastery of reason. Cognitive development and the production of rationality, London
and New York: Routledge.
36
3
Education and critical race theory
David Gillborn and Gloria Ladson-Billings
Introduction
CRT’s usefulness will be limited not by the weakness of its constructs but by the degree
that many whites will not accept its assumptions; I anticipate critique from both left
and right.
(Taylor, 1998: 124)
One of us recently gave a keynote lecture that formed the centerpiece for a conference dedicated
to new approaches to understanding race/racism1 in education. The address focused on Critical
Race Theory (CRT), a relatively new approach pioneered by scholars of color in US law schools
in the 1970s and 1980s, which has grown quickly since its introduction into US educational
studies in the mid 1990s (Ladson-Billings and Tate, 1995) and is now an increasingly popular
approach that is building an international profile (see Hylton, 2008; Lynn and Parker, 2006;
Taylor et al., 2009). At the end of the lecture the chairperson invited questions, and a White
professor, sitting on the front row, raised his hand. Once invited to speak, the man stood, turned
his back on the chair and speaker, and addressed the audience for several minutes on the “danger”
posed by CRT. It was, he explained, a retrograde step in the search for educational equity
because it gave primacy to race and diverted attention from the “real” issue, which, he informed
us, was social class inequality as diagnosed by his chosen version of Marxism. After a spirited
exchange and several other questions, the session came to a close and, as the audience began
to filter out, a Black woman practitioner approached the podium to ask the lecturer a question,
explaining that she didn’t like to ask it in front of the whole audience. Before she could pose
the question, however, the White professor strode to the lectern and physically positioned
himself between the questioner and the lecturer, keen to explain more about his view of the
current state of social theory. The incident reminds us of similar episodes reported by Trina
Grillo and Stephanie Wildman, who describe some of the “guerilla tactics” used by Whites to
“steal back the center” (1991). By arguing that race/racism be placed at the forefront of social
critique, CRT challenges the assumed right of White people to see their perspectives and their
interests placed center stage, and, hence, CRT has not been universally welcomed as an addition
to critical theory in education.
37
DAVID GILLBORN AND GLORIA LADSON-BILLINGS
Despite its detractors, CRT has rapidly established itself as one of the most important strands
in contemporary educational theory. It has done this partly by focusing on the vital link between
social theory and social activism, as David Omotoso Stovall (2006: 257) notes:
Arguing across conference tables is useless. For those of us who are concerned with the
social justice project in education, our work will be done on the frontline with
communities committed to change . . . neither race nor class exists as static phenomena.
Stovall is one of the leading writers in the new wave of critical race scholars who are taking
forward CRT as both an academic discipline and a practice of resistance—praxis. The approach
continues one of the basic assumptions of the foundational work in CRT, that is, that theory
provides a set of tools to be applied and ideas to be used and refined. In this sense, social theory
is always work in progress. But this does not mean that CRT is any less serious about the
importance of theory—quite the contrary. From its very first iteration, critical race scholars
have staked a claim to the conceptual importance of their work. The foundational critical race
theorist, Kimberlé Williams Crenshaw, for example, recalls how she and colleagues identified
a form of words that could be used to describe (and provide a rallying point for) the new ideas
they were developing as they began to organize what was to become the first ever CRT
workshop (held at the University of Wisconsin, Madison, in July 1989):
Turning this question over, I began to scribble down words associated with our objectives,
identities, and perspectives, drawing arrows and boxes around them to capture various
aspects of who “we” were and what we were doing . . . we settled on what seemed to be
the most telling marker for this peculiar subject. We would signify the specific political and
intellectual location of the project through “critical,” the substantive focus through “race,”
and the desire to develop a coherent account of race and law through the term “theory.”
(Crenshaw, 2002: 1360–1361)
This practical and strategic orientation reflects a perspective that Derrick Bell terms “racial
realism”: an approach that foregrounds an understanding of how the world really operates, rather
than fetishizing some idealized notion that bears little resemblance to the lives and experiences
of oppressed people (Bell, 1992). The real-world focus of CRT should not be seen as in any
way lessening its claim to be taken seriously as a major innovation in social theory. As Crenshaw
notes, from the very start CRT has encountered a patronizing attitude from academics who
find its focus on race/racism distasteful and/or threatening. The foundational critical race scholars
refused to be intimidated by such attacks:
. . . interference dovetailed with criticisms that were beginning to emerge from Stanford
quarters in the form of a counter-critique to our earlier work, characterizing it as
essentialist. Whether intended or not, in that critique some of us heard a crude
characterization of our work as theoretically unsophisticated and politically backward.
(Crenshaw, 2002: 1357)
The roots of critical race theory
In many ways, CRT has its roots in the radical diasporic writings and resistances of previous
centuries, including actions by enslaved African peoples (see Baszile, 2008; Bell 2004; Du Bois
38
EDUCATION AND CRITICAL RACE THEORY
1975, 1990; Mills, 1997, 2003). Contemporary CRT is a direct outgrowth from debates within
US legal scholarship in the mid 1970s and 1980s. It began as a radical alternative to dominant
perspectives, both the conservative “mainstream” and the ostensibly radical tradition of critical
legal studies (CLS), which—in practice—treated race as a peripheral issue and foregrounded a
concern with economic disadvantage (see Bell, 2005; Crenshaw, 2002; Crenshaw et al., 1995;
Delgado and Stefancic, 2001; West, 1995).
Key foundational CRT scholars include Derrick Bell, Kimberlé Williams Crenshaw, Richard
Delgado, Lani Guinier, Mari Matsuda, and Patricia Williams. Gloria Ladson-Billings and William
Tate (1995) first introduced CRT into education in the mid 1990s, and since then a growing
number of educators have begun working with these ideas (see Dixson and Rousseau, 2006;
Lynn and Adams, 2002; Parker, 1998; Solórzano, 1997; Stovall, 2006; Yosso, 2006; Yosso et
al., 2004). CRT now spans numerous disciplines, and the work often crosses epistemological
boundaries (see Tate, 1997) and is also building an international presence, including work in
the UK (Gillborn, 2005, 2008a; Hylton, 2008) and Australia (McDonald, 2003; MoretonRobinson, 2004).
The tenets of critical race theory
From its earliest formulations, CRT has generally been united by a dual concern to understand
and oppose race inequality. In an influential statement of the approach, Crenshaw and colleagues
state:
Although Critical Race scholarship differs in object, argument, accent, and emphasis, it
is nevertheless unified by two common interests. The first is to understand how a regime
of white supremacy and its subordination of people of color have been created and
maintained . . . The second is a desire not merely to understand the vexed bond between
law and racial power but to change it.
(Crenshaw et al., 1995: xiii)
Within CRT, the term “White supremacy” is used in a particular way that differs from its
usual understanding in mainstream writing: whereas the term commonly refers to individuals
and groups who engage in the crudest, most obvious acts of race hatred (such as extreme
nationalists and Neo-Nazis), in CRT the more important, hidden, and pervasive form of White
supremacy lies in the operation of forces that saturate the everyday mundane actions and policies
that shape the world in the interests of White people:
[By] “white supremacy” I do not mean to allude only to the self-conscious racism of
white supremacist hate groups. I refer instead to a political, economic, and cultural system
in which whites overwhelmingly control power and material resources, conscious and
unconscious ideas of white superiority and entitlement are widespread, and relations of
white dominance and non-white subordination are daily reenacted across a broad array
of institutions and social settings.
(Ansley, 1997: 592)
Many critical race scholars view White supremacy, understood in this way, as central to CRT
in the same way that the notion of capitalism is to Marxist theory and patriarchy to feminism
39
DAVID GILLBORN AND GLORIA LADSON-BILLINGS
(Stovall, 2006). This perspective on the nature and extent of contemporary racism is one of
the key defining elements of CRT.
The centrality of racism
CRT begins with a number of basic insights. One is that racism is normal, not aberrant,
in American society. Because racism is an ingrained feature of our landscape, it looks
ordinary and natural to persons in the culture.
(Delgado and Stefancic, 2000: xvi)
CRT views racism as more than just the most obvious and crude acts of race hatred; it focuses
on the subtle and hidden processes that have the effect of discriminating, regardless of their stated
intent. In the political mainstream, “racism” tends to be associated with acts of conscious and
deliberate race hatred; discrimination is assumed to be an abnormal and relatively unusual facet
of the education system. In contrast, CRT suggests that racism operates much more widely,
often through the routine, mundane activities and assumptions that are unquestioned by most
practitioners and policymakers, e.g. through the design of the curriculum, the operation of certain
forms of assessment, and the selection and training of teachers who overwhelmingly replicate
dominant cultural norms and assumptions about race and racial inequality (Ladson-Billings, 2004).
Critical race theorists do not view racism as a simple or unchanging aspect of society. CRT
challenges ahistoricism by stressing the need to understand racism within its social, economic
and historical context (Matsuda et al., 1993: 6). The notion of “differential racialization” refers
to the constantly changing and malleable nature of racist stereotypes. For example, a group
once seen as conservative and conformist might be redefined as competitive and threatening
at another time, e.g. Japanese workers in the US and “Asian” groups in the UK during the
twentieth century.
The focus on racism in CRT does not operate to the exclusion of other forms of social
inequality. Indeed, a key aspect of CRT is a concern with “intersectionality,” that is, an attempt
to analyze how racism operates within and across other axes of differentiation such as social
class and gender (Crenshaw, 1995; Gillborn and Youdell, 2009; Tate, 1997).
A critique of liberalism
CRT portrays dominant legal claims of neutrality, objectivity, color-blindness, and
meritocracy as camouflages for the self-interest of powerful entities of society.
(Tate, 1997: 235)
Another distinctive theme is CRT’s critique of liberalism. In the education system, for example,
racism is figured in the distribution of material and educational resources and even in teachers’
notions of “ability” and motivation (Gillborn, 2008a). In this situation, the adoption of colorblind approaches (which refuse to acknowledge racial reality) and an emphasis on supposed
“merit” (as measured by dominant assessments) may appear open and equitable, but the playing
field is not level. Minoritized students are more likely to attend poorly funded schools with
less highly qualified teachers and, because of socio-economic inequalities, they are less likely
to enjoy additional educational resources at home (Ladson-Billings, 2006a). Under such
unequal conditions, a color-blind insistence on a single “merit” standard will not only ensure
that race inequalities continue but also present them as fair and just.
40
EDUCATION AND CRITICAL RACE THEORY
The call to context (experiential knowledge and storytelling)
CRT places a special importance on the experiential knowledge of people of color. There is
not an assumption that minoritized groups have a singular or “true” reading of reality, rather
there is recognition that, by experiencing racial domination, such groups perceive the system
differently and are often uniquely placed to understand its workings.2 Richard Delgado (1989)
is one of the leading advocates of the need to “name one’s own reality.” Inspired by the
scholarship of Derrick Bell and the centuries old traditions of storytelling in minoritized
communities, Delgado argues forcefully for the use of narrative and counter-storytelling as a
means of presenting a different reading of the world, one that questions taken-for-granted
assumptions and destabilizes the framework that currently sustains, and masks, racial injustice.
This approach makes CRT an easy target for those who are willing to oversimplify and seize
the opportunity to accuse the approach of merely inventing its data, but such criticisms
misunderstand the nature of counter-storytelling and ignore the fact that most CRT “chronicles”
are tightly footnoted, so that detailed evidence is marshalled to back up each substantive part
of the argument:
CRT scholars are not making up stories—they are constructing narratives out of the
historical, socio-cultural and political realities of their lives and those of people of color.
(Ladson-Billings, 2006b: xi)
A revisionist critique of civil rights progress (the interest
convergence principle)
Detractors have sought to present CRT as disrespectful of civil rights campaigns and their
victories, but this misreads the approach. CRT is not critical of the campaigns or the people
who sacrificed so much to advance race equality (Crenshaw et al., 1995). Rather, CRT examines
the limits to reform via law and policy making, and shows how even apparently radical changes
are reclaimed and often turned back over time. A key element here is the concept of interest
convergence. Put simply, this view argues that advances in race equality come about only when
White elites see the changes as in their own interests. Derrick Bell (2004: 59), who coined the
interest convergence principle, summarizes the idea like this:
Justice for blacks vs. racism = racism.
Racism vs. obvious perceptions of white self-interest = justice for blacks.
It is important to note that interest convergence does not envisage a rational negotiation
between minoritized groups and White power holders, where change is achieved through the
mere force of reason and logic. Rather, history suggests that advances in racial justice must be
won, through protest and mobilization, so that taking action against racism becomes the lesser
of two evils for White interests. For example, the moves to outlaw segregation in the 1960s
are usually thought of as a sign of enlightenment and a landmark civil rights victory. But they
must be understood within the context of the “cold war” and the US’s need to recruit friendly
African states (Dudziak, 1988):
“No such decision would have been possible without the world pressure of communism”
which made it “simply impossible for the United States to continue to lead a ‘Free World’
with race segregation kept legal over a third of its territory.”
(W.E.B. Du Bois, 1968, quoted in Bell, 2004: 67)
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DAVID GILLBORN AND GLORIA LADSON-BILLINGS
The moves to bring about desegregation would not have happened without the civil rights
protests and a wider geo-political context that made continued violent suppression impractical.
Furthermore, the gains themselves have rarely lived up to the politicians’ rhetoric. The obvious
signs of segregation—such as separate toilets and lunch counters—may have gone, but the reality
of ingrained racism continues in economic, residential, and educational terms. It has been argued
that more African Americans now attend segregated schools than they did in 1954 at the time
of the Supreme Court decision in the Brown v. Board of Education case (Delgado and Stefancic,
2001: 33). Richard Delgado and Jean Stefancic (2001: 24) describe the process like this:
after the celebration dies down, the great victory is quietly cut back by narrow
interpretation, administrative obstruction, or delay. In the end, the minority group is left
little better than it was before, if not worse. Its friends, the liberals, believing the problem
has been solved, go on to something else . . . while its adversaries, the conservatives, furious
that the Supreme Court has given way once again to undeserving minorities, step up
their resistance.
Landmark victories may actually come to operate in ways that protect the racist status quo:
these are sometimes known as “contradiction-closing cases,” which operate like a safety valve
to provide a solution when the gap grows too large between, on one hand, the liberal rhetoric
of equal opportunities and, on the other hand, the reality of racism.
[contradiction-closing cases] are a little like the thermostat in your home or office. They
assure that there is just the right amount of racism. Too much would be destabilizing—
the victims would rebel. Too little would forfeit important pecuniary and psychic
advantages for those in power.
(Delgado, 1995: 80)
Landmark cases such as the Brown desegregation case in the US and the Stephen Lawrence
Inquiry in the UK (Macpherson, 1999) appear to have addressed blatant race inequalities, but
in reality little or nothing changes.3 Indeed, such cases are sometimes used as yet another weapon
against further reform because they:
allow business as usual to go on even more smoothly than before, because now we can
point to the exceptional case and say, “See, our system is really fair and just. See what
we just did for minorities or the poor.”
(Delgado, 1999: 445)
Myths and misunderstandings: beyond the stereotypes
of CRT
Like any new perspective, CRT has been subject to a range of responses and critiques. Some
of the engagement has been positive and constructive, pushing critical race scholars to clarify
their arguments and develop further analyses. Other of the responses, however, have sought
to reassert traditional assumptions (in the guise of “scientific rigor”) or dismiss CRT as misguided or simplistic. As we have noted above, CRT offers a view of the world that is
fundamentally at odds with mainstream assumptions, and so it is no surprise that the approach
is often misunderstood. In this section we address three of the most common myths.
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Myth 1: CRT assumes that race is the only thing that matters
Despite its central focus on racism, CRT does not insist that race is always the single most
important factor in every situation. CRT argues that race/racism is always relevant to an
understanding of wider social inequalities, but it is not the only element. Indeed, race inequity
often cannot be fully understood in isolation from other axes of differentiation, such as class
and gender. As Stovall (2006: 252) notes:
Vital to this misinterpretation is the semantics of referencing CRT as a critique solely of
“race.” In no CRT literature is there a claim to the unanimity of race. The critique has
and continues to be one of the functions of White supremacy and the complexities of
race.
Myth 2: CRT sees all White people as a homogeneous mass of
privileged racists
Detractors sometimes argue that, by identifying the underlying forces that legitimate and support
White supremacy, CRT imagines all White people to be the same: in fact the criticism betrays
a one-dimensional reading of CRT. Critical race scholars do not think that White people are
uniformly privileged and racist, nor that all Whites benefit equally from White supremacy. Such
a position is patently ludicrous, especially in view of the fact that foundational CRT writers
have repeatedly noted how interest convergence usually operates to defend White elites at the
expense of lower-class Whites (Bell, 2004). However, CRT does show how even workingclass and poor Whites draw advantage from their Whiteness (Harris, 1993). Whites do not benefit
equally, but they do all benefit from Whiteness to some degree (McIntosh, 1992). For example,
when the attainment of the most economically disadvantaged White students in the UK dipped
marginally below that of their Black peers, the media responded with stories blaming “the race
relations industry” and claiming that neo-Nazi groups would gain an electoral advantage. The
stories failed to mention that White students continued to out-perform virtually every
minoritized group among the 86 per cent of the school population not counted as living in
poverty (Gillborn, 2008b). Hence, even for the White students living in greatest poverty, their
race means that the media perceive a national scandal if their achievement is not greater than
similarly disadvantaged, minoritized peers.
Myth 3: CRT promotes hopelessness and despair by saying that
things can never change
Derrick Bell (1992: ix) recalls an incident when he was challenged at a public reading of his
work:
“Professor Bell, you have achieved much despite racial discrimination. How dare you
now deny our children the hope that they may enjoy a success like yours?”
The author responded that “it was the society and not me” that closes down opportunities for
African Americans; he did not create the situation, he “simply chronicled what society had
done and was likely to do” (Bell, 1992: ix). In fact, far from promoting a sense of hopelessness,
CRT insists on the vital importance of active resistance against racism. Bell argues that a total
43
DAVID GILLBORN AND GLORIA LADSON-BILLINGS
victory over racism may prove elusive but sees a duty to combat injustice (against all oppressed
groups) as a central component of what he calls “a life fulfilled” (Bell, 1992: xi). The history
of racism and education in the UK, for example, clearly demonstrates that all meaningful
advances in race equality have come about as a result of community action (Tomlinson, 2008).
Antiracist activism may never entirely remove racism, but, in the absence of resistance, it is
certain that racist inequity would worsen. As Frederick Douglass observed more than 150 years
ago: “If there is no struggle, there is no progress . . . Power concedes nothing without a demand.
It never did, and it never will” (quoted in Crenshaw, 2002: 1372).
Delgado and Stefancic respond to the accusation that CRT is a theory of despair by asking,
“Is medicine pessimistic because it focuses on diseases and traumas?” (2001: 13). Indeed, Delgado
turns the accusation on its head and identifies the lie at the heart of liberal perspectives that
appear optimistic but disguise the true scale and nature of contemporary racism:
Suppose I am sent to an inner city school to talk to the kids and serve as role model of
the month. I am expected to tell the kids that if they study hard and stay out of trouble,
they can become a law professor like me. That, however, is a very big lie: a whopper.
When I started teaching law sixteen years ago, there were about thirty-five Hispanic law
professors, approximately twenty-five of which were Chicano. Today, the numbers
are only slightly improved . . . Despite this, I am expected to tell forty kids in a crowded,
inner city classroom that if they work hard, they can each be among the chosen
twenty-five.
(Delgado, 1991: 1228, original emphasis)
Continuing debates and unresolved issues
CRT is gaining increasing attention but it is by no means a finished and settled set of approaches.
CRT is a living and changing perspective, not a monolithic structure. There are, for example,
many spin-off movements from traditional CRT, including critical race feminism and
“LatCrit”—a version of CRT that focuses on the particular experiences and struggles of Latina/o
communities (see Delgado and Stefancic, 1998; Dixson and Rouseau, 2006; Solórzano and
Yosso, 2001; Wing, 1997). Although CRT in the US began with work that often focused on
the position of African American communities, it is not the case that CRT adopts (or has ever
supported) a simple racial binary perspective that views the world as divided between Whites
and a unitary racial Other.
There are many important debates within CRT about the best way of conceiving its work
and, in particular, the most effective means of moving things forward through a critical praxis,
i.e. a combination of theoretical analysis and applied practical strategies of resistance (Lynn and
Parker, 2006). Many of these debates raise issues that are relevant to a number of different
perspectives and are by no means unique to CRT. For example, there is discussion about the
level of group-identification/abstraction that is appropriate for different analytic and political
purposes: sometimes it may be best to organize around a collective signifier that includes
numerous minoritized groups, while at other times a more specific identity may be preferred
(national, linguistic, or religious).
There is a continuing concern within CRT to understand the numerous, complex, and
changing ways in which race/racism intersects with other axes of oppression, such as class,
gender, disability, and sexuality. This concern with intersectionality is especially strong in critical
44
EDUCATION AND CRITICAL RACE THEORY
race feminism (Wing, 1997; Youdell, 2006). Indeed, building on Crenshaw’s work, UK scholars
Avtar Brah and Ann Phoenix (2004) argue that intersectionality itself can provide a useful focus
that offers numerous advances on current single-issue thinking. As Crenshaw (1995) argues,
rather than viewing intersectionality as a kind of problem to be solved, the best way ahead may
be to use intersectionality as a key means of understanding how White supremacy operates and
how to mount effective resistance.
Notes
1
2
3
There is no consistent and meaningful biological basis for the group categories that human societies
name “race.” Although it masquerades as natural and fixed, “race” is a socially constructed category
that changes from one society to another and even varies over time within the same society (see
Mason, 2000; Mills, 1997; Omi and Winant, 1993). The social construction of “race” differences
is always associated with raced inequities in some form (Leonardo, 2002); consequently, the notion
of “race” inevitably carries racist consequences, and race/racism become categories that are mutually
dependent and reinforcing.
This echoes Howard Becker’s observation about the importance of “outsider” perspectives to critical
sociological analyses (Becker, 1967).
For a detailed account of the Stephen Lawrence case, showing how apparently huge advances in
equity law have been marginalized and ignored, see Gillborn (2008a: chapter 6).
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47
4
The ethics of national hospitality and
globally mobile researchers1
Johannah Fahey and Jane Kenway
Introduction
In a globalized world, talent is increasingly mobile, and therefore hospitality emerges as an
important concept that can be used to consider the ethics involved when a nation-state welcomes
privileged foreigners as guests. In this chapter, we seek to engage with the politics of foreignness
and the ethics of national hospitality. We use such notions in our discussion of the Singaporean
government’s ‘foreign talent’ (highly skilled foreigners) policy rhetoric as a means to problematize
the relationship between the host nation, its citizens and guests. More specifically, we draw on
Derrida’s ideas about conditional and unconditional hospitality to examine the hospitality ideal
and the ideal figure of the foreigner articulated within such discourse. This inquiry is situated
more broadly in our ongoing political, epistemological, ontological and ethical analysis of both
moving policies on researcher mobility and of mobile researchers themselves (Fahey and
Kenway, 2008; Kenway and Fahey, 2008).
The knowledge economy
The idea of the knowledge economy has come to dominate the policy lexicon of transnational
organizations and governments in many places around the world (Kenway et al., 2006).
Knowledge economies are ‘directly based on the production, distribution and use of knowledge
and information’ (OECD, 1996: 7). Concerns about their economic power and status in the
global knowledge economy have led most nations and regions into an intensifying competition
for highly accomplished ‘knowledge workers’, now often called ‘talent’. The increasing
international mobility of talent has resulted in fears about ‘brain drain’ and about how to harness
the expertise of ‘highly mobile’ talent. Brain drain/gain/mobility policy discourse is concerned
with the implications of such mobility for the nation-state’s or region’s techno-scientific
knowledge and innovation and creative capacity and thus ultimately the implications for its
position in the global economy.
The extent to which a nation-state or region is negatively affected by the global movement
of talent depends largely on its position within global geographies of power and knowledge.
48
ETHICS OF GLOBALLY MOBILE RESEARCHERS
There is a well-documented ‘brain drain’ from many ‘developing to developed’ nations, with
little compensating ‘regain’ in terms of people and knowledge for the so-called ‘sending’ country
(Lowell and Findlay, 2002). However, such nation-states are not the only ones expressing
concern and seeking to attract and retain mobile, highly skilled talent. Many places are assessing
their geopolitical situation and developing strategies both to prevent the loss of talent and to
harness the talents of the globally mobile.
We seek to enhance the debates about the ethics of globally mobile policies on high-skills
mobility and of mobile people themselves. Ethical questions are not usually high on the policy
agenda, except when associated with the drain of highly skilled individuals from developing
countries to developed countries and the disastrous consequences of such asymmetrical mobility
for developing countries. While these debates are crucial and deserve much more attention, it
is also the case that other ethical issues arise with regard to different geopolitical locations and
the place-specific manner in which they participate in this global domain.
We focus here on Singapore and its state-led policy initiative to recruit and retain highly
skilled ‘foreign talent’.2 Given the scope of our interests in this paper, we will talk generally
about debates in Singapore on foreign talent (high-skills knowledge workers) and more
specifically about how such discussions apply to university researchers (who are a significant
sector of the knowledge economy).
Singapore
Singapore is the smallest nation (a city-state) in South East Asia, has no natural resources and
therefore relies on people or ‘human capital’ as a key economic resource. However, owing to
its small population of approximately 4.59 million (Singapore Department of Statistics, 2008),
it has a limited pool of ‘local talent’. Therefore, Singapore’s success in the knowledge economy
is dependent on its being able to recruit talent from elsewhere to develop a globally competitive
work force. In 2006, Singapore’s intake of foreign talent represented 13.4 per cent (about 90,000
people) of Singapore’s total non-resident population (Yeoh, 2007a). In global terms, it is uniquely
positioned as a tiny nation, with a highly competitive economy (the sixth wealthiest country
in the world in terms of GDP per capita), contending with other, much larger nations within
the region, including China, India and Australia. More than this, it is precisely because of
Singapore’s geographical location, as an intersection point between these larger nations, that it
is emerging as a significant knowledge hub within this region.
Now an independent republic, Singapore was once a British colony and, upon achieving
independence from Britain, it became a part of Malaysia (1963–1965) before being expelled
from the federation. The ruling People’s Action Party (PAP) has been in power since Singapore’s
first compulsory elections in 1959, and many commentators have suggested that Singapore is
a procedural rather than a true democracy (Mauzy and Milne, 2002; Mutalib, 2003): ‘the
development of Singapore as a nation-state through government decisions tends to be conflated
with the party’s directives’ (Ho, 2006: 388).
As Singapore relies on the recruitment of foreign talent, there is much emphasis within its
state-initiated policy discourse on the country and its citizens being ‘open’, ‘accommodating’,
‘big-hearted’ and ‘welcoming’ towards talented foreigners (Singapore Government, 1997; Lee,
2006). It is important to acknowledge, however, that Singapore’s purported policy ‘openness’
towards foreigners stands in marked contrast to its rigid political system. In this respect,
Singapore’s state-initiated foreign talent policy can be viewed as paternalistic (Mauzy and Milne,
2002), where the state as ‘host’ represents its citizens.
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JOHANNAH FAHEY AND JANE KENWAY
Hospitable nations
In a world where the highly skilled are increasingly on the move, countries such as Singapore
must position themselves as ‘hospitable’ nations if they are to attract (and retain) globally mobile
talent and thus compete in the global knowledge economy. When someone is hospitable, the
ethics of such an act tend to remain unquestioned. However, given the nature of Singapore’s
highly paternalistic political system, the government’s policy-initiated hospitality does invite a
consideration of ethical issues.
Within brain drain/gain/mobility debates, we advance thinking by entering from a different
ethical perspective. We offer a new conceptual apparatus that may help to broaden the debate
so as to ensure that ethics is not quarantined as an issue that relates to poor countries alone.
We move from considering brain mobility to thinking about hospitality. Rather than considering
the ethics of loss and gain, we are interested in the ethics of the host and the guest. As opposed
to thinking about such debates in terms of competition between more or less developed nationstates, we are interested in the ways in which policy-sanctioned hospitality is mobilized within
a nation-state, particularly in terms of the kinds of politics, values and judgements that underpin
such governmental generosity.
Furthermore, when considering the status of the foreigner, we also mobilize an alternative
perspective to frame ethical questions. Debates concerning foreigners are often informed by
either a negative view of the foreigner as a threat (i.e. terrorists, refugees) or a positive view
of the foreign as a supplement (i.e. founders, immigrants) to the receiving nation-state (Honig,
2003). Discussions about the politics of foreignness largely emerge from within the field of
political theory, where issues of immigration, citizenship, democracy and national identity are
framed in terms of the ways in which nation-states can either secure their borders against, or
more generously accommodate, such foreigners within the boundaries of the host nation-state
(Guiraudon and Joppke, 2001; Ngai, 2004). In these discussions, the legal status of foreigners
is a key subject, particularly in relation to issues of civil and political rights (e.g. the rights to
asylum) (Benhabib, 2004). Overall, many ethical issues arise around identity, difference and
belonging when considering the relationship between states, citizens and foreigners.
One way to conceptualize this relationship is in terms of hospitality, particularly in terms of
the ways the host nation-state makes the foreigner feel welcome and the responsibilities that
the nation-state as host has to the foreigner as guest. Clearly, these issues become particularly
pressing in relation to vulnerable foreigners who have been forcibly displaced.
Kant first posed the question of hospitality in the context of international relations in
A project for a perpetual peace (1796). Derrida’s theory of hospitality (1995, 1999, 2000, 2001; and
see Borradori, 2003), which informs our expanded discussion below, is a reworking of Perpetual
peace. And in his recent work he discusses a hospitality of laws and nations and focuses on France
and its hospitality to foreigners (i.e. illegal refugees). Through his notion of ‘unconditional’
hospitality, he conceptualizes a form of hospitality that operates outside all rules and laws.
While Derrida’s argument focuses on the most disempowered of all globally mobile people,
our argument operates from the opposite end of the spectrum and considers the ethics of
hospitality in relation to globally mobile talent or privileged guests. Examining Singapore’s
recruitment and retention policy strategies involves investigating the relationship between the
nation-state and foreign talent and entails considering the ethical nuances of ‘the invitation’
and its acceptance.
The Singaporean government is seeking to do its best by those at home by bringing foreign
talent to Singapore and therefore building the economy. And, in its role as host, the Singaporean
50
ETHICS OF GLOBALLY MOBILE RESEARCHERS
government offers an encouraging welcome to foreign talent. Notably in policy discourse,
foreign talent is represented as a supplement to the nation-state, and there is much emphasis
on getting away from the ‘foreigners–them, locals–us’ attitude (Singapore Government, 1997:
13). There is no doubt that the Singaporean government fulfils its role as host, but a complicated
ethical regime governs hospitality when it is being offered to a privileged population such as
foreign talent. In this context, the onus is not placed solely on the host (as it is in the case of
vulnerable foreigners); rather there is also an onus on the guest to fulfil certain responsibilities.
Hospitality
In broad terms, hospitality refers to the relationship between a guest and a host. It also refers
to the act or practice of being hospitable, of welcoming guests, visitors or strangers, with liberality
and goodwill. We focus on Derrida’s theory in particular, as his foundation for understanding
this concept is based on the interchangeable and intertwined relationships between ethics
and hospitality (1999). His notion of hospitality allows us to interpret Singapore’s foreign
talent policy discourse not simply in terms of a general idea of hospitality, but in terms of the
connection between hospitality, the politics of foreignness and the limits of an ethical
engagement with the foreigner.
Unconditional and conditional hospitality
When trying to conceptualize ‘hospitality’, Derrida acknowledges a fundamental paradox that
turns on ‘conditional’ and ‘unconditional’ hospitality (2000; Borradori, 2003). When the host
of the house, country or nation extends an invitation to a guest, it is through this invitation
that they also demonstrate to the guest that they are in control of the property or territory. In
other words, in order to be hospitable one must have the power to host. But the host must
also have some control over the people who are being hosted. Hospitality fails when the guests
take control of the house. If the host is no longer in control, they are not being hospitable to
their guests (Derrida, 2000). According to Derrida, this kind of hospitality is ‘conditional’, as
it is dependent on imposing certain limits on guests. And as hospitality always involves placing
limitations on guests, hospitality is inherently inhospitable.
Alternatively, ‘unconditional’ hospitality involves no limitations and an abandonment of
control. It requires extending a welcome to all in need of hospitality, instead of making
judgements about who will and who will not receive that hospitality (Borradori, 2003; Derrida,
2000). Paradoxically, it is through such ‘unconditional’ hospitality that the very possibility of
hospitality is defeated: it becomes impossible to host anyone at all, precisely because there is
no ownership or control. ‘Unconditional’ hospitality is not possible, but for Derrida the very
notion of hospitality relies upon this concept and is inconceivable without it. We will now use
this paradoxical framework to examine Singapore’s hospitality.
Singapore’s hospitality
‘Singapore Vision 21’ is Singapore’s key policy strategy focused on attracting foreign talent.
Prime Minister Goh Chok Tong launched it in 1997 (Singapore Government, 1997), but it is
still operational today, as evidenced by recent references to the initiative in ministerial speeches
(Lee, 2006). When discussing Singapore’s foreign talent policy discourse, we draw primarily
51
JOHANNAH FAHEY AND JANE KENWAY
on the ‘Attracting talent vs looking after Singaporeans’ section of the 1997 Singapore 21 report
(S21), but also on more recent ministerial speeches.
Derrida maintains that ‘tolerance is actually the opposite of hospitality’ (in Borradori, 2003:
127), because merely tolerating someone means limiting one’s welcome by retaining control
over one’s home or territory. Significantly, in the S21, the policy discourse operates according
to Derrida’s distinction between hospitality and tolerance. And given the emphasis on welcoming
as opposed to merely tolerating foreigners, when taken at face value the S21 (Singapore
Government, 1997: 22) could be read as offering a kind of unconditional hospitality:
Ultimately it is not enough to ‘tolerate’ foreigners because they are of use to Singapore.
We must welcome them, make them feel at home and that they belong here. To be
welcoming to foreigners requires an open mind and a big heart . . . Singapore must retain
an open and hospitable attitude.
However, the motivations for such overt hospitality in policy discourse may be based on the
fact that, while the government sees foreign talent as a welcome addition to the nation-state,
Singaporean local talent and citizens more broadly are more ambivalent about such foreigners.
As such, this policy rhetoric could be viewed as a kind of propaganda, promoting the figure
of the idealized foreigner as a means to convince citizens that foreign talent is not a threat to
their livelihood.
Despite the rhetoric, we are therefore not suggesting that the S21 is an example of
unconditional hospitality. For, as Derrida maintains, unconditional hospitality is in fact
impossible: ‘no state can write it into its laws’ (in Borradori, 2003: 129). Rather, we are
interested in the conditional hospitality that arises from the ‘hospitality ideal’ articulated in
Singapore’s foreign talent policy rhetoric. Examining the ways in which this policy rhetoric is
played out in practice may enable a more complex understanding of the ethical and political
responsibility the Singaporean government shows towards foreign talent and its own talented
citizens.
Foreign talent
‘Foreign talent’ is the term used in Singaporean policy discourse to describe highly skilled,
globally mobile individuals: ‘people who have certain internationally marketable experiences
and skills’ (Singapore Government, 1997). The profile of foreign talent in Singapore shows
that they come primarily from Malaysia, China and India, but also Australia, New Zealand,
Japan, Britain, Europe, South Africa, Canada and the US (Brooks, 2002). Of the over half a
million (600,000) foreign workers employed in Singapore, around 90,000 of these are highly
skilled foreigners with degrees, professional qualifications or specialist skills, who hold
employment passes (and can therefore apply for permanent residence) (Eng Fong, 2006). It is
these skilled foreigners with university degrees who are our focus.
In terms of Singapore attracting ‘research talent’, as a small nation-state that is seeking to
create a global presence, it scales up its policy by focusing on institutions rather than individuals.
Recognizing that it is a relatively insignificant nation on a global scale, Singaporean research
institutions seek to collaborate with globally significant international research institutions and
faculty members to build up the nation-state’s global status and networks and to become more
attractive to globally mobile researchers.
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ETHICS OF GLOBALLY MOBILE RESEARCHERS
By 2010, the facilities for the Campus for Research Excellence and Technological Enterprise
(CREATE) will consist of a number of world-class research centres that will have intensive
research collaboration with Singapore-based research institutions. For example, an existing
initiative is the Singapore–MIT Alliance for Research and Technology. In policy discourse,
international research institutions such as MIT are thought of as ‘talent magnets’ (Singapore
Government, 2008 online), drawing talent to Singapore from all over the world.
This ‘geo-institutional realignment’ (Olds and Thrift, 2005: 280) of predominantly US elite
research institutions in Singapore has geospatial implications. It is by amassing foreign research
institutions within Singapore that the nation-state seeks to compete with other great attractors
in Asia, namely India and China. By seeking to become a significant knowledge hub within
the region, Singapore is trying to position itself at the centre, rather than on the edge, of Asia.
According to government policy discourse, ‘CREATE offers a multi-national, multi-disciplinary
research enterprise unlike anything known till now, strategically located in the heart of Asia,
at the nexus of East and West’ (National Research Foundation, 2008).
But just as Singapore tries to engage Asia, it also tries to transcend Asia (Koh, 2005), motivated
by its small-nation aspirations to insert itself, via CREATE, into a global, networked
environment. The Singaporean government is savvy about the geopolitical position of countries
and regions and Singapore’s own location within the globe and the region. It understands that
‘many US and European universities are eager to establish a presence in Asia in a way never
contemplated before because of the keen awareness of the rise of Asia and the increasing shift
of global dominance towards Asia’ (National Research Foundation, 2008). It is this formidable
foreign institutional presence that the Singaporean government uses to consolidate Singapore’s
geopolitical standing, in a bid to become a global knowledge hub attracting and retaining worldclass research talent and thereby curbing their global circulation.
Foreign and local talent
Policy discourse suggests that ‘besides bringing valued skills, knowledge and ideas, the foreign
talent’s vigour provides powerful motivation for us [i.e. Singapore] to continually strive for
higher standards . . . Their example can make us aware of the dangers of being complacent’
(Singapore Government, 1997: 2). Ong maintains that foreign talent ‘are increasingly coded as
exemplars of intellectual capital and risk-taking behaviours’ (2005: 339). Therefore, on the basis
of the subtle contrast between driven foreign talent and ‘complacent’ citizens in the statement
above, we suggest that this ‘coding’ is reinforced through an implicit suggestion that local talent
do not have sufficiently entrepreneurial skills to compete in the knowledge economy.3 In other
words, in policy discourse, receptiveness is extended towards foreign talent, not simply to
supplement a small population, but also because they are seen as being vital in providing the
skills and know-how Singaporeans lack (Yeoh and Huang, 2004).
Hospitality at home
How then do we begin to think about the ways in which such discourse constructs the
relationship between foreign and local talent in terms of hospitality? Let us suppose that
hospitality dictates that, when one welcomes guests, these guests are not received at the expense
of those who are in residence. The lack of generosity the Singaporean government shows
towards local talent in such discourse, with the implication that local talent is in some way
53
JOHANNAH FAHEY AND JANE KENWAY
deficient, becomes an issue of ethical import, particularly when considering the reasons why
local talent might favour complacency and conformity over risk-taking.
James Gomez is one of the 6,000 Singaporean citizens that the Singapore government
consulted for its S21 report. In terms of critical thinking, creativity and business, he believes
that it is the interventionist policies of the PAP government over the last few decades that have
created ‘an apathetic and non-risk taking culture’ because ‘people were criminalized and
persecuted for voicing alternative political points of view and as a result conformity has become
ingrained as a consequence of coercion’ (Gomez, 1999). Therefore, while policy discourse draws
attention to the ‘dangers of being complacent’, it does not highlight the reasons why such
complacency among its citizens may exist.
Sen (1999) describes ‘the Lee Thesis’ (after Lee Kuan Yew, the former prime minister of
Singapore, who formulated it succinctly) as the idea that ‘basic civil and political freedoms . . .
hamper economic growth and development’ (1999: 148). However, he disputes such claims,
arguing that there is no empirical evidence to support them. Gomez’s statement draws attention
to the trade-offs that have been made in Singapore between national economic development
and citizen compliance. He demonstrates how the restriction of citizens’ basic civil and political
freedoms in Singapore have impacted on their critical and creative thinking, and this is
particularly pertinent as this lack of ‘risk-taking’ or entrepreneurial skill has become one
justification for inviting foreign talent to Singapore.
Derrida states ‘the host remains master of . . . the nation’ (1999: 67). Indeed, Derrida argues
that it is on this proviso that the nation is able to offer hospitality. In Singapore, the rigid political
system curtails dissenting political views; therefore there is no doubt that the Singaporean
government is the master of the nation, particularly when it comes to maintaining control
of its citizens. But, if the ways in which the host nation controls its citizens are ethically
questionable, then is it in a position to offer hospitality to guests – particularly as the Singaporean
government denies its citizens some of the liberties that guests are allowed?
As suggested, we do not seek to imply that the hospitality that Singapore extends to its guests
is unconditional, but at the same time there are nuances to conditions within conditional
hospitality. In this context, the host does not impose ‘his’ mastery by insisting that the guest
follow the practices and laws of the territory. Foreign talent does not have to abide by the same
laws, rules and conventions as Singaporean citizens. In fact, the S21 says attracting foreign talent
‘involves removing obstacles to the entry of talent. Regulatory mechanisms can be loosened.
Rules should be simplified’ (Singapore Government, 1997: 16). Foreign talent are also offered
fast-tracked employment passes, subsidized housing, education and healthcare and tax incentives
(Singapore Government, 1997). Not surprisingly, offering this kind of hospitality to privileged
guests impacts on those at home.
Citizens at ‘home’
Among Singaporean citizens, ‘there is significant resentment regarding the privileges [offered]
to attract foreign talent’ (Ho, 2006: 393). In terms of considering the nuances of the invitation
to foreign talent, the Singaporean government extends its generosity to foreign talent, but such
generosity is offered at the expense of local talent. The favouritism that the Singaporean
government shows to foreign talent, where the government is more accommodating of its guests
than of its citizens, makes its own citizens feel neglected. Therefore, the fundamental ethics of
this hospitality, where citizens may benefit economically, but at the same time feel sacrificed
for the sake of foreigners, and make sacrifices politically, must be questioned.
54
ETHICS OF GLOBALLY MOBILE RESEARCHERS
The S21 states that ‘above all, citizenship is about belonging to a place, having a sense of
ownership and calling it home’ (Singapore Government, 1997: 13) And yet, as a consequence
of feeling like ‘second-class citizens’ (Singapore Government, 1997: 12), some residents feel
displaced in Singapore (Ho, 2006). According to Ho, ‘the mobility of foreigners into Singapore
can have a detrimental impact on whether citizens feel that Singapore is home’ (2006: 397). A
further corollary of destabilizing citizens’ feelings of belonging to the nation-state is that they
feel more inclined to migrate to other countries. In fact ‘the higher the education among
Singaporeans, the more they appear disenchanted with Singapore being a caring society or a
good place to make a living and raise a family’ (Ooi et al., 2003: 6). And yet, local talent migrating
permanently to other countries is exactly what the Singaporean government is seeking to avoid,
and in its policy rhetoric there is an emphasis on local talent developing ‘a deep-seated sense
of belonging – or rootedness – to Singapore’ (Singapore Government, 1997: 1).
Foreigners at ‘home’
At the same time, the Singaporean government seeks not only to attract, but also to ‘root’
foreign talent to Singapore. And yet those guests that do choose to linger do not necessarily
mingle with their hosts. Foreign talent often reside in ‘expat-enclaves’, and this not only creates
a sense of isolation for them but also prevents them from becoming fully immersed in the
Singaporean community (Brooks, 2002).
Of course, despite the fact that many talented foreigners do call Singapore home, for the
most part, foreign talent’s long-term commitment to the nation remains in doubt. Even when
Permanent Resident (PR) status and Singaporean citizenship are offered as enticements, they
do not guarantee that foreign talent will stay (Yeoh, 2007b). As they are ‘flexible citizens’ (Ong,
1999) who have the credentials to remain globally mobile in the knowledge economy, foreign
talent are free to enjoy the privileges that Singapore affords them and then leave the country.
‘In fact, attaining Singaporean citizenship or Permanent Resident status may confer a higher
degree of potential mobility on them, enabling them to gain entry more easily as tourists and
immigrants in other gateways around the world’ (Yeoh, 2007b: 55).
In terms of the ethics of hospitality, this draws attention to the obligations, if any, that
constantly mobile foreign talent have to a host nation such as Singapore. It is precisely because
foreign talent are guests, because Singapore is not their home, that particular liberties are
bestowed upon them. And by accepting the Singaporean government’s hospitality, foreign talent
are able to accumulate educational credentials and experiences that further enhance their
educational and class privileges in a global labour market. Ironically, offering PR status or
citizenship to foreign talent does not necessarily make foreign talent stay in Singapore; rather
it enables them to be mobile. And this leads us to think about the obligations involved when
accepting an invitation. Clearly, constant mobility does not necessarily serve to cultivate
territorial responsibilities. But, in terms of the guest’s ethical responsibilities, is this precisely
what the host nation and its citizens require?
Broader implications
Our analysis has implications for the ways in which the sociology of education and of
knowledge develops a global research imagination (Kenway and Fahey, 2009). Ethical issues
must be at the forefront. In this context, the concept of hospitality has considerable potential.
55
JOHANNAH FAHEY AND JANE KENWAY
What, for example, might ‘hospitality’ mean in different places? And what might the ethical
implications of such hospitality be? It directs us to think about whether a host nation has to
have a demonstrated record of generosity towards those at home, and at the very least fulfil its
moral obligations to its citizens, in order to be in a position to welcome privileged guests from
abroad. Are there certain ethical responsibilities placed on privileged guests if they accept a
host’s invitation? In terms of brain mobility debate more broadly, in a globally mobile world,
host nations need to ascertain the kinds of territorial loyalty that can be expected from
constantly mobile guests. Does the host nation have any ethical expectations with regard to
privileged guests? Do the constantly mobile and constantly hosted develop any territorial
responsibilities? Or do they just float free of these? In other words, what is an ethics of mobility?
And what is an ethics of place?
Notes
1
2
3
This paper arises from an Australian Research Council grant for the project Moving ideas: mobile
policies, researchers and connections in the social sciences and humanities – Australia in the global context
(2006–2009).
In terms of ethical issues, related research literature on foreign talent tends to focus on the
inequalities between unskilled and skilled foreigners (Eng Fong, 2006; Ong, 2004; Yeoh and Huang,
2004). We focus solely on skilled foreigners or foreign talent.
We acknowledge that the Singaporean government’s Internationalization Strategy (1997) encourages
Singaporeans to work overseas as a means to enable them and the Singaporean nation to become
more globally competitive. Here we are referring particularly to local talent that stays in
Singapore.
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57
5
Towards a sociology of the global teacher
Meg Maguire
Introduction
Education will always be a cause for concern, a focus for debate, a problem to be resolved,
because it is one of the basic mechanisms through which human life is reproduced.
(Scott and Freeman-Moir, 2000: 8)
The teacher is the key actor in the process of educational transformation.
(Tedesco, 1997: 23)
In an internationally competitive marketplace, education plays a critical role in helping each
nation to create and maintain a competitive edge – or so the argument goes. Thus, in response
to aspects of the globalisation discourse, attempts have been made to conform educational
provision to the ‘needs’ of capital in many international settings. Many nations, aware of
international comparisons such as TIMSS and PISA, have been spurred on to reform their
educational provision and raise their measurable levels of attainment. What has emerged is a
new set of public policy demands for efficiency, accountability, effectiveness and flexibility –
what Ball (2008: 41) has described as a ‘generic global policy ensemble’ – aimed at reforming
public sector education provision.
In this chapter, I will explore what these demands mean in relation to the (re)construction
of the teacher and of teachers’ work. The chapter starts with a brief discussion of globalisation
and its influence on education policy. It then explores some of the ways in which attempts
have been made to reconstruct the teacher and the work of the teacher in the light of these
policies. Nonetheless, drawing on some examples of teacher education reforms, I argue that
the construction of the teacher is always context-dependent – the teacher is produced out of
local histories, cultures and politics. These ‘differences’ play out in the ways in which
relationships between globalisation and education policy continue to evolve.
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TOWARDS A SOCIOLOGY OF THE GLOBAL TEACHER
Contextualising the global teacher
Many of the claims currently being made about the need for educational reform rest on the
assertion of there being a ‘new world order’: the globalisation thesis (Green et al., 2007; Held
et al., 1999; Waters, 1995). What is meant by globalisation is contested: there are ‘strong’ versions
that are based on the premise of the emergence of an almost inevitable world market that
displaces the role and influence of the nation-state in decision-making (Ohmae, 1990, 1996);
there are other versions that suggest that globalisation can produce ‘new pressures for local
autonomy’ (Giddens, 1999: 13). At its most general, however, globalisation implies a world
where time/space compression reduces the ‘constraints of geography’ (Waters, 1995: 3) and
where economic, cultural and political changes have become interwoven and inter-dependent,
fuelled and sustained by communication and technological developments (Olssen et al., 2004).
Globalisation is a discursive as well as a material set of practices. That is, discourses
of globalisation make possible certain ways of thinking, acting and being, and they displace or
conceal alternatives. The world watches the Olympic games ‘as it happens’; the international
community experiences the fall-out from the melt-down in the sub-prime US housing markets;
the wide-spread circulation of blockbuster Hollywood (and increasingly Bollywood) movies
– all these material outcomes demonstrate the interconnectedness and convergence of the
contemporary world. These ‘events’ are amplified and circulated as illustrations of the reach of
globalisation. In the UK, the impact of globalisation discourses, specifically in terms of economic
theories and imperatives, has been profound (Barber and Sebba, 1999). For example, the (then)
UK Prime Minister Tony Blair put it like this:
We are going to live in a market of global finance and there will be investors that decide
to move their money in and out of countries. Even though we’re living with a very
serious economic problem . . . we have also derived enormous benefit from greater
international trade, from the absence of protectionism and the absence of control
exchange.
(Blair, 1998)
The iteration and reiteration of the globalisation thesis and its ubiquitous claims appear to
have influenced education policy and provision across the world. While Ball (2008: 25) warns
that ‘the idea of globalisation has to be treated with care’, a point that cannot be fully dealt
with in this chapter (but see Ball (2008) and Gewirtz (2001) for further discussion), the impulse
of globalisation in terms of education policy is evident virtually everywhere. In many nation
states, education policy is being articulated and constructed in response to the apparently
irresistible discourses of globalisation that assert the ‘need’ for infrastructural and economic
reforms to support and enhance international competitiveness.
Education has been repositioned as a vital tool for creating and maintaining economic
prosperity and for retaining a competitive edge in world markets. According to Olssen et al.
(2004: 13), ‘it is imposed policies of neoliberal governmentality, rather than globalization as
such, that is the key force affecting (and undermining) nation-states today’ (see also Colclough,
1996). As Ball (2008: 53) asserts, ‘Education policy is increasingly subordinated to and articulated
in terms of economic policy and the necessities of international competition’.
Whatever one’s explanation of what is propelling international educational reform-making
(globalisation and/or neo-liberalism), dominant discourses emphasising the economic aims of
education currently seem to have displaced alternative discourses (Winch and Gingell, 2004).
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MEG MAGUIRE
The outcomes can be seen in current international preoccupations with raising standards and
measured attainment, making state education more accountable in relation to internationally
derived targets and ensuring that curriculum and pedagogy are managed in order to ‘deliver’
these demands. What is being given primacy is the production of a labour force that, at least
in the West, ‘matches’ the demands of a de-industrialising, post-industrial world, although the
relationship between globalisation and education reform is currently articulated in the policy
statements of virtually all governments around the world.
While the impact of a ‘new world order’ has undoubtedly influenced educational reforms,
economic globalisation has not been experienced as a homogenous phenomenon. Within the
unfolding changes of late capitalism, it is evident that changes in capitalist relations and policy
production are tempered by the specificities of local histories and cultures (economic, political
and social) and are recalibrated over time. To take the English context as a case, in the wake
of the international oil crisis of the 1970s, the neo-liberal policy response emphasised the need
for market forces (competition and school autonomy) to counter the educational ‘crisis’ of
‘under-achievement’ and ‘poor’ teaching that had allegedly contributed towards an economic
downturn. By the 1990s, policy now included deregulation and ‘choice’ as part of government
attempts to raise school standards and make schools more accountable and business-like,
although, paradoxically, some forms of teacher preparation became tightly prescribed and highly
centralised (Furlong et al., 2000). Currently, there is a focus on a ‘for-profit’ element in state
education (Ball, 2007) and an approach towards individualising and personalising provision
(Clarke et al., 2007). To some extent, these moves have also been reflected in a series of changes
in teacher ‘training’. All these different policy shifts are still firmly set within the regulating
discourses of economic necessity and of the need for international competitiveness.
Reconstructing the global teacher
Contemporary teacher education reform, and concomitantly the construction of a ‘new’ teacher
for the ‘new world order’, is predicated on a range of suppositions: that schools have failed in
the past, owing, in some part, to inefficient and incompetent teachers, and that policymakers
and governments are best placed to determine what makes an ‘effective’ teacher and a ‘good’
school (Fischman, 2000). In consequence, teacher reforms have been enacted that set out
precisely what it is that teachers are to do, as well as how they are to be assessed (Maguire,
2002). There is some separation in the literature between work that considers policy
developments in pre-service, initial teacher education (for example, see Acedo, 2007;
Bales, 2006; Phelan and Sumsion, 2008) and research into the construction of the teacher
via reforms that have attempted to reconstruct schools (Ball, 2003). In this chapter, I will deal
with both literatures – for they offer a set of overlapping and integrated arguments that work
towards new narratives of the teacher. In what follows, I want to explore this matter in terms
of three aspects: these are regulation and control, standards and, finally, performance and
accountability.
One way of ensuring teacher quality is to reform teaching at source by regulating and
controlling pre-service teacher education. Many nations, including the US, UK, New Zealand,
Australia, Canada and countries in Europe and in the Asia–Pacific region, now seek to manage
recruitment and pre-service training through the generation of lists of competencies that have
to be met before the teacher can be licensed to practice in schools (Fitzsimons and Fenwick,
1997). And many of these competencies include prescriptions about what constitutes ‘best
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TOWARDS A SOCIOLOGY OF THE GLOBAL TEACHER
practice’ that intending teachers are expected to adopt and perform in the practicum element
of their course. The emphasis in these restructured courses is arguably on ‘teacher-proofing’
classroom practice. Thus, the emphasis, more and more, is on successful in-school experience,
technical skills such as teaching literacy through centrally prescribed methods, behaviour
management, familiarity with testing regimes etc. Other matters, for example, those of
commitment, values and judgement are frequently sidelined, made optional or simply omitted;
teacher education is constructed as a skill, and any political complexity is bleached out of the
agenda (Cochrane-Smith, 2004). Put simply, the teacher is reconstructed as a state technician,
trained to deliver a national curriculum, in the nation’s schools. Alongside this competencybased model of the technical skills-based teacher is a market model of the ‘flexiblisation’ of
teaching work, a move towards individual contracts and pay negotiations, including the use of
non-qualified teachers and teaching assistants – where the teacher is positioned as part of the
contracted labour force rather than as a professional partner in the process of education.
In many ways, the English case is the most acute example of this reforming movement
(McPhee et al., 2003). Regulation is managed through the production of a curriculum for teacher
education, the generation of criteria against which teacher ‘competence’ is measured and
frequent inspections of the teaching courses and providers. Controls are built into the initial
training and are carried into the early years of teaching in order to maintain a culture of high
expectations, attention to national targets, and a concentration on the basic skills of literacy and
numeracy. In this way, a very particular version of the ‘teacher’ is made up. The emphasis is
on compliance with competencies rather than with thinking critically about practice; focusing
on teaching rather than learning; doing rather than thinking; skills rather than values. This regime
is maintained (and justified) by the regular production of local, national and international league
tables that exert pressure to raise the stakes and raise the game at every opportunity (Barber,
2001; Barber and Sebba, 1999). In this way, the pressures of regulation and control in
producing the teacher are inserted into, and circulated through, the state school system.
These systems of regulation and control are glued together by the production of sets of data
about the achievements of children and young people all around the world. Nation-states (and
their various ministries of education) regularly compare themselves with one another (ShorrocksTaylor et al., 2000). Economists assess international profiles of educational attainment in their
attempts to review the capacity of ‘human capital stocks’ (Barro and Lee, 2001). The
preoccupations with standards and raising standards are powerful, internationalised discourses
that are realised in target setting. The capacity to meet (or not) these targets in turn becomes
the measure of success and a lever in assessing and raising the performance of the individual
child, the teacher, the school and thus the nation-state’s educational achievements.
At the heart of this, in the everyday world of practice, teachers may well face a personal
and professional set of tensions. In meeting the targets, they may sometimes have to ‘teach to
the test’ and sideline any other pedagogical concerns, such as aesthetic, moral, social or any
wider cognitive goals. In this reorienting and reworking of the ‘teacher’, alternative identities
such as those based on a commitment to the common good or to different sets of values and
dispositions (for example, developmentally and culturally sensitive curricula) are displaced. In
working to ‘mediate’ complex and sometimes contradictory values in their practice, teachers
may find themselves caught up in struggles around professional judgements and a new way of
being. Ball (2003: 218) writes of teachers being caught up in a new ‘culture of competitive
performativity’, where there is the potential to be graded as ‘successful’ and ‘outstanding’.
But ‘being’ and ‘doing’ this new type of entrepreneurial teacher, whose targets and ‘aspirations’
are governed by national testing schemes, can produce feelings of what Ball (2003) calls
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MEG MAGUIRE
‘inauthenticity’. This new teacher, measured and evaluated through techniques such as monitoring, the production of documentary ‘evidence’ of effective planning for teaching, performance
reviews, appraisals, inspections and the like, may become professionally conflicted: ‘commitment,
judgement and authenticity within practice are sacrificed’ at the altar of measurable outcomes
(Ball, 2003: 221).
Education policy making has been driven by the need to ensure that young people are being
equipped with the means to contribute to, and compete in, a world without borders. At their
most simple, calls for teacher accountability are demands for teachers to be answerable for
making demonstrable improvements in their students’ learning. ‘Each teacher assumes responsibility for creating a classroom where students can master school knowledge at an appropriate
pace and with a high degree of challenge’ (Lieberman and Miller, 1999: 22). Thus, a battery
of accountability techniques has been developed to monitor, assess and evaluate the degree to
which teachers meet these responsibilities, mainly through testing the children and students
that they teach. There are inevitable tensions: teachers may concentrate on testing rather than
comprehension; teachers may feel pressured to attend to targets that they may construe as being
inappropriate (Ball’s ‘inauthentic’ teacher); teachers may offer what they believe to be a limited
and diluted curriculum. Teachers may simply become overwhelmed by accelerating demands
and additions to their work roles (Bartlett, 2004) and may leave the job altogether. All these
pressures have been well documented (Fuhrman and Elmore, 2004; Lambert and McCarthy,
2006). Nonetheless, ‘holding schools to account’ (Wilcox and Gray, 1996) is a key policy strategy
in reforming the teacher and the work of the teacher.
There is a wealth of evidence that charts an international reforming tendency towards
reconstructing the teacher to ‘fit’ the needs of a globalising economy, the ‘world-class’ teacher.
This signals a form of policy convergence, a move towards making up a global teacher who is
at once a ‘professional classroom manager, an expert providing “high quality” client services
in “more for less” times’ (McWilliams, 2008: 35). The reconstructed teacher is produced out
of sets of recipes for action, systemic rules, technologies of performance and routine classroom
actions that are designed (by others) to ‘deliver’ quality and ‘assure’ high standards. The teacher
is reconstituted as a technical ‘risk manager’ who, in McWilliam’s terms (2008: 36), makes
‘learning outcomes more visible, calculable and thus more accountable’ in a context where,
to some extent, any competing versions of the teacher have been erased.
Recontextualising the global teacher
While there may be a set of overarching principles and conditions that influence policy production – globalisation and neo-liberalism, for instance – these ‘rarely, if ever, translate into policy
texts or practice in a direct or pristine form’ (Ball, 1998: 126). In terms of the reconstructed
global teacher who, so far, has been cast as an entrepreneurial manager rather than an organic
intellectual, we need to ask, is this everywhere the case? To what degree has education been
conformed to the needs of the international/national marketplace? To what extent has this
chapter presented an altogether pessimistic and determinist view of the global teacher? In
recontextualising the global teacher, I now want to consider some points of difference that are
interwoven into the making up of the teacher, which are context dependent and are produced
out of the specificities of local histories, cultures and politics, in particular issues of supply and
demand, ‘flexibility’ in teacher production, and geopolitical distinctions.
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TOWARDS A SOCIOLOGY OF THE GLOBAL TEACHER
One of the most intractable differences relates to the complexities and local distinctions that
shape the supply and demand of teachers. In parts of the US, areas such as Michigan, Louisiana,
and in cities such as New York, it is increasingly difficult to recruit and retain teachers (Steadman
and Simmons, 2007). In Mississippi, although there are calls for ‘quality’ teachers, the shortage
is so acute that the state has been forced to introduce emergency licensing. In part, this shortfall
of teachers is to do with the relatively low salaries and status of teachers in the state. Mississippi
has responded by introducing emergency one-year licences to teach for individuals whose school
district will vouch for them. New York City has created the Teaching Fellows programme
to recruit those interested in a career change into teaching in challenging schools. Both of
these approaches place the intending teachers in classrooms in high-need schools while they
are learning to become teachers. In terms of the Mississippi experience, one problem lies in
the way in which the licence can be easily extended, without much support for professional
development or interventions from teaching colleges. In NYC, the Teaching Fellows
programme offers college accreditation and in-school mentoring, but the retention rates are
low. Both schemes place would-be teachers in challenging classrooms with, in the main,
‘disadvantaged’ children. In the UK, there are similar teacher training programmes that aim to
fill the same sorts of gap (Ross and Hutchings, 2003).
Although some aspects of some of these ‘alternative route’ schemes have been positively
rated – for instance the NYC route and Teach First in the UK – they all report problems with
teacher retention rates. There are also issues for ‘challenging schools’ that have to manage with
higher than average levels of teacher turnover and inexperienced and less well-qualified
teachers. There are additional issues of social justice related to ‘high-need’ students being taught
by teachers (however well intentioned and however good their first degree) who are learning
on the job and not staying long. In terms of the construction of the global teacher, these
emergency schemes signal a degree of flexibility and perhaps disposability that surrounds the
recruitment of the teacher; it also highlights a ‘crisis’ in the supply side of teaching – at least
in certain parts of the world. One outcome of these shortages has been the creation of a ‘global
market’ in teacher recruitment (Menter, 2008).
The production of these ‘emergency’ flexible teachers speaks to the tensions involved in the
(northern-hemisphere) public sector labour market, as well as in some of the normalising
discourses that surround the production of the teacher – perhaps that anyone can do this work.
In terms of the labour market, less competitive salaries and poorer work conditions have limited
recruitment to teaching. Another factor that compounds teacher shortages in some countries is
that, in many nations, until relatively recently, teaching provided an early opportunity for women
to undertake professional work (Anker, 1998). Currently, ‘the teaching profession has to compete
with many other attractive and prestigious job options’ now open to women (Tedesco, 1997:
29). Working in the public sector may be less attractive – although, in periods of economic
downturn, recruitment to jobs that look secure frequently goes up. Simultaneously, in the
public sector there is an awareness that the new educational professional is an entrepreneurial
individual, someone who seeks performance-related rewards, who is compared with and
compares him/herself against his/her ‘colleagues’. Many of the dominant and normalising
discourses that currently surround ‘being a teacher’ speak of being open to change and the
‘developing professional’ as a lifelong project – even where, paradoxically, a view of teaching
as a career for life has been eroded. The ‘enduring’ sense behind this lifelong project of constant
improvement may not be something that new graduates feel particularly drawn towards.
Teaching as a profession has been repositioned as a responsibility towards producing the
requirements for the labour markets of the future and, inevitably, what McWilliam (2008: 41)
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calls the culture of ‘enterprise [that] has come to replace a more long-term culture of public
service’. Yet, for more and more emergent graduates in northern-hemisphere nation-states,
teaching is becoming a short-term occupation, perhaps a first step beyond university. Thus,
while there are discourses of lifelong processes of learning to teach, the reality is frequently
one of high teacher turn-over. In the UK, for example, what fuels this movement out of
teaching are high levels of stress and burn-out, as well as emotional dissatisfaction with some
of the policy demands to which teachers have to demonstrate compliance (Smithers and
Robinson, 2005).
In other parts of the world, supply and demand issues are differently experienced. In
less/differently economically developed countries and transitional countries, there are problems
in recruiting teachers for state-funded schools. This is less so in some fee-paying private schools,
where teacher salaries and working conditions may be better – although it depends on the
school itself (Kitaev, 2007; Thakur, 2008). There can also be difficulties in staffing schools in
rural and less accessible areas within northern-hemisphere settings, as well as in less economically
privileged locales, some of which may be populated by minoritised communities (Whatman,
2002). There may be difficulties in getting and holding on to teachers for particular phases of
schooling. For instance, in some parts of the world, a basic school-leaving certificate may enable
someone to become a primary teacher; however, the subject knowledge demands of the
secondary curriculum make it more complicated to prepare and retain secondary school
teachers (Mulkeen et al., 2007).
In neo-liberal times, one consequence of deregulation and national shortages has been the
emergence of the ‘migrating’ teacher – the teacher who can move to a place where his/her
skills are in short supply. This can sometimes mean that the West ‘imports’ teachers from
countries where teachers are in short supply, even when, as in the UK, there are protocols in
place to limit this process (Morgan et al., 2005). However, the cultural norms of his/her initial
training and his/her own schooling may not sit easily with those of the new setting; in Menter’s
words (2008: 224), ‘when a teacher migrates . . . it is likely that significant processes will ensue
that affect her professional identity’. Professional identities that are formed largely from a ‘service
ethic’, for example (Menter, 2008: 224), may be less compatible with a teacher identity
dominated by the need for compliance with lists of competences, skills and outcomes. A teacher
identity that is formed in the expectation of having to teach through a rote-based pedagogy
may experience disruptions in an inner-city, ‘hard to teach’ school setting. Yet, the international
movement of people (such as teachers and international students) produces new spaces in which
to construct identities that are ‘intercultural with multiple cultural defining points’ (Rizvi, 2000:
223) – what Rizvi calls a ‘new global generation’.
In the reconstruction work that is taking place in the making up of the teacher, there are
other points at issue. In a setting that is characterised by shortages in teacher supply, who is
and what is a teacher is being called into question. For instance, in England, the production
of the teaching assistant (TA) and the higher-level teaching assistant (HLTA) means that teachers
are supported by other adults who, in the case of the HLTA, will act as a specialist assistant for
certain areas of the curriculum and who will sometimes lead classes, supervise in the teacher’s
absence and ‘assess, record and report on the progress of children’ (see http://careersadvice.
direct.gov.uk/helpwithyourcareer/jobprofiles/profile). The production of these assistants
(Kamen, 2008) may well add to the richness of the classroom for children and students;
however, at a maximum salary of £16,000 for a TA and £18,000 for a HLTA, these people
will sometimes be acting as teacher-substitutes on a much lower salary, an exploitative situation.
Their education and training may concentrate on policy directives and compliance rather than
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TOWARDS A SOCIOLOGY OF THE GLOBAL TEACHER
a capacity to make informed pedagogical judgements. However, while the UK/English
government argues that a ‘more flexible workforce will help to reduce the bureaucratic load
on teachers’, freeing them up to teach, the UK teacher unions have been ‘deeply suspicious of
these developments, suspecting that these less well-paid staff ’ may be used to replace teachers
(Menter, 2008: 223).
And what then of the organised teacher? What role do teacher unions play in this making
up or contesting of the neo-liberal, globalising teacher? Although concerns are being expressed
about the intensification of teachers’ workloads and the ‘unjust criticism by politicians’ of teachers
(OECD, 2004: 39, cited in Jones, 2008: 54), the capacity of teachers to assert control over
their working lives has been eroded in many parts of the world (but see Compton and Weiner,
2008). In a neo-liberal world, teachers experience a ‘loss of capacity for self-definition, both
in the workplace and in the political sphere’ (Jones, 2008: 56). In terms of some European
trends, Jones notes the ways in which Greek, Catalan and French teachers have been able to
mobilise public support in defence of public education. In contrast, he details the way in which
the English unions’ focus on teacher salary was less able to engender popular support and paved
the way for more overt control of teachers.
One of the best-known examples of challenges to neo-liberalism in education is the Citizen
School movement in Porto Alegre, Brazil, where the intention is to ‘build support for more
progressive and democratic policies there in the face of the growing power of neo-liberal
movements at a national level’ (Gandin and Apple, 2002: 260). These schools are grounded in
an approach that requires and enables the full participation of the school staff, parents,
administrators and students in decision-making. Teachers make up half of the membership of
the school council; the other half is made up of parents and students. The school council makes
decisions about the curriculum and resource allocation and elects the principal. In these schools,
teachers, parents and students are working together to build a different school and a more
democratic society where the curriculum is negotiated and starts from the histories, cultures
and politics of the local community. What this demonstrates is a different way of ‘doing school’
and of being a teacher.
Reshaping the teacher – complexities and costs
In this chapter, I have argued that neo-liberal and globalising impulses are having discernable
outcomes in reshaping the work of the teacher in many parts of the world. In this final section,
I want briefly to discuss some points that are raised by this work. In speaking of ‘the world’ or
‘international change’, there is sometimes a tendency for northern-hemisphere researchers to
concentrate on northern-hemisphere cases, frequently the UK, the US and Australia, that then
stand as a proxy for the ‘global world’. Here, I have tried to draw on a wider range of work
on teachers in an attempt to avoid this problem, but there is always a danger of superficiality
when speaking of distinctive contexts in a short piece. Teaching is a complex, diffuse and
differentiated occupation. Internationally, there are wide variations in entry qualifications, the
duration of pre-service education and in the status and salaries of different ‘types’ of teacher.
For example, the teacher of elite groups may bear very little resemblance to the teacher of the
poor within the same national setting. The preparation, status and salary of the early-years teacher
and the specialist secondary school teacher might be very different. Teachers in a national state
sector might differ from those in the fee-paying sector in the same setting. Thus, there can be
dangers of essentialising and homogenising what it is to be a teacher.
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MEG MAGUIRE
While global neo-liberalism is influencing what it means to teach and be a teacher, ‘the
future has not been written and no one can ever claim a definitive understanding of the current
relationships between globalization, the state, education, and social change’ (Morrow and Torres,
2000: 53). Markets and states are prone to failure (Jessop and Sum, 2006). There are differences
in outcomes, as well as some ‘big and small struggles and victories’ (Robertson, 2007). One
way towards ‘coping’ with the ways in which neo-liberal policies differently inflect the
construction of teacher in different contexts is suggested by Lingard (2000), who argues for an
approach that simultaneously recognises global changes in terms of their ‘vernaculars’; that is,
the localised and sometimes distinctive ways in which these changes are configured and rewritten
into national settings.
Nevertheless, the encroaching privatisations that are being inserted into education policy
more widely (Ball, 2007), as well as into the reconstruction of the teacher and the work of the
teacher, seem set to continue. It may well be the teachers of the poor and the disenfranchised,
wherever they are located (in the global cities of the northern hemisphere, in the favellas and
shanty towns of the southern hemisphere), who are most immediately subjected to the
imperatives of neo-liberal reforms that are forced upon them by international agencies. More
generally, the cost of being made up as the new global teacher, wherever this is taking place,
may be the ‘existential redundancy’ (Rutherford, 2008: 16) of the professional, ethical and
decision-making teacher.
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6
Codes, pedagogy and knowledge
Advances in Bernsteinian
sociology of education
Ursula Hoadley and Johan Muller
Introduction
The intractability of working-class failure has remained an unresolved issue for the sociology
of education over the last forty years. Although some inroads have been made in understanding
how inequality is engendered through schooling (and through pedagogy in particular), in
ongoing developments in curriculum policy globally, knowledge, or ‘the what’ of schooling,
is perennially left out, even as global achievement comparisons such as TIMSS and PIRLS
(Progress in International Reading and Literacy Study) highlight its salience. The policy trend
towards expressing the objects of learning in generic, outcomes or skills-based terms in curricula
systematically avoids an engagement with knowledge. Curriculum studies and sociology of
education in the twenty-first century cannot continue to avoid interrogating what children
know and don’t know. Thus far, it has been silent on the issue. In what follows, we offer a
broad outline of the development of the sociological theory of Basil Bernstein, explaining how
the development of his ideas across a period of forty years has progressively generated theoretical
resources to explore not just how students learn, but what they learn. This theory has brought
the question of the what and the how of teaching and learning to the forefront. In this way,
Bernstein’s theory offers a theoretically informed approach to the awkward question of the
intractability of unequal schooling outcomes.
Code theory
Pedagogy is a formal, state-controlled medium for specializing the consciousness of young
people. Code theory provides a grammar for an analysis of how consciousness is differentially
specialized. For Bernstein, this grammar was necessary to explain the difference between middleclass and working-class success in schooling.
‘Code’ refers to an orientation to organizing experience and making meaning. The initial
work on codes examined the relation between social class, maternal modes of control and
communicative outcomes (Bernstein and Brandis, 1970; Bernstein and Henderson, 1969;
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URSULA HOADLEY AND JOHAN MULLER
Henderson, 1970). Through this early work, Bernstein sought to investigate how different forms
of socialization acted differentially upon the speech forms acquired and used by different social
classes. These different kinds of language were hypothesized to have differential potential for
learning at school. In order to analyse speech patterns, a linguistic theory had to be selected.
Bernstein (1973: 73) describes how he deliberately decided not to use Chomsky’s transformational grammar, which was dominant at the time, as this theory divorced linguistics from
semantics and it was thus not appropriate to a study where the major point of the enquiry was
about the relationship between the social structuring of relevant meanings and the form of their
linguistic expression. Halliday’s linguistic theory, on the other hand, satisfied the requirements
created by the sociological aspects of the thesis, as it put forward a set of interrelated linguistic
contexts in which the child is socialized into language. Bernstein selected four of these contexts:
regulative, instructional, imaginative and interpersonal, and related them to Hasan’s (1968) theory
of cohesion, whether speech stands apart from its context so that the meanings are made explicit,
or whether speech is a part of the context, so that it is necessary for the speaker to refer to
the context of the speech or to the speaker’s situation to understand the speech. This led
to the working out of his concepts of elaborated and restricted codes.
In their original ‘sociolinguistic’ form, restricted codes are associated with particular
grammatical and syntactical forms (generally simple, incomplete), as well as with more implicit
meanings; elaborated codes are associated with the accurate grammatical and syntactical
regulation of what is said, and with explicit meanings (Lee, 1973). The elaborated code allowed
thus, by definition, the generation of context-independent meanings; the restricted code,
contextual meanings. Further experiments consolidated the concepts. Hawkins (1969), for
example, used a series of four pictures of boys playing with a ball, kicking the ball through a
window and being scolded by an adult. He asked middle-class and working-class children to
describe the pictures. He found that, for the middle-class children, verbal communication was
explicit and could be understood without heavily depending on the context. For the workingclass children, on the other hand, meaning was implicit and context-dependent, and relied largely
on the listener’s prior knowledge of the narrative content.
The theory showed that elaborated and restricted codes were realizations of particular control
relations in the homes of children. The work of Cook-Gumperz (1973), in particular, gave
empirical support to Bernstein’s distinction between three modes of control: personal, positional
and imperative. In middle-class homes, personal forms of control were largely found; in workingclass settings, imperative modes predominated; and positional control was found in mixed-class
families. Crucially, the personal and positional modes could overlap linguistically (Halliday, 1978:
82–83).
The concept of code underwent change and refinement. Whereas code, in the work discussed
above, was used to refer to features of language only, in later work it was refined to refer to
the principles of solidarity and communication regulating social life, what Diaz (2001) called
the ‘meaning matrices’. It is through these matrices that we select what is relevant to us in any
given context, and with them that we organize experience. In this way, codes become the
grids by which consciousness is specialized.
By this redefinition, elaborated codes refer to the prioritizing and deployment (or recognition
and realization) of context-independent meanings, and restricted codes refer to the recognition
and realization of context-dependent meanings; here, language is the linguistic realization of the
code, rather than the code itself. One of the main studies exemplifying this shift was an
experiment reported by Holland (1981). In this experiment, seven-year-old working-class and
middle-class learners were shown pictures of different foodstuffs and were asked to group them
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however they wanted. They were asked the reasons for their groupings. They were then asked
to group the food a second time and to again provide criteria for the grouping. The experiment
showed that working-class children mostly used context-dependent principles for their sorting,
in that their groupings referred to personal and particularistic meanings (e.g. ‘I like those things’;
‘That is what mother cooks for breakfast.’), which generally referred to everyday use. They
did not change their principles for sorting the second time, demonstrating a single (restricted)
coding orientation. Middle-class children were found to respond to the task first by referring
to general, non-context-dependent principles (e.g. a food category), and, in a second grouping,
to more personalized, local meanings. They thus demonstrated two coding orientations,
elaborated and restricted, where context-independent meanings were privileged for the school
context. Thus different social class groupings were shown to display different coding orientations.
It was argued that the focus of the child’s selections were not a function of the child’s IQ or
cognitive power, but rather a difference in the recognition and realization rules used by the
children to read the particular context (the school), make selections (around what is appropriate
given the context) and realize a particular text (their groupings of the food).
Bernstein’s work was criticized for describing the restricted code, and, hence, working-class
language, as deficient. Bernstein (1996: 182) rejected this interpretation, explaining that ‘[c]odes
arise out of different modes of social solidarity, oppositionally positioned in the process of
production, and differentially acquired in the process of formal education’. Restricted codes
are necessary in convivial modes of everyday life, but the school requires an elaborated code
for success. This means that working-class children have a double hurdle to clear, namely
acquiring both the specialized knowledge of school, as well as the coding orientation with which
to realize this acquisition.
Pedagogy – sociological studies of the classroom
Bernstein developed a conceptual language to describe the elaborated code of the school, based
on the core notions of classification and framing. Classification refers to the organizational aspects
of pedagogy, the way in which power activates certain categories – of school subjects, agents,
discourse and space. Framing, on the other hand, refers to the interactional aspects of pedagogy,
the way in which knowledge is selected, sequenced, paced and evaluated in the classroom,
regulating the moral order of the classroom and who has control over it. The distinction between
power and control, unique in the discipline of sociology (but see Douglas, 1966), allows for
the description of the making (power) and the potential unmaking (control) of the social
reproduction of inequality.
The early Bernsteinian studies of classrooms used the concepts of personal and positional
relations and elaborated and restricted codes to describe the structure of pedagogy. Cooper (1976)
and Edwards (1981) attempted to show differences between different types of classroom in terms
of the social relations of control and the associated codes. The focus was on comparisons between
different social class groupings of students. This work lead Bernstein to clarify the particular
meanings attributed to codes. He maintained that codes vary across universalistic/particularistic,
context-independent/context-dependent and embedded/disembedded meanings continua
(1996: 162). He also pointed out that, although there is a relation between forms of control and
orientations to meanings, an elaborated code may be realized under either positional or personal
modes of control. This has recently been given empirical support in work identifying optimal
pedagogies for working-class student success (Lubienski, 2004; Hoadley and Ensor, 2009).
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Through these studies, the distinction between the moral order and the instructional order
of the school and classroom was clarified. Bernstein’s work had originally distinguished between
an instructional dimension to pedagogy and a moral dimension, in the early terms ‘expressive’
and ‘instrumental orders’. These aspects were brought back in the theorizing of classification
and framing. In particular through the work of Pedro (1981), ‘instructional’ and ‘regulative’
discourse came to describe the transmission of specific instructional knowledge and skills,
embedded in the normative moral order, or regulative discourse of the school. Pedagogic
discourse was thus defined as an instructional discourse consisting of a number of dimensions,
embedded in a regulative discourse.
At the level of the classroom, the instructional discourse was operationalized through
describing strong or weak framing relations over selection, sequence, pace and evaluative criteria.
The regulative discourse was examined by describing hierarchical control relations between
transmitter and acquirer as operationalized through modes of personal and positional control.
Strong framing relations were deemed to display modes of imperative/positional (that is, teacher)
control, while weak framing was deemed to display personal (that is, learner) control. The
hierarchical rules focused on the verbal elaboration between teachers and students. Bernstein
in this way brought classroom processes to the fore in the sociology of education. In a key
paper, Bernstein (1981) sketched a model for understanding pedagogic discourse and reproduction. This broad theoretical work continues to inform and has been developed by the work
of a number of researchers concerned with explaining pedagogy in different contexts.
Most notably, the ongoing work of the Sociological Studies of the Classroom at the
University of Lisbon (ESSA) (for example, Morais and Neves, 2001; Morais et al., 2004) has
focused on the micro processes in the classroom to explore the ‘relations present in the context
of reproduction of the pedagogic discourse’ (Neves et al., 2004: 280). The various authors show
that specific aspects of pedagogic practice favour the development of the elaborated coding
orientation required for learning context-independent school knowledge. Pedagogic modalities,
designed in terms of success demonstrated in experimental studies, were then tested by trained
teachers with learners from different social class backgrounds.
Key to this successful modality is ‘explicating the evaluative criteria as the most crucial aspect
of a pedagogic practice to promote higher levels of learning of all students’ (Morais, 2002: 568).
Making the evaluative criteria explicit consists of
clearly telling children what is expected of them, of identifying what is missing from their
textual production, of clarifying the concepts, of leading them to make synthesis and
broaden concepts and considering the importance attributed to language as a mediator
of the development of higher mental processes.
(Morais et al., 2004: 8)
The authors show how schooling can make a difference, and specify in what ways. Here is
the crux of their argument, and the impetus for theirs and others’ work:
When family codes and practices are in continuity with school pedagogic codes and
practices, acquisition of the recognition and realisation rules appropriate to school
contexts is facilitated by the elaborated orientation brought in by children. Similar power
and control relations in the family and the school permit more efficient access to
recognition and realisation rules in school contexts. This immediately gives an advantage
to children whose processes of primary socialisation are regulated by pedagogic codes
similar to school codes. In general, these children tend to come from higher social or
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dominant ethnic groups. However, this situation can be altered by school pedagogic
practices whose characteristics permit access to the school coding orientation.
(Morais and Neves, 2001: 213–214)
In addition to explication of the evaluative criteria, weak framing over pacing is identified
as being crucial for facilitating access to school knowledge for working-class learners, creating
the opportunity to individualize the rate of acquisition. In research into literacy pedagogy for
‘indigenous learners’, Rose (2004) likewise specifies the dimensions facilitating a weakening of
the negative relation between social class and educational achievement: a weakening of the
framing of pacing and sequencing rules, and a weakening of ‘the framing regulating the flow of
communication between the school classroom and the community the school draws on’ (p. 106).
These findings have been confirmed elsewhere in studies that draw on the fine-grained and
rigorous methodologies for coding and analysis of data developed by the ESSA group. What
Davies and Fitz (forthcoming) have called the ‘anatomising of pedagogy’ has led to a clear
statement of what is important in the ‘how’ of pedagogy. In beginning mathematics, ‘explicit
evaluation criteria improve achievement gain for the sample, particularly teachers’ use of error
to provide explicit feedback on incorrect answers’ (Reeves, 2005) and also for pedagogic
disciplines where the criteria are traditionally tacit, such as cabinet making – ‘criterial rules are
very strongly framed throughout’ (Gamble, forthcoming) – and in high school art – ‘criteria need
to be agreed upon, specified and made explicit’ (Bolton, 2006: 73). Bernstein had said it clearly
prior to this crop of empirical outcomes: ‘We can see that the key to pedagogic practice is
continuous evaluation’ (Bernstein, 1996: 50). What allowed for comparability across a range of
contexts was a common theoretical language, sufficiently developed for its empirical application
and operating at a level of abstraction that allowed for commonalities to be discovered across the
diverse settings of its application.
The differential pedagogic modalities that are deployed for different learners are an enduring
concern across a broad range of contexts. Dooley (2001) examined the adaptation of pedagogy
for Taiwanese migrant students in a state secondary school in Australia. She is particularly
interested in the teacher–student relations realized in particular forms of classroom interaction.
The main finding of the study was that differential pedagogic types were made available to
Taiwanese, Chinese and other Asian students, compared with local students.
Singh (2002) examined the structuring of English curricular knowledge and forms of
teacher–student interaction in secondary school classrooms in Queensland, Australia. Arnot and
Reay (2004) focus on framing in the analysis of pupils’ participation in their learning and on
the consequences of contemporary pedagogic practice in a middle-class and working-class school
in the United Kingdom. Hoadley (2008) shows how the gap between the school and the home
for working-class learners is detrimentally closed by working-class teachers, who deploy a
pedagogic modality akin to the restricted code orientation that students enter the school with.
All these studies not only give empirical support to the theoretical account of the inner logic of
pedagogy, thereby revealing the structuring of inequality, but also suggest how that inequality
might be pedagogically reversed.
The weight of the empirical evidence underlines the futility of current curriculum policy
debates, most notably in the USA, South Africa and Australia, between ‘learner-centred’
approaches and the ‘back to basics’ lobbies. What works instead is a mixed pedagogy, especially
for working-class students. The studies show what the mix should look like, and in all cases
explicit evaluation is critical. We show below, in the subsequent development of the theory
and the empirical work that has been generated by the framework, the issue of evaluation remains
central to the theory.
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The pedagogic device
In 1996, Bernstein published a terse and somewhat enigmatic statement of his theory in
terms of what he called the ‘pedagogic device’. This was an ambitious attempt to capture the
role of education in the sociological big picture, reaching from social structure to individual
consciousness. The pedagogic device consists of a hierarchical relation between three sets of
rules – distributive, recontextualizing and evaluative – that together describe the process
of the transformation of knowledge from the field of production of knowledge, to the field of
recontextualization, to the field of reproduction in the classroom. In short, it is a description
of the structure by which knowledge is transformed into pedagogic communication. The
introduction of the device highlighted a number of important conceptual relationships in its
attempt to offer a more abstract and general unified theory. It also introduced a number of
important issues that had been somewhat neglected in the development of the theory.
Two issues are singled out here. The first is the issue of knowledge, which is elaborated
further below. The distributive rules distribute different types of knowledge to different social
agents. Knowledge types or structures, the ‘what’ of education in the field of production (the
university), had as yet been insufficiently adumbrated. How these knowledge structures related
to curriculum structures, or the recontextualized knowledge found in schooling, had also so
far received limited attention. A second issue raised in the pedagogic device concerned the
third level of rules – the evaluative rules. Bernstein talks about the device being ‘condensed’
in the evaluative rules. By condensation he means that, at this level (of the classroom, and
through acquisition) it is possible to see what the work of the device has been – in other words,
in terms of the distribution of what knowledge to which social groups. The ‘what’ of the
distributive rules and the control over the process of transmission through the recontextualizing
rules result in differential specialization of consciousness through acquisition. It is at the
moment of evaluation that we see the extent to which the distributive rules (both in terms of
instructional knowledge and social norms) have been realized. The evaluative rules bring the
‘what’ (classification) and the ‘how’ (framing) into a final relation to each other. They condense
the device. It is only at the point of evaluation that we can see the mutual operation of the
distributive rules and the recontextualizing rules. But what of the knowledge to be distributed?
The theory had yet to describe how it differed in form, and its curriculum and pedagogical
implications.
It is these two aspects of the pedagogic device – the question of knowledge structure
introduced through the distributive rules and the acquisition dimension that inheres in the
evaluative rules – that offer fruitful directions for future research. We discuss the first issue briefly
below.
Knowledge and the curriculum
The notion of the evaluative rules raises the question: evaluations of what? The answer – of
the knowledge to be acquired – has mostly been avoided. Muller (2007) has argued that in any
discipline there are a specifiable, necessary minimum set of incremental steps that must be
pedagogically traversed, and each requires the necessary explicit evaluation. How to think about
the ‘what’ of education entails turning to how this specification might be accomplished.
It was only late in his career that Bernstein turned to the question of what knowledge was,
its structure and its social base. He draws a strong distinction between two basic classes of
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CODES, PEDAGOGY AND KNOWLEDGE
knowledge: mundane or everyday knowledge, and esoteric or universal, principled knowledge.
These two classes of knowledge are intrinsic to language, and they exist in all societies, even
though their content may vary historically and culturally. A direct relation between meanings
and a specific material base is termed horizontal discourse. In horizontal discourse, meanings
cannot transcend their immediate context and so always refer to everyday or mundane
contexts. Vertical discourse, by contrast, requires systematic ordering principles for the generation of meaning. The knowledge ‘bits’ fit together in a time and space not given by a specific
context.
There are two forms of vertical discourse. They differ, first, by their form of conceptual
advance (by their ‘verticality’) and, second, by their form of objectivity (their ‘grammaticality’).
As to the first: some knowledges tend towards robust, conceptually justifiable advances. Their
knowledge structure is determined by their ever-advancing conceptual spine, which tends
towards unity (which does not mean that there is only one conceptual spine in the knowledge
structure: see Wignell, 2007). The curriculum implication of this type of conceptual advance is
that these disciplines in their mature form develop long ‘hierarchies of abstraction’, which are
best learnt in sequence under the guidance of specialists (mathematics and science are the most
obvious examples). We may say that these disciplines are, in a specific sense, concept-rich. It is
not that they necessarily involve large numbers of concepts. It is that they have long sequences
of hierarchically related concepts. Getting stuck at any rung of the hierarchy usually means that
conceptual learning stops. Other knowledges tend towards advance through variation or
diversification of concepts; this, however, is less about concepts than it is about different contents
or content-clusters, although there is usually a macro-conceptual organizing principle (the
‘past’ (or more abstractly time) for history and ‘space’ for geography, for example) involved.
Still others develop practically, by developing new skills. Practical development may refer
to new practices within traditional manual crafts such as cabinet making or to new forms
of conceptual practice such as software development or website design. Concepts, content
and skills are embedded in each knowledge structure, but their relative salience is what
differentiates them.
There has been a range of exploratory empirical work in relation to different knowledge
structures and their pedagogical and distributional implications. Reeves and Muller (2005), for
example, consider what a knowledge structure of mathematics looks like when translated into
the South African school curriculum. Christie and Macken-Horarick (2007) reconstruct
‘verticality’ in subject English in the Australian curriculum. More broadly, Young and Gamble
(2006) and Wheelahan (2007) examine issues of skills and their orderings in vocational
education curricula, and Maton (2005) has been concerned with sociology and its weak grammar
knowledge structure. Moore (2007) and Young and Muller (2007) consider the humanities
and the question of knowledge growth in horizontal disciplines. This work has opened up the
question of the relations between knowledge structures and their corresponding curriculum
structures. School mathematics is not the same as the knowledge structure of the discipline of
mathematics. What kinds of limit to recontextualization do the latter place on how the
curriculum structure of mathematics is constituted? Two recent, edited volumes (Christie, 1999;
Christie and Martin, 2007) show the substantial work and theoretical resources that the work
of the systemic functional linguists has to offer in this regard. Interestingly, this returns the theory
to its former strong links to the sociolinguists during the development of code theory. Again,
based on the initial work of Halliday’s functional grammar, the work offers fruitful ways in
which specialist forms of knowledge can be identified and explored, connecting the linguistic
object of study with the Bernsteinian sociological focus on social structure.
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The verticality of a particular knowledge structure places limits on its progression, sequencing
and pace. This is the link to pedagogy: the more hierarchical a particular discipline, the more
restriction on these dimensions of framing. Perhaps future research could involve a greater
exploration of knowledge structure in relation to pedagogy. This might include both its moral
and instructional content.
In conclusion: there have been significant methodological advances in this tradition,
especially with regard to developing external languages of description to describe transmission.
Perhaps a next stage of research might be to shift the focus to the evaluative rules, in order to
develop similar methodologies for describing acquisition. It is at this level that an expanded
notion of both instructional and regulative discourse can be considered, one that can take proper
account of the distributive rules for different knowledge structures.
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Gamble, J. (forthcoming) ‘The relation between tacit knowledge and moral order in the vocational
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7
Social democracy, complexity
and education
Sociological perspectives
from welfare liberalism
Mark Olssen
In the second half of the nineteenth century, in the period after John Stuart Mill, and into
and including the first third of the twentieth century, a group of philosophers, sociologists,
economists and journalists systematically adapted classical liberal arguments to make them
relevant to the appalling social conditions generated by the development of capitalism in the
eighteenth and nineteenth centuries. Their writings contained distinctive models of society, of
human nature and of change that are relevant to sociologists studying education in the twentyfirst century. My aim throughout this chapter will be to work through the arguments of the
new liberals, accepting those that meet the tests of a critical interrogation as being relevant to
twenty-first century global capitalism, and adapting or rejecting them as is appropriate. Although
some of their arguments will be found wanting, I will argue that their original ideas in defence
of social democracy can be restated in terms of developments in science and philosophy over
the century since they wrote. Developments in post-quantum complexity theory, within both
the physical and social sciences, will enable us to reground social democratic arguments and
state them in a more plausible way for the twenty-first century.
The sociology of John Atkinson Hobson
In the last decades of the nineteenth and first decade of the twentieth century, the economist
John Atkinson Hobson advanced a justification for the welfare state complementing the
contributions of T.H. Green and L.T. Hobhouse. In a way similar to Hobhouse’s ‘harmonic
principle’, Hobson’s analysis of individual and society was facilitated methodologically by the
organic model of social structure. The organic model was analogical in that it likened society
to a ‘social organism’. In utilizing such an analogy, Hobson invoked comparisons with the Hegel
and German Idealism, which created alarm among classical liberals. In developing his conception
of the organic view, Hobson was influenced by John S. Mackenzie, whose book An introduction
to social philosophy (2006), originally published in 1890, developed a coherent conception of the
organic to challenge both the monadistic view (of classical liberalism and Leibniz) and the
monistic view, which asserted the priority of the whole over the parts (Idealism). The organic
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view sees the individual as determined by social conditions. In this sense, the relation of
individual to society is an ‘intrinsic one’ (p. 150). Society is not a mere aggregate of separate
individuals, nor is it a mechanist (dualist) or chemical combination of them. The evidence that
it is not a monistic system is that, if that were the case, as society changed, so the parts would
change almost simultaneously. This is not to say that there is not an aspect of the monadic and
an aspect of the monistic, which operate at different times and places, in different contexts, for
there are mixed modes; just as complexity does not completely displace mechanism, but rather
should be seen as supplementing or extending it. Further, although we are all penetrated and
constituted by our surroundings, this does not mean that we are all the same. As MacKenzie
put it, there is no contradiction between social determinism and the independence of the
individual:
That there is no contradiction between the independence which is now claimed for the
individual and the fact of his social determination, becomes evident when we consider
the nature of that determination and of that independence. That the individual is
determined by his society, means merely that his life is an expression of the general spirit
of the social atmosphere in which he lives. And that the individual is independent, means
merely that the spirit which finds expression in him is a living force that may develop
by degrees into something different.
(2006, p. 158)
Hobson’s use of the organic metaphor is compatible with Mackenzie’s and, like Mackenzie’s,
it has received stringent criticism. As R.N. Berki (1981: 193–194) notes, Hobson was frequently
characterized as an idealist, and his idealism was ‘born of the endeavour to comprehend political
reality in unitary terms’. Although Hobson claimed to reject the monistic doctrine of Idealism,
in that he rejected prioritizing the force of the whole over the parts, he was idealist in the
weaker sense that he still saw society as a unified whole. Such a whole, in his sense, was merely
a system of interactions, and unity was represented as not incompatible with difference. Besides,
Hobson did not see unity itself as of value, but recognized specific normative criteria drawing
on Ruskin’s concept of life as determining the conditions for inclusion and exclusion from the
whole. The common good is thus represented by Hobson as a unified development of the
whole society, which contrasts with those aspects that are dysfunctional, evil, or represent what
he termed, following Ruskin, illth. This is the sense in which David Long detects idealism in
Hobson’s approach, for he ‘idealistically condemned present arrangements for failing to come
up to the standards of his rational ideal’ (Long, 1996: 16).
Although not problem-free, Long concludes that ‘the organic analogy remains a useful start
for a holistic analysis of society and Hobson’s use of the analogy was certainly progressive for
his time’ (1996: 16). One must not expect too much from an analogical method of course. It
must be seen, as is true for all analogies, as comprising both likenesses and unlikenesses. Human
societies are in some ways like living things but in others not. For classical liberals, the analogy
does not do justice to the issue of the claimed independence of individual consciousness. One
can also criticize the analogical weighting given to uneven influence of the central organs over
other parts of the body. Yet, in that it differentiates a particular form of unity from those types
characteristic of monism, monadism, chemical integration or mechanical solidarity, it presents
a certain viability, even given its analogical limitations.
One possible sense in which the organic model can be criticized was its implications for
conservativism. Although Hobson wrote against the politics of conservativism, John Allett (1990:
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74) argues that ‘there is a significant conservative aspect to Hobson’s thought’. In Allett’s view,
‘Hobson’s conservativism is centred in his sociology’ (p. 76). As he puts it:
Hobson’s interest in conservativism is limited primarily to its usefulness as a corrective
(not an alternative) to liberal individualism. There are occasions, however, when he engages
in a kind of high moralizing about supra-individual forces of restraint that threatens to
propel him beyond liberalism and its ultimate commitment to the self-directing personality.
The entailment of conservatism cannot simply derive from the axiom of interdependence,
or from the recognition of society as structure separate from its parts, but must reside in
privileging unity or harmony above what is normatively required by life. While Hobson would
have disputed any such charge, appealing to the independent normativity of his notions of life
and illth, it may be that the model of organicism exerts, as Allett sees it, an independent pressure
for unity and the status quo at the expense of justice or equality implied by a model of democratic
socialism.
To the extent that the organic analogy coerces undue support for unity, I want to suggest
that complexity theory can offer a more nuanced model in order to theorize the relations
between individuals and social structures, as well as to theorize conception of causality, change
or evolution, creativity, originality, agency and much else besides. Indeed, I will claim, it
provides a revised model for social science and especially for educational research. Although
Hobson recognized certain complexity formulations, in most senses the organic analogy still
conforms to the prevailing notions of Enlightenment science in its focus on closed, deterministic
and integrable systems. In contrast, complexity theory represents a shift from matter-based to
an energy-based physics, and offers a non-reductionist conception of the relationship between
parts and whole that stresses the open nature of systems and where difference and unity are
paired in a new and novel manner.
Complexity theories thus provide better models that enable an avoidance of conservative
priority on unity or the status quo, do not prioritize the whole over the parts, or the spiritual
over the material, and are compatible with recent post-quantum traditions in science as they
have developed in the twentieth century. Although having roots in ancient Chinese and Greek
thought, versions of complexity theory are a relatively new field of scientific enquiry, and are
perhaps one of the most notable new developments since the advent of quantum theory in the
early 1900s. Such theories are not only compatible with materialism, but are systemic, or holist,
in that they account for diversity and unity in the context of a systemic field of complex
interactional changes.
In his book Complexity and postmodernism, Paul Cilliers (1998: viii) defines complexity in the
following way:
In a complex system . . . the interaction constituents of the system, and the interaction
between the system and its environment, are of such a nature that the system as a whole
cannot be fully understood simply by analysing its components. Moreover, these
relationships are not fixed, but shift and change, often as a result of self-organisation. This
can result in novel features, usually referred to in terms of emergent properties. The brain,
natural language and social systems are complex.
Cilliers presents a useful contemporary summary and update of complexity research.
Complex systems interact dynamically in a non-linear and asymmetrical manner. Interactions
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take place in open systems through ‘self-organisation’ by adapting dynamically to changes in
both the environment and the system. Self-organisation is an emergent property of the system
as a whole. An emergent property is a property that is constituted owing to the combination
of elements in the system as a whole. As such, it is a property possessed by the system but not
by its components.1 Cilliers (1998: 90) defines ‘self-organisation’ as ‘the capacity of complex
systems which enables them to develop or change internal structure spontaneously and
adaptively in order to cope with or manipulate the environment’. Such systems are not in
equilibrium because they are constantly changing as a consequence of interaction between system
and environment, and as well as being influenced by external factors are influenced by the
history of the system (1998: 66). Cilliers identifies social systems, the economy, the human
brain and language as complex systems.2
In the recent history of science, the work of Ilya Prigogine (1980, 1994, 1997, 2003;
Prigogine and Stengers, 1984; Prigogine and Nicolis, 1989) has advanced the field of postquantum complexity analysis at the macroscopic and microscopic levels, based in nonequilibrium physics, linked to the significant work of the Solvay Institutes for Physics and
Chemistry. Prigogine received a Nobel Prize in 1977. Like Nietzsche and others before him,
he translated the effects of a theory of becoming, based on a Heraclitean idea of ceaseless change,
providing a post-quantum understanding of the universe in terms of dimensions of chance,
self-organization, unpredictability, uncertainty, chaos, non-equilibrium systems, bifurication and
change. Prigogine’s central contribution was to non-equilibrium statistical mechanics and
thermodynamics and the probabilistic analysis of dissipative structures (2003: 45, 82). His main
ideas (expressed non-mathematically) were that ‘nature leads to unexpected complexity’ (2003:
8); that ‘self-organization appears in nature far from equilibrium’ (p. vii); that ‘the universe is
evolving’ (p. 9); that the messages of Parmenides (that nothing changes) must be replaced by
those of Heraclitus (that everything always changes) (pp. 9, 56); that ‘time is our existential
dimension’ (p. 9); that ‘the direction of time is the most fundamental property of the universe’
(p. 64); that nothing is predetermined (p. 9); that non-equilibrium, time-irreversibility, feedback,
non-integration and bifurication are features of all systems, including evolution, which is to
say that our universe is full of non-linear, irreversible non-determined processes (p. 59);
that life creates evolution (pp. 61, 65); and that everything is historical (p. 64). 3 Writing over
the same period as Michel Foucault,4 he was concerned to analyse irreversible processes that
generate successively higher levels of organizational complexity, where the complex phenomena
are not reducible to the initial states from which they emerged. His work has been especially
important for understanding changes within open systems,5 for theorizing time as a real
dimension,6 and for theorizing interconnectedness as a ‘characteristic feature of nature’ (2003:
54).7 Of especial relevance, his work theorizes the possibilities of chance as the outcome of
system contingencies.8
Prigogine speaks highly about Henri Bergson. Although, in his famous debate with Einstein,
Bergson clearly misunderstood relativity theory, he was right about the issue of time, says
Prigogine (2003: 61). For Bergson (1998), time was a real dimension, and, contrary to classical
views, he saw it as irreversible: ‘We do not think real time. But we live it, because life transcends
intellect’ (p. 46). The irreversibility of time dictates the impossibility of turning back, as well
as the irreversibility of decisions and actions. The broader view is one of life and the universe
as changing, where time means creation and elaboration of novel and original patterns. It enables
an understanding of how each individual is shaped by his/her society and yet unique. In such
a conception, where duration represents the real dimension of time:
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consciousness cannot go through the same state twice. The circumstances may still be
the same, but they will act no longer on the same person, since they find him at a new
moment in his history. Our personality, which is being built up each instant with its
accumulated experience, changes without ceasing. By changing, it prevents any state,
although superficially identical with another, from ever repeating it in its very depth.
That is why our duration is irreversible.
(Bergson, 1998: 5–6)
New actions will take place at new times. Life changes constantly, and new states are never
precisely repeated in identical form. In drawing from Bergson, Prigogine (2003: 20) notes how
such a thermodynamic vision once again makes individual agency pivotal. Independence
develops, not apart from the system, but in and through the system.
Such a complex analysis, which retains a conception of individual agency within system
parameters, was also centrally important for Hobson. In order to give his theory normative
anchorage, though, Hobson utilizes a philosophy of life. It was certainly Hobson’s normative
vision to promote enhanced well-being and human welfare as central. In accord with life
philosophy, it was Ruskin who gave Hobson his concept of social welfare. This involved
redefining the concept of wealth away from a concern with exchange, to a concern with its
intrinsic worth, or, as Allett (1981: 18) puts it, for its ‘life sustaining properties’. In representing
individuals as social beings, Hobson echoed the insights of Mackenzie who had written that
‘[i]t is only through the development of the whole human race that any one man can develop’
(Mackenzie, 2006: 180). This is a crucial theoretical axiom from the standpoint of educational
analysis, for it formulates the social democratic idea that it is the way we organize the society
at large and its institutional structures that is so crucial for the development of each and every
person. In such a view, the entire social democratic structure of society is a prerequisite for the
application of liberal principles, for uneven development and social inequality negate the
significance of liberal ideals such as freedom.
It was because of the inadequacy of representing individuals as solitary atoms that Hobson
derived the central importance of social and institutional organization. What frequently went
unacknowledged was the assistance that individuals utilized in achieving their plans. To embark
on a business initiative, for instance, presupposes sufficient acumen, skills, knowledge, resources,
capital and infrastructures, which presuppose their availability in institutional form. Production
thus has a ‘social element’ underpinning it. So, too, does individual development, for each human
being could only develop with various familial, educational and community assistance. Once
one acknowledges this, one sees that the development of adequate social structures is a
prerequisite for individual development.
Progress for Hobson was concerned with enhancing well-being, which exalted human
welfare as the end or good to be sought after. For Hobson, welfare was a necessary social good.
It is through his focus on welfare that he develops his economic philosophy concerned to develop
the well-being of all of the international community and all humanity. Work was the medium
through which individuals and societies would invest creative energy for production and
progress. It was work that generated ‘the power to sustain life’. 9
Hobson recognized that society was more than the separate individuals who comprised it,
and that classical liberalism could not adequately theorize the organic relations of individuals
within society. It was based on such a view that he advanced his theory of surplus.10 He theorized
surplus as arising through organized cooperation, which was essential to social and economic
production. It is through cooperation that individuals produce more than is possible simply as
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a function of each individual contribution.11 Cooperation is thus a productive power in Hobson’s
theory, both productivity and well-being being increased by it.
It was from his theory of cooperation that Hobson developed his theory of underconsumption, which has been his chief contribution to economic theory and was to have a
major influence on Keynes. In his classic book, co-authored with A.F. Mummery, The industrial
system, underconsumption is represented as the manifestation of dysfunctional economic
development, which distorts the system of the distribution of wealth and income by creating
waste and inequality. Capitalism inherently supports a system of distorted development. The
very process by which unproductive surplus was obtained, by business cunning and other
strategies of deception, meant that the overall distribution and investment lacked any correlation
with what the future of humanity required. Hobson proposed that a rational law of distribution
would be in accord with human needs and capacities, thus affirming an affinity with democratic
socialism of a distinctively social democratic variety.
Underconsumption was a surplus of production and too little consumption. It was an
economy with not enough spending. In Hobson’s view, underconsumption results from three
principal causes: overproduction, over-saving and unequal distribution of surplus. It was the
over-savings aspect that Keynes responded to. For Keynes, Hobson failed to distinguish savings
from investment. In Keynes’s theory, it was the distinction between savings and investment that
became central to his break from neoclassical economics. Too much saving, in his view, resulted
in too little investment, and, hence, the classical adage concerning the virtues of thrift were
incorrect from the point of view of benefit to the community. It was for this reason that Keynes
favoured public spending and government direction of investment to restore demand in
aggregate spending, whereas Hobson advocated a more moral and political argument against
unregulated capitalism.
Keynes can, in this sense, be seen as part of a tradition of social democratic thinking that
developed from the 1870s to the 1930s. In his later life, he acknowleged a great respect for
Hobson’s influence. His great contribution to social democracy was his appreciation of
complexity dynamics as effecting outcomes that rendered traditional neoclassical conceptions
of equilibrium effectively redundant. In this sense, he took Hobson’s organic analogy and
rendered it more fittingly as a complexity model.
His conception of uncertainty was not seen as something that could be overcome, or that
only operated in certain situations, but that arose as a consequence of the complexity created
by real time. Because individuals’ actions in time created unique patterns, it was theoretically
impossible to predict or foretell future events. As he states:
We have, as a rule, only the vaguest idea of any but the most direct consequences of our
acts . . . Thus the fact that our knowledge of the future is fluctuating, vague and
uncertain, renders wealth a peculiarly unsuitable topic for the methods of classical
economic theory . . . [A]bout these matters there is no scientific basis on which to form
any calculable probability whatsoever. We simply do not know.
(Keynes, 1937: 213–214)
Keynes proposed, in The general theory (1953: 152), that in such a situation the only recourse
is reliance on rules or conventions as to how the economy ought to work in order to produce
stability through institutional coordination. He thus incorporates post-quantum complexity
themes avant la lettre. This is especially important in relation to his conception of real time,
which underpins his views on ignorance, uncertainty and human agency. His conception of
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real time replaces the traditional Newtonian conception, which characterized neoclassical
economics as well as standard models of science. As O’Driscoll and Rizzo (1985) explain it,
Newtonian time is spatialized, represented as a succession of points (continuous time) or line
segments (discrete time) (p. 53), and is characterized by homogeneity, mathematical continuity
and causal inertness (p. 54). For Bergson (1998: 338), change, or succession, is not real in the
Newtonian theory. When it is conceived as a real addititive dimension, no matter how much
action reproduces the patterns of the past, any future actions will be unique, for the context
of repetition will always vary.
It is this reconfiguration of time through the recognition of complexity that results in
the emphasis on uncertainty in Keynes’s work. Uncertainty also incorporates novelty, nonrepeatability and unpredictability, and also entails indeterminism in decisions. It thus asserts
a thesis of creative human agency and imperfect foresight and knowledge. While creative
decision-making is possible, it is in relation to a world that is not only unknown but unknowable. Hence, the importance of ignorance means: ‘[t]he (perceived) unlistability of all possible
outcomes’ (O’Driscoll and Rizzo, 1985: 62). For Keynes, institutions, although not eliminating
uncertainty, attempt to control it. To see Keynes as a complexity management theorist broadens
the scope and relevance of his insights from economics to politics, and from politics to education.
For all institutions play a crucial role in sustaining life and achieving equilibrium of forces.
Complexity and education
Keynes’s arguments for the economy, regarding uncertainty, risk and ignorance as the outcome
of complex determinations, are applicable outside the economy narrowly defined, and can be
seen to apply to other areas: welfare, various forms of assistance for disability and critical need;
matters of urgency or crisis (floods, tornados, tsunamis, hurricanes etc.); health, or education
or training.
In this quest for complexity reduction, education is a central institution, as was recognized
by John Dewey, who explored the role and function of education in adapting to, and coping
with, uncertainty in the environment. For Dewey, education was conceptualized, not as a
discipline-based mode of instruction in ‘the basics’, but according to an interdisciplinary,
discovery-based curriculum defined according to problems in the existing environment. As
Dewey says in Experience and nature, ‘The world must actually be such as to generate ignorance
and inquiry: doubt and hypothesis, trial and temporal conclusions . . .’ (1929: 41). The rules
of living and habits of mind represent a ‘quest for certainty’ in an unpredictable, uncertain and
dangerous world (p. 41). For Dewey, the ability to organize experience proceeded functionally
in terms of problems encountered that needed to be overcome in order to construct and navigate
a future. In terms of learning theory, Dewey used the concept of ‘continuity’ in order to theorize
the link between existing experience and the future based upon the ‘interdependence of all
organic structures and processes with one another’ (1929: 295). Learning, for Dewey, thus
represented a cooperative and collaborative activity centred upon experiential, creative responses
to contingent sets of relations to cope with uncertainty. As such, Dewey’s approach conceptualizes part and whole in a dynamic interaction, posits the learner as interdependent with the
environment, as always in a state of becoming, giving rise to a dynamic and forward-looking
notion of agency as experiential and collaborative. In such a model, learning is situational in
the sense of always being concerned with contingent and unique events in time.
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Central to such a complexity approach is that learning must deal with the uncertainty of
contingently assembled actions and states of affairs, and by so doing it transforms itself from an
undertaking by discrete individuals into one that is shared and collective activity. In terms of
navigating a future in relation to economics, politics or social decisions, it places the educational
emphasis upon the arts of coordination. It is through plan or pattern coordination that
institutions function and that a future is embarked upon. Because in planning one must assume
incomplete information due to the dispersal of knowledge across social systems, such coordination can be more or less exact or loosely stochastic and probabilistic in terms of overcoming
uncertainty. Because learning is time-dependent, and individuals and communities are always
experiencing unique features of their worlds, uncertainty cannot be eliminated. Hence, all that
is possible is pattern coordination in open-ended systems, where planning is formed around
‘typical’ rather than ‘actual’ features. Such plan or pattern coordination can only be a constructed
order. Constructing plans becomes the agenda for education for life in Dewey’s sense. Dewey
ultimately held to the faith, as Keynes did, that, despite unpredictability and uncertainty, the
macro-societal (or macro-economic) coordination of core social problems was possible.
Such a complexity approach is also pertinent for new research in the sociology of education,
for such approaches can contribute to the study of non-linear dynamics in order better to
understand schooling. Rather than view the social system in the image of traditional social
science, inspired by Newtonian mechanics, as a linear system of predictable interactions, the
approach of both Hobson and Keynes highlights the emergent character of social systems
as self-organizing, non-linear and evolving systems, characterized by uncertainty and
unpredictability and emphasizing both determinism and chance in the nature of events. What
characterizes an emergent phenomenon is that it cannot be characterized reductively solely in
terms of an aggregative product of the entities or parts of a system, understood through linear,
mechanistic, causal analysis, in terms of the already-known behaviours and natures of the parts,
which are themselves ontologically represented as constants, but must be seen non-reductively
in relation to their contingent self-organization in terms of non-linear dynamics, as well as a
theory of real time and of emergent phenomena. Schooling in such a view is characterized as
a dynamic system whose states change with time through iteration, non-linearity and selforganization. Such an approach does not displace traditional mechanistic linear analyses, such
as those that assert correlations between social class and educational attainment, but supplements
them. It enables a more nuanced consideration of their variabilities. For the sociology of
education, this has the advantage of forging a new reconciliation of the micro–macro issues,
enabling a theory of social life where levels of analysis between individual and group, as well
as determinism and human agency, can be more accurately assessed. Its mission becomes that
of describing and explaining the complexity of systems and their changes, starting from a
conception of the whole, while avoiding an exclusive emphasis on atoms or sensations that
characterized the old Newtonian paradigm. It offers the scope of supplementing linear
mathematical analyses with non-linear mathematical or qualitative analyses for addressing issues
of future concern. Theoretically, too, it enables a new approach to the modelling of social
systems where the parts of a system interact, combine and modify or change in novel and
unpredictable ways, and where the parts themselves may change in the process. In this, it enables
us better to understand the role of individuals and of human agency in relation to systems,
institutions and cultural patterns; how decisions of the will may introduce into the course of
events a new, unexpected and changeable force; how the moral qualities of individuals can
alter the course of history; and why, as some older sociological and philosophical approaches
tended to maintain, such phenomena as the qualities of individuals or actions in life cannot be
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explained solely by general sociological laws of development, social class attributes or cultural
patterns. Although individuals are constituted by external social forces, given that time and
space individuate those forces, the products of social evolution are inevitably unique and, in
addition, through the exercise of imagination, choice operates to forge a conception of freedom
quite compatible with the social production of selves. Such an account thus makes possible
more historical forms of method, where contingency (both dependent causality, mutability and
uncertainty) and novelty, free choice, creativity and unpredictability become integral elements
of the research approach, and where top-down forms of deductive reasoning must be balanced
by bottom-up analyses of individual or group agency and social interaction.
Finally, to conclude, we can also note that contemporary sociological approaches, such as
that of Michel Foucault, contain complexity accounts of change of relevance for extending
work in the sociology of education. Foucault’s notion of dispositif, or apparatus, as a ‘strategic
assemblage’ enables a conceptualization of the school within a new pluralist reconciliation of
part and whole simultaneously balancing the poles, as he calls them, of ‘individualization’ and
‘totalization’. For Foucault, the dispositif was defined as
a resolutely heterogeneous grouping comprising discourses, institutions, architectural
arrangements, policy decisions, laws, administrative measures, scientific statements,
philosophic, moral and philanthropic propositions, in sum, the said and the not-said, these
are elements of apparatus. The apparatus is itself the network that can be established
between these elements.
(Foucault, 1980: 194)
In this conception, Foucault makes it clear that the apparatus permits a duality of articulation
between discourse and material forms that varies contingently and operates in non-linear ways,
resisting linear, mechanical, causal explanations of the traditional Newtonian sort. It is in this
sense that every form is a contingently expressed compound of relations between forces. Such
multiple articulations are indeed essential to his idea of how an entity or construct constitutes
its being in time, as well as to his conception of historical change, as well as to his conception
of strategy as a non-subjective intentionality; that is, as an order that cannot be reduced to a single
strategist or underlying cause or actor, but which nevertheless has intelligibility at the level of
the society or institutions that emerges from an assemblage of heterogeneous elements, operating
contingently and unpredictably within time and space. For Foucault, phenomena such as
sexuality, security and normalization constitute such strategic assemblages. In such a model, as
for Dewey, the school functions as a stabilizing mechanism that reduces or manages complexity,
constituting it as a variably and contingently constituted disciplinary strategy within life
itself. Issues such as ‘early school leaving’, ‘employability’ or ‘the curricula’ define the school as
such a stabilizing institution, concerned to adapt education to labour market requirements and
citizens to society. In such a model, the school is an institution that enables the navigation of
an uncertain future.
Notes
1
2
For other forms of emergentist materialism in Western thought, see Bunge (1977), Haken (1977,
1990) and Eve et al. (1997).
For another view of complexity theory, see Kauffman (1993, 1995). Kauffman suggests that, although
events can be seen as having antecedent conditions that explain them, in open environments the
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3
4
5
6
7
8
9
10
11
possible combinations are unpredictable. Other characteristics of complex systems are that they do
not operate near equilibrium; the relationships between components are non-linear and dynamic;
elements do not have fixed positions; the relationships between elements are not stable; and there
are always more possibilities than can be actualized.
Prigogine mostly applies these ideas to physical systems, but does sometimes demonstrate their
applicability to the social and human world. Discussing his theories of time and irreversibility, he
notes how every event (e.g. a marriage) ‘is an irreversible event’ (2003: 67). The consequence of
irreversibility is that ‘it leads to probabilistic descriptions, which cannot be reduced to individual
trajectories or wave functions corresponding to Newtonian or Quantum mechanics’ (p. 75).
Prigogine’s publications date from 1964 until shortly before his death in 2003.
This involves a different description at the level of physics of elementary processes and a reversal
of classical physics which saw systems as integrable, leading to determinism, and premised on time
reversibility and equilibrium (as from Newton to Poincaré). Prigogine’s approach replaces classical
and quantum mechanics in a concern for thermodynamics and probability and emphasizes variables
such as noise, stochasticity, irreversibility. Such an approach suggests distinct limits to reductionism.
In this, he differs from Einstein, who saw time as an illusion, as well as from classical mechanics.
He acknowledges debts to Bergson (Prigogine, 2003: 19–20), to Heidegger (2003: 9) and to
Heraclitus (2003: 9, 10).
Interconnectedness means that ‘individualities emerge from the global’, and counters the idea that
‘evolution is independent of environment’ (2003: 54).
Pomian (1990) discusses issues such as determinism and chance in relation to Prigogine’s work. Also
see Prigogine (1997).
Hobson adopted a number of Ruskin’s phrases, and this is one of them. I cite from Long (1996:
18).
Surplus was either productive, through labour and cooperation, or unproductive, through rents,
interests or profit.
Hobson gives the example of three persons building a boat to illustrate how, through cooperation,
each can contribute to something that individually they could not have produced (see Hobson,
1996: 146–147).
References
Allett, J. (1981) New liberalism: the political economy of J.A. Hobson, Toronto: Toronto University Press.
–––– (1990) ‘The conservative aspect of Hobson’s new liberalism’, in M. Freeden (ed.) Reappraising
J.A. Hobson: humanism and welfare, London: Unwin Hyman, pp. 74–99.
Bergson, H. (1998, originally 1911) Creative evolution (trans. Arthur Mitchell), New York: Dover
Publications.
Berki, R.N. (1981) On political realism, London: Dent.
Bunge, M. (1977) ‘Emergence and the mind: commentary’, Neuroscience 2: 501–509.
Cilliers, P. (1998) Complexity and postmodernism: understanding complex systems, London: Routledge.
Dewey, J. (1929) Experience and nature, New York: Dover Publications.
Eve, R.A., Horsfall, S. and Lee, M.E. (1997) Chaos, complexity and sociology: myths, models and theories,
Thousand Oaks, CA: Sage Publications.
Foucault, M. (1980) ‘The confession of the flesh’, in C. Gordon (ed.) Power/knowledge: selected interviews
and other writings, 1972–1977, New York: Pantheon, pp. 194–228.
Haken, H. (1977) Synergetics – an introduction, Springer Series of Synergetics, 1, Berlin: Springer.
–––– (1990) ‘Synergetics as a tool for the conceptualization and mathematization of cognition and
behaviour – how far can we go?’, in H. Haken and M. Stadler (eds) Synergetics of cognition, Berlin:
Springer, pp. 2–31.
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Hobson, J.A. (1996, reprint of the 1902 edition) The social problem (Introduction by James Meadowcroft),
Bristol: Thoemmes Press.
Kauffman, S.A. (1993) The origins of order: self-organisation and selection in evolution, New York: Oxford
University Press.
–––– (1995) At home in the universe; the search for laws of complexity, London: Viking Press.
Keynes, J.M. (1937) ‘The general theory of employment’, Quarterly Journal of Economics 51(2) February.
–––– (1953, originally 1936) The general theory of employment, interest and money, San Diego, CA: Harcourt,
Brace Javanovich Publishers.
Long, D. (1996) Towards a new liberal internationalism: the international theory of J.A. Hobson, Cambridge:
Cambridge University Press.
Mackenzie, J.S. (2006, originally 1890) An introduction to social philosophy, New York: Elibron Classics.
O’Driscoll, G.P. and Rizzo, M.J. (1985) The economics of time and ignorance, Oxford: Basil Blackwell.
Pomian, K. (ed.) (1990) La querelle du determinisme. Philosophie de la science aujourd’hui, Paris: Gallimard/
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–––– (1994) Time, chaos and the laws of chaos, Moscow: Ed. Progress.
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8
The ‘new’ connectivities
of digital education
Neil Selwyn
The social significance of connectivity
The notion of (dis)connection underpins the organization of all aspects of human life, from the
biological and social, to the economic and technological. As such, connectivity has been a
central element of societal change throughout history. Key developments in corporeal travel
and communications technology, for example, underpinned a steady intensification of the
connectedness of everyday life throughout the nineteenth and twentieth centuries. Innovations
such as the telegraph, railway engine and airplane were associated with fundamental shifts in
the connections between people, places, institutions and information. Yet it could be argued
that the past thirty years have been subject to a set of especially accelerated and intense shifts
in connectivity. A distinct ‘imperative to connect’ is acknowledged to underpin recent
geopolitical, economic and technological shifts of globalization, deriving in no small part from
rapid advances in connectivity fostered by information and telecommunications technologies
(Green et al., 2005). In particular, the connectivities afforded by the Internet have been
foregrounded in popular and academic accounts of late-modern societal change in terms of the
‘network society’, ‘shrinking world’, ‘digital age’ and so on. With these recent articulations of
connectivity in mind, the present chapter examines the bearing of Internet connectivity on the
processes and practices of contemporary education.1
This chapter argues that technology-enhanced connectivity merits close consideration from
sociologists hoping to make sense of the apparently fast-changing nature of education in the
(late-) modern age. In particular, it argues that careful thought needs to be paid to the networked
connectivities that digital technologies such as the Internet now afford – i.e. the interconnection
of people, objects, organizations and information, regardless of space, place or time. As Kevin
Kelly (1995: 201) noted at the beginning of the Internet’s rise to mainstream prominence, ‘the
central act of the coming era is to connect everything to everything . . . all matter, big and
small, will be linked into vast webs of networks at many levels.’ The subsequent integration of
Internet connectivity into many aspects of everyday life has prompted popular and political
commentators to proclaim networked ‘connectedness’ as an ‘essential feature’ of contemporary
society (Rifkin, 2000). Even within the relatively sober terms of academic sociology, the notion
of networked connectivity is now being touted as an ‘organizing framework in which all
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institutions, knowledge and relationships are ordered’ (Cavanagh, 2007: 24). So, if these claims
are to be believed, what are the implications for education in the early twenty-first century?
The remainder of this chapter considers how digital technologies such as the Internet are shaping
the connectivities of education and learning, and in so doing attempts to unpack the various
discourses of novelty and transformation that often pervade discussions of education and
technology. In particular, the chapter seeks to challenge the dominant orthodoxy within the
education community that Internet connectivity is somehow leading to new and improved
forms of education. Having laid out the basis for a critique of connectivity, I conclude by offering
some suggestions for future sociological investigations of education and learning in an era of
ever-increasing Internet use.
The technologies and conditions of networked connectivity
While the concept of connection has long been a central element of computer science and
information systems thinking, the proliferation of the World Wide Web during the 1990s
and 2000s has placed networked connectivity at the heart of contemporary technology design,
development and use. Using the World Wide Web via the Internet is now part of the fabric
of everyday life for many citizens in developed countries – with a present global population of
around 1.3 billion users soon set to treble once the capacity for wireless Internet access is
extended to the world’s 3.6 billion mobile telephone users (Castells, 2008). The Internet
(international network) was designed to be a global network of connected computerized devices
that can communicate with each other and exchange data via a series of software protocols.
Unlike previous forms of networked computing, the architectural logic of the Internet was
predicated upon ‘the interconnectedness of all elements’ (Dreyfus, 2001: 10), a condition
described by technologists as a ‘rhizomatic’ connectivity akin to the underground stem systems
of plants whose roots and stems are both separate and collective. As with these rhizomatic plants,
every point on the Internet has the potential to be a recipient and provider of information.
Perhaps more than any other aspect of its design, it is this interconnected logic that is the defining
technical feature of the Internet.
The Internet-based applications of the 1990s, such as email and downloading information
resources from web pages, marked a significant step-change in computer users’ sense of
connection. The subsequent wave of ‘web 2.0’ tools during the 2000s then led to what many
technologists describe as a ‘mass socialization’ of Internet connectivity (see O’Reilly, 2005;
Shirky, 2008). Unlike the ‘broadcast’ mode of information exchange that characterized Internet
use in the 1990s, web 2.0 applications such as Wikipedia, Facebook and YouTube were
predicated upon connectivity to openly shared digital content that was authored, critiqued,
used and reconfigured by a mass of users – what is termed a condition of ‘many-to-many’
connectivity as opposed to a ‘one-to-many’ mode of transmission. Most recently, interest is
growing in the development of ‘semantic web’ technologies that seek to augment individuals’
interactions with the Internet via machine-provided artificial reasoning, therefore fostering
and supporting ‘intelligent’ forms of connectivity (see Ohler, 2008). While differing in terms
of technical design, all these forms of Internet use share a common sense of individual users
being connected to anything and anyone else on the Internet. In this sense, the individual Internet
user can be seen as subject potentially to an ‘always-on’ state of connectivity.
Of particular sociological interest is how these technical capabilities have informed a range
of claims concerning the social nature of Internet connectivity. This is perhaps most evident
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in the widely held belief in the Internet somehow being able to ‘liberate’ the user from social
structure and hierarchy, boosting individual freedoms and reducing centralized controls over
what can and what cannot be done. For many commentators, the various forms of Internet
connectivity described above imply a fundamental reconfiguration of the social. At a macro
level of analysis, for example, the ‘flattening out’ of hierarchies and the introduction of
‘networking logic’ to the organization of social relations is seen to support the open
(re)configuration of society and corresponding underdetermination of organizational structure
(e.g. Castells, 1996; Friedman, 2007). Conversely, a micro level ‘sense’ of connectivity is seen
to boost the individualization of meaning-making and action. Here, it is argued that the
contemporary condition of enhanced connectivity between individuals, places, products and
services has prompted a resurgence of more ‘primitive’, pre-industrial ways of life. For instance,
the Internet has long been portrayed as rekindling a sense of tribalism, nomadism and
communitarianism (D’Andrea, 2006; Rheingold, 1994). A range of claims have also been made
regarding the role of the Internet in providing new opportunities for informal exchanges of
knowledge, expertise and folk-wisdom (Sproull and Kiesler, 1991), supplementing an
individual’s social capital (Haythornthwaite 2005; Wellman et al., 2001) and even ‘breaking
down the barriers and separate identities that have been the main cause of human suffering and
war’ (Mulgan, 1998, cited in Robins and Webster, 2002: 247). Even if we discount the more
fanciful and idealistic aspects of such accounts, the majority of popular and academic commentary
concurs that Internet connectivity has recast social arrangements and relations along more open,
democratic and ultimately empowering lines. As Charles Leadbeater concluded recently:
the web’s extreme openness, its capacity to allow anyone to connect to virtually anyone
else, generates untold possibilities for collaboration . . . the more connected we are, the
richer we should be, because we should be able to connect with other people far and wide,
to combine their ideas, talents and resources in ways that should expand everyone’s property.
(2008: 3)
The educational seductions of Internet connectivity
Amid this broad consensus, the specific educational merits of networked connectivity have tended
to be expressed through a set of articulations concerning the empowerment of individual learners
within networks of connected learning opportunities. Perhaps most prominent is a perception
that the Internet offers a ready basis for learning to take place as a socially situated and communal
activity. In particular, Internet-based learning is often seen to embody sociocultural and
constructivist views of learning being ‘situated’ within networks of objects, artifacts, technologies
and people. The centrality of Internet connectivity to current articulations of sociocultural
theories of learning is reflected most explicitly in an emerging theory of ‘connectivism’ that
frames learning as the ability to access and use distributed information on a ‘just-in-time’ basis
(see Siemens, 2004). From this perspective, learning is seen as an individual’s ability to connect
to specialized nodes or information sources as and when required, and the attendant ability to
nurture and maintain these connections. As Siemans (2004) puts it, learning is therefore
conceived in terms of the ‘capacity to know more’ via the Internet, rather than reliance on the
accumulation of prior knowledge in terms of ‘what is currently known’.
Aside from a prominent role within accounts of the cognitive ‘science’ of learning, notions
of networked connectivity are increasingly prevalent within popular, political and academic
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understandings of the social processes and practices of ‘doing education’. In particular, the
Internet is often described as underpinning the capacity of individual learners to build and
maintain connections with various components of the education system – what is presented in
policy terms as the ‘personalization’ of learning. This notion of personalization reverses the
logic of education provision, ‘so that it is the system that conforms to the learners, rather than
the learner to the system’ (Green et al., 2006: 3), with learners therefore (re)positioned at the
centre of networks of learning opportunities. Within these accounts of personalization, any
such repositioning of the individual learner is assumed usually to be contingent on the use of
the Internet and other digital technologies. For example, the Internet-connected learner is often
celebrated as being no longer the passive recipient of learning instruction but cast instead into
an active role of (re)constructing the nature, place, pace and timing of the learning event. As
Nunes (2006: 130) concludes, contemporary forms of technology-supported education now:
conflate access and control; transmission in other words is figured as a performative event
in the hands of the student, thereby repositioning the student in relation to institutional
networks. To this extent, the [student] is anything but marginal; as both the operator
that enacts the class and the target that receives course content, the student occupies a
metaphorical and experiential centre for the performance of the course.
The perceived capacity of the Internet to enhance the ‘goodness of fit’ between education
provision and individual circumstance has also been promoted as increasing the democratization
of education opportunities and outcomes. In this sense, learning with the Internet is portrayed
as more egalitarian and less compromised than would otherwise be the case. Through Internet
connections, for example, it is argued that learners can enjoy access to a more diverse range of
formal and informal learning opportunities, regardless of geography or socio-economic
circumstance. Much has also been written about the Internet’s capacity to stimulate episodes
of informal learning through access to vast quantities of information – what has been described
in some quarters as a realization of ‘the dream of the universal library’ (Kruk, 1999: 138). This
democratizing of formal and informal opportunities to learn has prompted much enthusiasm
among politicians and policymakers, who see increased connectivity to information, people
and resources as a significant means of ‘empower[ing] people with new opportunities for the
future’ (Gordon Brown, 2008), regardless of circumstance or social background. As such,
the notion of boundless Internet connectivity corresponds with a number of social as well as
educational agendas, not least the enhancement of social justice and reduction of social
inequalities.
Towards a critical perspective of Internet connectivity and
education
These preceding arguments – and others like them – underpin an established orthodoxy in the
minds of many educationalists and policymakers. Here, connectivity via the Internet is seen to
offer the basis for a ‘transformation’ of contemporary education, centred on the actions of the
empowered individual learner. Of course, education is not the only domain of social activity
where such transformatory expectations are expressed. Indeed, much discussion of the Internet
and society centres on assumptions of personalization and improvement where ‘the connection
between the individual and the social whole becomes increasingly personalized according to
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the use of commodities and devices which facilitate this connection’ (Holmes, 1997: 38). Against
this background, the tendency of educationalists to celebrate individuals’ self-determination of
their learning via the Internet is perhaps best seen as a constituent element of a wider societal
turn towards the networked individualism of everyday life (see Beck and Beck-Gernsheim,
2002).
While remaining mindful of these wider discursive contexts, I would argue that the
transformatory rhetoric currently found within prevailing accounts of education ‘in the digital
age’ is worthy of specific attention from sociologists of education. In particular, there is a need
to counter the uneasy and often unconvincing amalgam of theoretical agendas that currently
propel much educational thinking about the Internet towards an unwarranted valorization of
the individual ‘rational’ learner operating within an efficient technological network. While the
tendency to approach technology-based processes as a closed ‘black box’ is not unique to
education, I would contend that there is a need for educationalists to give due consideration
to the socio-technical nature of educational technology use and, it follows, acknowledge the
perpetuation of rather more ‘messy’ social relations and structures. In particular, more thought
needs to be given to the apparent continuities, as well as the potential discontinuities, of
education in the Internet age, therefore considering ‘whether technology-based action simply
adds on to existing social relationships or in fact, transforms them’ (Gane, 2005: 475). Thus, it
is in relation to challenging prevailing expectations of transformation and novelty that sociology
of education has a clear and important role to play.
Perhaps the most obvious corrective that sociologists can offer is a refocusing of debate
towards the present realities rather than future potentials of Internet-based education. The ‘dearly
held commitment to the here and now’ that characterizes most sociological enquiry (Cavanagh,
2007: 7) allows for further questions to be raised concerning the disappointments, silences and
contradictions of educational Internet use. In this sense, issues of inequality and exclusion are
perhaps in most need of being (re)introduced into current discussion. Despite an ongoing
concern with digital exclusion in disciplines such as communication studies and information
science (see Yu, 2006), discussions of the Internet among educationalists have tended to pay
little attention to the exclusionary potentials of networked learning. Of course, most
educationalists would concur that the notion of all learners benefitting from unfettered and
equitable connectivity to the same resources is, at best, ambitious. Even as levels of Internet
connectivity appear to approach ‘universal’ levels in some developed countries, inequalities
between groups of ‘information-haves’ and ‘information-have-less’ remain. These inequalities
range from basic abilities to self-include oneself into networks, to subsequent abilities to benefit
from these connections once they are established. We are also reminded by sociological
studies of Internet use throughout the general population that connectivity should not be seen
as a constant state – one is not ‘connected for life’ once having used the Internet. Instead,
individuals often ‘dip’ in and out of Internet use as life-stage and circumstances dictate (see
Anderson, 2005). Thus issues of disconnectivity certainly require more foregrounding in
current education debate.
The promise of online connectivity to (m)any places and people should also not obscure
what sociologists would identify as the continued importance of immediate ‘local’ contexts in
framing learning processes and practices. In this sense, it is erroneous to perceive technologybased learning as somehow ‘detached from the spatial condition of common locality’
(Thompson, 1995: 32). One particular shortcoming within current descriptions of the Internet
and education is the often context-free and abstracted reading of connections between learners,
institutions and information. Instead, any instance of online learning is better understood as
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being situated within local contexts such as the school, university, home and/or workplace
and, it follows, the social interests, relationships and restrictions that are associated with them.
This contextualized perspective on the Internet and education allows for recognition of the
many compromises of Internet connectivity for the individual learner that are not often
acknowledged within education debate. For instance, within schools and universities, the
‘official’ establishment of Internet connectivities is often centred on concerns and interests of
the institution rather than the interests of the individual. This can be seen, for example, in
education institutions’ implementation of digital technologies to support bureaucratic and
administrative concerns, not least significant ongoing investments in student information
systems, payroll software and managed learning environments. It could be argued that these
priorities leave educational use of the Internet often shaped by ‘new managerial’ concerns of
efficiency, modernization and rationalization of spending costs, rather than specific concerns
of learning and learners. Against this background, the shaping of connectivity around the interests
of the institution rather than the interests of the individual merits more consideration in
analyses of contemporary education.
A further issue highlighted by a sociological reading of connectivity is the enrolment of
individuals into bureaucratic networks of surveillance. It has often been argued that the
information society is perhaps more accurately seen as a ‘surveillance society’, with innumerable
electronic networks accumulating and aggregating information on individuals’ everyday activities
and transactions (see Lyon, 2006). Much has been written of the digital extension of Foucault’s
notion of the Panopticon as disciplinary technology, with electronic networks seen to act as
ready means of surveillance, observation and regulation (e.g. Poster, 1995). In an educational
sense, therefore, the Internet can be seen as contributing to the internal surveillance of learners
within education institutions, alongside the external surveillance of education institutions
through the management of performance information. As Hope (2005: 360) concludes, while
the practices and processes of education are predicated upon observation and knowledgegathering about learners, ‘technological developments have meant that both the capacity to
carry out surveillance and the potential for resistance have grown’. These opportunities to resist
and test authority range from the relatively playful ability for students to conceal their informal
online activities, to the rather more challenging instances of ‘sousveillance’, where students (and
others) can seek access to proscribed online information through ‘hacking’ into otherwise
restricted administrative systems and databases.
A sociological perspective also raises questions of how digital technologies are shaping
connections between education systems and the interests of state, economy, industry and other
stakeholders. Perhaps the most prominent manifestation of this element of education technology
has been the political use of the Internet as a policy device to align education systems more
closely with global economic concerns of national competiveness and the up-skilling of
workforces. Yet, aside from these concerns of economy and nation, the Internet should also
be seen as one of the many ‘privatizations’ of contemporary education (see Ball, 2007). This
is evident, for example, in terms of the privatization of Internet use within educational
institutions, with school and university use of online content and services becoming a core
element of the fast-growing education services industry in most developed countries. Similarly,
in many developing countries, information technology networks are now well established as
a focus for philanthropic activity and quasi-developmental aid from organizations in the US
and elsewhere in the developed world. This is perhaps most apparent at present in initiatives
such as ‘One laptop per child’, where developing nations are encouraged to invest in USproduced laptop computers to ‘create educational opportunities for the world’s poorest children
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by providing each child with a rugged, low-cost, low-power, connected laptop with content
and software designed for collaborative, joyful, self-empowered learning’ (OLPC, 2008). This
use of Internet connectivity prompts obvious comparison with what Ball (2007: 125) terms
the ‘Victorian, colonial philanthropic tradition [of] outsiders behaving as if they were
missionaries’. In short, instances such as these highlight the fact that the Internet serves to connect
education systems – as well as individuals and institutions – to a wide range of interests
and agendas that they may have previously been less directly connected with (see also Michael
W. Apple’s (2004) discussion of the use of Internet-based tuition by neo-conservative and
fundamentalist religious groups in the US to support alternative forms of home schooling outside
state control).
Conclusion
This brief discussion hopefully illustrates the contribution that sociology may make in providing
a counterpoint to the orthodoxy of optimism that otherwise surrounds the Internet and
education. In particular, this chapter has sought to highlight a number of key issues and tensions
worthy of further investigation by anyone seeking to make sense of contemporary education.
Above all, any discussion of the Internet and education should include consideration of issues
such as disconnection, disempowerment, inequality, commercialization, bureaucracy, power,
control and regulation. In providing a ‘way in’ to unpacking these issues, a sociological
perspective on education and connectivity is able to help refocus debate towards the similarities
and continuities between the present, ostensibly ‘new era’ of digital education and education
in preceding times. Indeed, many of the issues and tensions highlighted in this chapter lend
support to Holmes’ (1997: 28) contention that ‘computerization and its connectivity are
continuations of the social contract by other – if more efficient – means’. With this thought
in mind, I would argue that the study of education would benefit from richer understandings
of the deep embedding of technology-based practices within the realities of social relations. In
this sense, sociologists of education are well placed to re-politicize the debate over technology
and education, and refocus discussion away from the presumed transformation of social relations
and towards more realistic readings of the technological.
The need remains, therefore, for careful reconsideration of the ways in which educationalists
approach the ‘promise’ of Internet connectivity. In particular, it would seem clear that important
discussions of difference need to take place, asking who benefits in what ways from the
connectivities supported by the Internet and other digital technologies. For instance, does the
Internet amplify rather than disrupt existing social patterns and relations? Is the Internet acting
merely as an instrument of empowerment for the already empowered and therefore furthering
the reciprocal relationship between online and offline? Moreover, what are the differences
between an individual having connectivity ‘done to them’, as opposed to being able to ‘do’
connectivity themselves? What advantages and pleasures (if any) are to be had by being
disconnected rather than connected? It is likely that such questions will grow in significance
as the twenty-first century progresses and education becomes framed increasingly within a
‘register of connectivity’ (Wittel et al., 2002: 208). Redressing these tensions through sustained
empirical and theoretical analyses should now constitute a next step in a rigorous, sociologically
informed rethinking of the connectivities of contemporary education. The prevailing ‘imperative
to connect’ within contemporary education should be accompanied by an attendant imperative
to critique as well as celebrate.
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Note
1
While I remain mindful of the political-economic significance of non-technology based connectivity,
this chapter focuses primarily on the educational implications of connections afforded by digital
technologies – in particular the Internet. Broader considerations of globalization and the
‘disembedding’ of social systems of late/postmodern society provide the focus for other chapters in
this book, such as the contributions from Susan L. Robertson, Roger Dale, Jane Kenway, Hugh
Lauder and others.
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9
A cheese-slicer by any other name?
Shredding the sociology of inclusion
Roger Slee
At the age of 82, Mikhail Kalashnikov, the inventor of the AK-47 rifle, first produced in 1947,
declared: ‘I wish I’d made a lawnmower.’ He lamented the destructive deployment of his
invention (gasp) and wished that he’d made ‘. . . something that would help farmers with their
work’ (Connolly, 2002). While it is not altogether convincing that a former Russian military
officer is taken aback by the malevolent application of his weapon, there have been many
instances where well-meaning projects have generated perverse effects. Connolly (2002)
instances Einstein. Distraught at his contribution to the development of the atom bomb, he
reflected that he should have been a watchmaker rather than a physicist. Grunenthal, the German
pharmaceutical company, developed thalidomide as an anti-emetic to assist pregnant women
with morning sickness, apparently oblivious to side effects. History is littered with such
unintended outcomes.
Surveying the field of inclusive education, we are confronted by the unintended consequences
that diminish its record of reform. This chapter is a brief reminder of the importance of the
sociology of education to the emergence of inclusive education as an explanatory framework,
as well as educational aspirations and practices. I will consider how the appropriation and
popularization (Said, 2000) of inclusive education by traditional special education and educational
management have resulted in escalating levels of exclusion and increased educational vulnerability.
My aim is to expand the objective of inclusive education from the diagnosis of individual student
deficits, to be ameliorated through specialist interventions and the fabrication of individual
education plans, to a more expansive interrogation of the political economy of schooling as a
platform for reconstruction congruent with the challenges of new times in education.
Understanding exclusion?
Exclusion is ubiquitous (Harvey, 1996; Bauman, 1997, 2004, 2008). Educational disadvantage
and exclusion may reveal themselves in confronting and obvious forms. Alternatively, they
may lurk in, and operate through, the shadowy world of what I loosely call school cultures:
an agglomeration of pedagogic practices, curriculum choices, assessment regimes and the
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demographic and policy context of schooling (Apple, 2006; Ball, 2008a; Bernstein, 1971, 1996;
Unterhalter, 2007). An obvious global manifestation of disadvantage and exclusion is shaped
by the economic gulf that divides the so-called developed and developing nation-states. The
extremes between wealth and poverty reveal educational and social marginalization at a level
that is overwhelming. ‘Eight million people’, writes Jeffrey Sachs, ‘around the world die each
year because they are too poor to stay alive’ (2005: 1). The United Nations Secretary-General’s
Special Envoy for HIV/AIDS in Africa, Stephen Lewis, is driven to ‘perpetual rage’ (2005: 4)
when speaking of the extent, depth and causes of the degradation of Africa in the face of the
pandemic. He cites the International Monetary Fund and the World Bank as architects of
continuing immiseration through their insistence on ‘conditionality’ in the structural adjustment
programme that governs loans.
The conditions ranged from the sale of public sector corporations, to the imposition of
‘cost-sharing’ (the euphemism for user fees imposed on health and education), to savage
cutbacks in employment levels in the public service, mostly in the social sectors. To this
day, the cutbacks haunt Africa: the IFIS continue to impose ‘macroeconomic’ limits on
the numbers of people (think nurses and teachers) who can be hired, and if that doesn’t
do the trick, there are financial limits placed on the amount of money that can be spent
on the social sectors as a percentage of a country’s gross national product (GNP). The
damage is dreadful. One of the critical reasons for Africa’s inability to respond adequately
to the pandemic can be explained by user fees in health care . . . at the heart of structural
adjustment policies there lay two absolutes: Curtail and decimate the public sector;
enhance, at any cost, the private sector.
(Lewis, 2005: 5–6)
The complicity of the so-called developed world in the continuing plundering of the
colonized and marginalized world has been meticulously chronicled (Ball and Youdell, 2008;
Emmett and Green, 2006; Jones, 2006). My point here is that there is an obvious and shameful
process of educational and social exclusion of staggering proportion. A ‘. . . recent recalculation’,
suggests that, ‘there are about 77 million children not enrolled in school and an estimated 781
million adults who have not yet had the opportunity to learn to read and write – two-thirds
of them women’ (UNESCO, 2007). While such phenomena seem remote, only reaching us
intermittently through the light touch of headlines and celebrity causes, there are local
‘geographies of exclusion’, ‘geographies of injustice’ (Harvey, 1996; Sibley, 1995).
Harvey (1996) draws our attention to the plight of the twenty-five workers who died and
fifty-six others who were seriously injured in the 1991 fire in the Imperial Foods chicken
processing plant in the US town of Hamlet, North Carolina, to suggest that poverty and
oppression are a part of our local geographies. He draws comparison with the Triangle
Shirtwaist Company fire of 1911, when 146 employees perished. The 1911 incident led to
protests, with over 100,000 people marching through Broadway, and was a precursor to the
health and safety laws and regulations. The 1991 incident hardly rated as news, despite the fact
that ‘the Imperial workers died as the women in New York had: pounding desperately on
locked or blocked fire doors’ (Harvey, 1996: 336). For Harvey, this incident ought to draw
our attention to the conditions in which 150,000 workers in over 250 plants across the ‘Broiler
Belt’ find themselves. They are paid below minimum wages in towns that rely on, and are at
the mercy of, this industry. Exploitation is sustained by chronic unemployment, little urban or
social infrastructure, impoverished educational provision and the abandonment of hope.
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In that same self-described ‘developed’ country of the West, Kozol (1991,1995, 2000; Kozol
and Ebrary, 2005) has repeatedly diarized pictures of a poverty-enforced apartheid, where African
American children are condemned to inferior housing, attenuated education and severely
reduced opportunities. In the UK, the Fabian Commission on Life Chances and Child Poverty
(Fabian Society, 2006) reported that one in every five children in Britain grows up in poverty,
some 3.5 million children (2006: 115). Disaggregating their data, they reveal the disproportionate
concentration of poverty on particular groupings within the population. For a child living in
a household where there is a disabled parent, the risk of poverty increases from 19 per cent to
30 per cent (p. 119). Forty-nine per cent of disabled people of working age in Britain were
employed, whereas, for non-disabled people of working age, the statistic was 81 per cent. Sixtyone per cent of children of Pakistani or Bangladeshi origin in Britain are living in poverty (Fabian
Society, 2006: 136).
The link between poverty and school failure, disengagement and exclusion has been well
documented (Connell, 1993). The complicity of schools in the production of inequality and
exclusion, she argues, is longstanding:
Education is not . . . a mirror of social or cultural inequalities. That is all too still an image.
Education systems are busy institutions. They are vibrantly involved in the production
of social hierarchies. They select and exclude their own clients; they expand credentialed
labour markets; they produce and disseminate particular kinds of knowledge to particular
users.
(Connell, 1993: 27)
The persistence of unequal educational outcomes contingent on class continues, according
to Australian researchers Teese and Polesel (2003: 7): ‘The fact that more young people rely
on school for jobs or further training does not mean that school is an equally effective path for
all.’ They go on to say:
Economic marginalization through school is experienced more often by children of
manual workers and the unemployed. School has become a link in the re-creation
of poverty. This is because, while dependence on completed secondary school has grown,
achievement in programmes offered by schools is closely linked with socio-economic
status.
(Teese and Polesel, 2003: 9)
Ball (2008b) considers the impact of relentless policy reforms in education in England and
Wales through the late twentieth and early twenty-first centuries. Class, he argues, remains a
constant feature throughout periods of great policy, demographic and infrastructural changes
in education. The neo-conservative policy reform agenda from Thatcher through to New
Labour has not resulted in an equalization of ‘educational outcomes in terms of labour market
access or income’, he asserts, ‘. . . by many indicators they are more unequal’ (Ball, 2008b: 1).
Like Bernstein before him, Ball argues that, if we want to intervene in ‘the persistence
of educational inequality’, then the school in isolation from the complex matrix of social
relations is not the sole source for effecting positive and enduring reforms. He returns to
Bernstein, Bourdieu and to his extensive empirical work to demonstrate how privilege,
advantage and disadvantage assert themselves through the mixed markets of schooling
(Ball, 2007).
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‘In effect class and policy and class and educational practices are being realigned’ (Ball, 2003:
170). Accordingly, in the now ‘ambiguous nature of class reproduction’ (Ball, 2003: 178), his
research examines a cohort of English middle-class parents who, displaying a mix of confidence
and fear, assert their capitals to secure a purchase on their children’s futures in and through the
education marketplace. A contemporary and pervasive ideology of ‘good parenting’ (Vincent,
2006) places strain on the family to bring additional resources to assist, first, in the selection
of better schools and, second, in the purchase of educational accoutrements such as tutors,
technology, after-school programmes, cramming schools (Ball, 2008a). If necessary, they may
secure the diagnosis of syndromes and defects to attract additional support or leverage (Slee,
2008). And, ‘most families on low incomes or living in poverty are by definition excluded
from these possibilities’ (Ball, 2003: 177).
Schools, as Connell (1993) observed, are not passive agents in the education marketplace:
there exists a perverse reciprocity, a juggling of positional disadvantage and advantage. They
reflect and refract social inequalities. Choice is not only the prerogative of some parents; schools
too attempt to exert choices. The instruments of testing, inspection and league tables interplay
with the intervention of private entrepreneurial interest and divisions between types of school
(e.g. city academies, pupil referral units) to form a hierarchy of schools and students.
As schools attempt to improve their profile to attract a suitable clientele, students with poor
educational prognoses present a serious risk of failure at inspection (Slee et al., 1998; Gillborn
and Youdell, 2000). This is illustrated in an interview with Dave Gillborn and Deborah Youdell,
who:
discovered the extent of the reach of the standards agenda, and the way in which schools
were focussing on the ‘D’ students and trying to convert them into Cs. They realized the
significance of their ‘D to C conversion’ and its link with the process of ‘educational triage’
which was going on, a means of apportioning scarce resources to greatest areas of need:
‘it was naming what lots of people were living’ and it was clear to them that the strategies
for triage being operated in schools were producing exclusion for those deemed ‘hopeless
cases’ by concentrating on candidates who could be targeted for upward conversion.
(Allan and Slee, 2008: 38)
Gillborn and Mirza (Gillborn, 2008; Gillborn and Mirza, 2000; Mirza, 2008) demonstrate
that there is little chance involved in the failure of black pupils in England. In the US, Parrish
(2002) has chronicled the racialization of special education. Put simply, there is an overrepresentation of African American students in special education. This is particularly distressing
when put into the context of Crawford’s (2004) review of labour market statistics. His review
of data indicates that children who attend segregated special education are less likely to find
employment in the paid labour market.
The causes of exclusion run deep in the architecture of schooling. A priority for researchers
in the field of inclusive education is the identification, interrogation and interruption of these
patterns of exclusion. To this end, allies must be sought across fields of social research, as the
diminution of exclusion and disadvantage cannot be achieved by the classroom teacher alone,
the introduction of a new phonics programme to increase functional literacy or the addition
of new ways of monitoring the performance of individual schools or local authorities. I am
arguing that we ought to resist the reduction of inclusive education to a narrow concern to
secure mainstream schooling for disabled pupils. All too often, in the minds of education
policymakers, researchers and teachers, inclusive education becomes a default vocabulary for
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‘the education of (so-called) Special Educational Needs pupils’ (Slee, 1996). The exclusion of
disabled pupils, however, remains a key item in the broad agenda of inclusive education research.
In the next section of this chapter I want to trace the emergence of inclusive education as a
field for research and policy activism, identify the unintended consequences of its popularization
and then suggest areas for further research to restore integrity to the field.
Misunderstanding inclusion?
As the authors state in the opening pages of Doing inclusive education research (Allan and Slee,
2008: 1), inclusive education has become a catchall term describing divergent research genres
and education practices. ‘A troubled and troubling field’, it is riven by contest and contradiction,
and claims and counterclaims of theoretical authenticity. Instances of this that have attracted
attention internationally are seen in Ellen Brantlinger’s (1997) considered response to the
trenchant critique of inclusion as unscientific and educationally dangerous mounted in Kauffman
and Hallahan’s (1995) collection of essays, The illusion of full inclusion. She draws on Dunkin’s
(1996) depiction of the types of error common to the synthesizing of education research to
demonstrate flaws in Kauffman and Hallahan (1995) and their colleagues’ work according
to their own criteria for valid research. Their dismissal of inclusive education as ideological
and therefore unscientific, she argues, illustrates their incapacity to recognize their own
presuppositions and predispositions. In this respect, the debate was not dissimilar to protracted
debates through the journals between Martyn Hammersley and Barry Troyna, the former
suggesting that partisan research (Troyna, 1995) was undermined by its political intent. More
recently, Kauffman and Sasso (2006) targeted Deborah Gallagher (2004, 2006) as an object for
intellectual derision, once more charging that critical theory and postmodernism, which they
use as a blended derogation, attenuates the progress of scientific research.
These debates are not tidy skirmishes over methodology. They represent tactical engagements
between different understandings of disability and disablement and correspondingly of the
form and objectives of education for disabled students. The emergence of inclusive education
as a field of interest within the sociology of education is traceable to the work of scholars
and activists such as Sally Tomlinson (1981, 1982), Len Barton (1987), Gillian Fulcher
(1989) and Mike Oliver (1990), who between them enlisted Weberian, Marxist and poststructural analyses to explain the oppressive origins and deleterious impacts of traditional
segregated education. Applying a sociological lens, it was suggested that disabled people had
their vulnerability exacerbated and their marginal social status entrenched by dominant discourses
of disability that:
•
•
•
•
positioned disabled people as objects of pity and charity;
romanticized them in tales of triumph over personal tragedy;
framed them within medical discourses of pathological defectiveness;
reduced disabled people with fixations with their impairment requiring policy solutions.
Disability studies became simultaneously an alternative explanatory frame and a platform for
activism and social reform (Oliver, 1990, 1996).
This work encouraged the new sociology of education to broaden its consideration of
educational disadvantage and exclusion to include disabled students. Special educational needs,
argued Barton, was a euphemism for the failure of schools to educate all students. As both a
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field of research in its own right and an extension of critical sociologies of education, inclusive
education sought to advance the rights of all those rendered vulnerable or excluded by cultures
and processes of schooling. As Tomlinson (1981), Gillborn (1995) and Gillborn and Youdell
(2000) had demonstrated, the convergence between ethnicity, race and disability demanded a
more sophisticated analysis of schools as elements of a pathology of educational failure.
Hard-fought-for legislative reform and the expansion of the disability movement and parent
groups lobbying for rights of passage for their children insinuated themselves more generally
through social discourse. Globally, governments and education jurisdictions modified their
language and delivered policy statements about the importance of inclusive education consistent
with The Salamanca Statement and Framework for Action on Special Needs Education, adopted
by the World Conference on Special Needs Education: Access and Quality (UNESCO, 1994).
Those whom Brantlinger (1997) and Allan and Slee (2008) describe as traditional special
educators found themselves in the often awkward position of showing a commitment to inclusive
education while not letting go of the paradigmatic foundations for special education knowledge
and practices. Following Said’s (2000) treatise on the ‘taming and domestication’ of radical theory
in his essay, ‘Travelling theory’, I will offer two brief points to explain unintended outcomes
of inclusive education’s newfound popularity.
First is the emergence of more complicated discursive fractures and fault-lines, between and
within those described as working either in the field of special education or inclusive education,
that generate confusion about the nature and objectives of the research and reform. One of the
first sources of confusion is the existence of those who claim to be special and inclusive educators.
There has been an uncomfortable elision that has not been sufficiently challenged. The
discourse of inclusive education has unwittingly offered a new vocabulary for the practice of
traditional special education (Slee, 1993). Indeed, the expensive and glossy (Brantlinger, 2004)
special education primers developed for teacher training programmes and special education
courses have inserted the words inclusive education into their titles and now offer readers a chapter
on inclusion and special educational needs. Remarkably, there is no sense of the conceptual
irony carried by the linking of inclusive education and special education needs. It is only when
pressed to delineate the vagaries of their inclusive language that the caveats and conditions emerge
(Slee, 1996). Colin Low (2007: 3) is indicative in his implausible call for ‘the banishment of
ideology from the field of special education once and for all’ and the replacement of the radical
calls for full inclusion by ‘moderate inclusion’.
A recent example of the dizzying expanse of interpretive latitude is provided in Ruth
Cigman’s (2007) collection of essays entitled Included or excluded? The challenge of the mainstream
for some SEN children. The collection was prompted by Baroness Warnock’s (2005) New look
controversial pamphlet for the Philosophy of Education Society of Great Britain. In this
publication, Warnock pronounced inclusion to be ‘the most disastrous legacy of the 1978
Committee of Enquiry into the Education of Handicapped, Special Education Needs Report’
(Warnock, 2005: 22). The leader of the British Conservative Party and a supporter of separate
special schooling, David Cameron declared in the House of Commons that this was a ‘stunning
recantation’ (Hansard, 22 June 2005, Col. 825). In his essay in Cigman’s text, Ainscow suggests
that Warnock’s pamphlet was helpful as it moved the issue of inclusion closer to the centre of
education debates, but that it had the negative impact of ‘encouraging some in the field
to retreat into traditional stances’ (Cigman, 2007: 128). Indeed, the Warnock pamphlet has
resuscitated stalwarts of unreconstructed special schooling, such as Michael Farrell (2008a,b),
to speak out against inclusive education as a failed reform initiative, a form of flawed ‘politically
correct’ educational thinking.
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SHREDDING THE SOCIOLOGY OF INCLUSION
Returning to Said (2000), this surge in inclusive education as the Trojan horse for special
education is of concern, as special education remains a functionalist imperative. In other words,
in its well-meaning interventions to support individual children inside and outside the
mainstream of schooling, it provides a sheer veneer to hide the deep cracks in the edifice of
mass schooling in the twenty-first century. This observation is not offered as an apology for
dogmatism, for adherence to a decontextualized catechism of inclusive education. As Said (2000),
Williams (1965) and Giddens (1994) have observed, effective critique is contingent and
dynamic. The project of inclusive education therefore may not be best served by pressing for
intellectual foreclosure on its definition. Preferable may be a commitment to the ongoing
exposure and dismantling of exclusions. This chapter does not resolve the tensions between
and within special education and inclusive education; it argues for the necessity of acknowledging
the tensions as a source for devising better research questions and policy work. Herein lies a
challenge for sociologies of education.
The second major subversion of the inclusive education project is in the development of
models for supporting the targets of inclusion. The funding of inclusive education is widely
restricted to the establishment of models for allocating ‘additional’ resources for disabled pupils.
Effectively, this has meant devising algorithms that first establish the extent of defect or
impairment and then calculate the level of additional resources to be applied to support the
education of the child in the regular classroom. The gravity of such models presses diagnosticians
to register more serious levels of impairment to extricate more resources. Research has
documented escalating levels of diagnosis, particularly in the normative areas of behaviour and
attention disorders (Graham and Slee, 2008), together with regional variations (Daniels, 2006)
and, as I have mentioned, the racialization of disability (Parrish, 2002).
The most frequent allocation of funds is to provide an adult helper or aide. Recent research
registers a growing disquiet with an apparent retreat of teachers from educational responsibility
and reliance on the ‘aide’ to be the de facto teacher of the disabled pupil. Notwithstanding the
allocation of additional financial support to schools claiming inclusion support, there is little
evidence to suggest an increasing capacity of schools to come to terms with the different
populations who seek an education. In fact, systemic mechanisms have been established to enable
schools to divert students who threaten their examination results profiles to alternative
placements (Slee, 1998). Inclusive education policy has thereby generated policies and procedures
that jeopardize access, participation and success for increasing numbers of students. Here I return
to the beginning of the chapter and to the discussion of the complex structures and pervasive
patterns of exclusions. No single site of intervention for reform that targets a particular student
identity will of or in itself achieve inclusive schooling. Inclusive education research ought to
host a more comprehensive research programme.
Let me suggest that sociology of education may be a platform for the next generation
of inclusive education researchers and activists. I offer two reasons here for this. First, the
longstanding preoccupation with the structural and cultural formation of disadvantage and
privilege provides an opportunity for us to step to the side of the entanglements and vagaries
of competing conceptions of inclusion, to approach reform through the analysis and deconstruction of exclusion. It tackles the broader antecedents of educational disadvantage and failure
to build a potential beyond functionalist entrapment in individual pathologies. Second, the
sociology of education has broad theoretical shoulders, thereby providing the range of analytic
tools to engage with the complexity of exclusion. An ecumenical posture, where the intersections
rather than the constituencies of exclusion become the source of alliance and analysis, assists in
the task of revealing layers of identity and the production of vulnerability.
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ROGER SLEE
Taking exclusion seriously?
Just as the English satirist Denis Norden suggested that a harp is nothing more than an oversized cheese-slicer with cultural pretensions, a rebadged special education approximates neither
a convincing theory of social and educational inclusion, nor a blueprint for inclusive curriculum
and pedagogy. The aim is not to demonize special education as the poor relation of the regular
school. The two are conjoined and share vital theoretical and structural organs. Inclusive
education that proceeds from a willingness first to understand the nature and forms of educational exclusion demands a more careful reading of social theory and critique and a commitment
to extensive reform.
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10
The sociology of mothering
Carol Vincent
The new momism: the insistence that no woman is ever truly complete or fulfilled unless
she has kids, that women remain the best primary caretakers of children, and that to be
a remotely decent mother, a woman has to devote her entire physical, psychological,
emotional and intellectual being, 24/7 to her children . . . The ‘new momism’ is a set
of ideals, norms and practices most frequently and powerfully represented in the media,
that seem on the surface to celebrate motherhood, but which in reality promulgate
standards of perfection which are beyond your reach.
(Douglas and Michaels, 2004: 4–5)
If we are to understand the significance of class we need to take lay normativity, especially
morality, much more seriously than sociology has tended to do.
(Sayer, 2005: 948)
Introduction
Against a background of increased attention being given to mothering roles and responsibilities
by policymakers and by the media, this chapter explores the outlines and contours of normative
mothering in the affluent Western countries, particularly the USA and the UK, at the beginning
of the twenty-first century. I will discuss the discursive power of Intensive Mothering
Expectations (IME) (Johnston and Swanson, 2006), and the way in which this particular set of
practices and outlook has become universalised as standard. I argue that, far from being a shared
experience common to all women with children, mothering practices, including consumer
behaviour, are infused by class. I finish with a brief portrayal of two women, who live close
together in London, but have strongly divergent understandings and experiences of mothering.
First, a note on the scope and terminology of this chapter. Its focus is social class, but this
is only one aspect (albeit a key one) of a mother’s identity, and in order to fully understand
experiences of mothering it is necessary to also consider how these are gendered and raced.
This, however, is a larger project than space allows for here. On terminology: in order to include
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CAROL VINCENT
fathers, policy documents in the UK use the term ‘parents’ and ‘parenting’ (e.g. DCSF, 2007).
However, I am going to focus on mothers and mothering. This is not to belittle or ignore the
role of fathers, nor the ways in which many men are more actively involved with their children
than were their own fathers (see e.g. Dermott, 2008; O’Brien, 2005; Williams, 2008). Rather,
my choice of focus is a simple assertion that it is mothers who are generally positioned as retaining
the ultimate responsibility for child-rearing in popular discourses and moral understandings, as
will be further examined below. Indeed, debates about maternal responsibilities and actions
have a long history, as do directives aimed at mothers conveying counsels of perfection.
Hardyment, for example, quotes a sixteenth-century didactic poem written in Latin that chides
mothers for their laziness and selfishness in using wet nurses (2007: 4).
Intensive mothering
Sharon Hays’ (1996) well-known phrase describes the current normative understanding of
‘good mothering’: an approach that is child-focused, with the mother having the responsibility
to care, both intensively and extensively, for all aspects of the child’s physical, moral, social,
emotional and intellectual development. Intensive mothering, according to Hays (1996: 46),
is an ‘expert-guided and child-centered’, ‘emotionally absorbing, labor intensive, financially
expensive’ ideology in which mothers are primarily responsible for the nurture and development
of the ‘sacred’ child, and in which children’s needs take precedence over the individual needs
of their mothers. Mother–child interaction is expected to be ‘sensitive’, whereby mothers talk
to their children in a way that features an explicit pedagogy, explained in a reasoning and rational
style (Walkerdine and Lucey, 1989).
By privileging mothers over other adults, especially fathers, intensive mothering contributes
to a situation of unequal parenting, where men’s primary contribution to the family remains
that of breadwinner, and the adoption of an identity as ‘involved father’ is virtuous, but optional.
Women with children are discursively positioned as mothers first, and then, if they are in paid
work, the identity of worker is additional to that. Not necessarily optional – as many women
have little or no option but to work – but an addendum (Himmelweit and Sigala, 2002; Vincent
and Ball, 2006).
Intensive mothering is an approach (regime might be a better word) that has become reified
and normalised as what all mothers should aspire to. Hays points to several contradictions here
as mothers in paid employment try to meet the differing demands – the ‘cultural contradictions’
– of the workplace and home, but always prioritise the moral narrative of ‘doing the best for
the children’ (Hays, 1996: 149). ‘Perhaps the strongest indication of the opposition between
the logic of intensive mothering and the logic of a self-interested, competitive, rationalized
market society is mothers’ persistent pre-occupation with the theme of the good mother’s lack
of selfishness’ (Hays, 1996: 168).
In some ways, intensive mothering can be understood as a response to the relative formality
of earlier child-rearing styles, such as that promulgated in the 1920s and 1930s and advocated
by, for instance, Truby King, where the requirement for routine and order demanded the
compliance of the baby and young child to regulation. In response to this formality, the 1950s
and 1960s witnessed the rise of psychological, cognitive and popular conceptualisations that
stressed the importance of maternal attention and focus on the child (Hattery, 2001). Intensive
mothering also seeks to regulate the behaviour of the mother, in her interactions with the child.
Daniel Miller claims that White, middle-class women approaching first-time motherhood
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commonly adopt an intensive approach. He argues that the result for these women, who have
been educated to have a career and have had the experience of exercising a considerable degree
of autonomy in their lives, is ‘the complete negation of their own previous life project’ as ‘the
infant’s constant demands are accepted as essential priorities and at no point should the mother’s
own desires prevent them from being attended to’ (Miller, 2004: 37).
The important point to make here is not to criticise a woman’s desire to care for her children,
but to draw attention to the power of IME (Johnston and Swanson, 2006). Thus, women in
paid work go to considerable lengths to continue mothering intensively (Hays, 1996). For
example, Johnston and Swanson cite Garey’s (1995) comment that mothers ‘weave’ an identity
that reflects their commitment to employment with their commitment to intensive mothering.
Garey studied nurses who chose to work the night shift in order to maintain the image of
full-time domestic motherhood during the day. Hattery’s (2001) research also included those
she refers to as ‘pragmatists’ and ‘innovators’, who seek to conform to dominant motherhood
ideologies while also being in paid work. Another strategy is that adopted by affluent working
mothers who employ at-home care givers such as nannies. Macdonald suggests they are acting
out of
the belief that their children deserve and require a consistently present, focused and
attentive caregiver at all times. In an effort to emulate the intensive mothering ideal, these
mothers hired nannies so that their children could have non-stop quality time in rotating
shifts.
(Macdonald, 1998: 41)
Johnston and Swanson (2006), in their own study of mothers with different paid employment
commitments and their accompanying orientations to intensive mothering, suggest that mothers
construct the meaning of accessibility, maternal happiness and separate spheres differently, on
the basis of employment status. That is, they construct and adapt career commitments and
mothering ideologies to ensure broadly consistent narratives about good mothering and their
own performance of it. It is not the case, therefore, that women offer no resistance to such
demanding expectations of motherhood, nor that they do not actively engage with ideas about
appropriateness and necessity, but rather, as Tina Miller points out, ‘Ideologies of intensive
mothering are both drawn upon and resisted, but their dominance and power remains resolute,
shaping both engagement and resistance’ (Miller, 2005: 85).
May (2008) offers another example of IME shaping respondents’ self-presentations in her
study of Finnish women who were inhabiting the apparently ‘spoiled identity’ of lone motherhood.
What unites these women [lone mothers] is the dialogue they hold with social norms
relating to ‘proper’ family life . . . The narrators . . . do not refute social norms around
the two parent family but attempt to show how, despite at face value appearing to be
‘unsuccessful’, their families have in fact been ‘successful’ ones.
(May, 2008: 481)
May asks why ‘individuals whose lives are in some way non-normative simply do not discard
unhelpful social norms’ [which] ‘risk exposing them as immoral?’ Similarly, Hays questions why,
since mothering intensively places such demands on employed women, middle-class professional
mothers with much to gain from the workplace, in terms of money, satisfaction and status, do
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not simply reconstruct ideas about appropriate child-rearing (1996: 151). Both authors conclude
that putting the children first and labouring to ensure their well-being are imperatives for all
mothers ‘in order to claim a moral self ’ (May, 2008: 481). Sayer’s (2005) discussion of the
moral aspects of class is helpful here, as he argues that the avoidance of shame and the pursuit
of self-respect either drive us to conform, or to resist and refuse normative values. The latter
is particularly hard to do in relation to mothering, owing to fundamental societal expectations
about the primacy of a mother’s care.1
Performances of mothering: class biases and professional mothers
Clearly, access to particular cultural and economic resources (e.g. time, money, confidence, an
acceptance of a mother’s primary and total responsibility for the child, and a particular set of
child-rearing goals), all of which are unequally distributed through the population, makes
intensive mothering more or less possible.
Studies of child-rearing advice over the twentieth century (Hardyment, 2007; Apple, 2006)
illustrate the presumed inability of working-class families to bring up children ‘properly’, and
therefore the urgency of providing them with instruction. This concern remains today, with
parenting classes and advisers being a favoured government response within the UK (e.g. DCSF,
2007). Poor working-class women in the US and the UK are also encouraged and coerced into
entering the workforce (DWP, 2007; Hays, 2003; Korteweg, 2002). Their capacity to mother
their children is devalued when set against their lack of waged income. Indeed, such is the deficit
view of ‘welfare mothers’ that the implicit assumption of policymakers appears to be that children
are better off in childcare while their mother works. Although the extent to which mothers
from different ethnic and social class groups do recognise and try and live by the tenets of intensive
mothering remains an empirical question, what can be asserted is that the ‘material and cultural
circumstances in which women live their lives’ (Miller, 2005) are still overlooked in the moral
and practical simplicities of policy and public discourses around mothering. As Kehily notes in
her study of UK pregnancy and parenting magazines,
the widely held assumption running through all these magazines is that pregnant women
and new mums are between 20 and 45, in heterosexual couples, in stable, long term
relationships. The regular features, articles and interactive parts of the magazine conjure
up a readership of women with social resources and the ability to exercise choice in their
lives . . . There was little discussion of teenage motherhood, single motherhood, parenting
in poverty, or women who did not have choice in their lives.
(Kehily, 2008: 4)
Within all of this, mothering is frequently decontextualised and reduced to a series of correct
behaviours or tasks (Suissa, 2006). For example, a recent UK policy document, Every parent
matters, claims,
it’s what parents do, not who they are, that makes the difference . . . The evidence that
good parenting plays a huge role in educational attainment is too compelling to ignore.
It outstrips every single other factor – including social class, ethnicity or disability – in
its impact on attainment.
(DCSF, 2007: unnumbered Foreword)
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THE SOCIOLOGY OF MOTHERING
Thus, policies on parenting and the family trade upon unexamined assumptions that
normalise the moral possibilities of middle-class living, while the realities of mothering for
many working-class families are displaced by easy stereotypes and careless, patronising and
damaging generalisations (also Gewirtz, 2001).
Mothering as a personal, intensive and intuitive experience is infused with classed behaviours,
values, actions and dispositions. Class is ubiquitous, if less frequently overtly named: what Savage
calls the ‘everywhere and nowhere quality of class discourse’ (Savage, 2005, in Dicks, 2008: 440).
The language of class in the UK is composed of largely moral judgements that elicit highly
emotional responses from social actors (Dicks, 2008: 440; Savage 2005; Sayer, 2005). This same
process also accurately describes the way in which classed behaviour infuses mothering practices.
In our preferences, our consumer behaviour, our actions, our values around our children we
reveal distinctions and divisions based on social class. One example of this is the food we give
our children. Rebecca O’Connell’s (2008) study of London childminders illustrates the way in
which control of the child through the food that he/she eats is negotiated between mother and
childminder. Noting the adherence of some middle-class mothers to organic food, O’Connell
cites Goodman and Du Puis’s (2002: 17) description of organic food as a ‘middle class privilege’,
a ‘class diet’. The (working-class) childminder’s resistance to what they perceived as over-priced
and over-rated food and their awareness that it was not eaten by ‘people like us’ were made
manifest in their use of the term ‘organics’ ‘as a local working class pejorative term to describe
a certain sort of “arty” middle class “incomer”’ (O’Connell, 2008: 185). Organic food has come
to symbolise a particular facet of good mothering for the affluent middle classes. It is one example
of a ‘morality tale’ told and performed by middle-class mothers (Liechty, 2003: 69), and part of
a production of a ‘class-cultural space’ (Liechty, 2003: 256). Liechty notes such a production is
‘accomplished through two conceptually distinct forms of cultural practice: discursive, narrative
or linguistic practice on the one hand and embodied, physical or material practice (including
the use of goods) on the other’ (Liechty, 2003). This class cultural space of mothering has become
homogenised and universalised – the practices and discourses becoming not those associated with
one social group, but what all mothers should do.
An example of this universalisation is the promulgation of what could be called ‘professional
mothering’, a particular approach to meeting IME. Intensive mothering is infused with a
discourse of ‘expertee-ism’. This is not to say that the advice of apparent experts – in medicine,
psychology or child-rearing – is to be slavishly followed, but the responsibility of the mother
is to search out such forms of advice and then evaluate their appropriateness to her and her
children. This is ‘professional mothering’, a style adopted by middle-class mothers, who have
or have had professional careers and now seek to use their personal and professional skills and
resources in bringing up their children. Brooks and Wee (2008), writing about middle-class
professional mothers in Singapore, cite middle-class mothers talking about mothering as a
‘career’, with an evaluative ‘end product’ of successful and happy children.
One facet of professional mothering is the concern to create the circumstances in which the
child’s intellectual, physical and creative skills are fully and extensively developed. Bourdieu
(1986) argues that, in order fully to understand the distribution of academic capital, we must
look at the work done inside the family in the transmission of cultural capital, as this form of
capital increases the efficiency of the cultural transmission by the school. I have written elsewhere
(with Stephen Ball: Vincent and Ball, 2007) on the volume of activities available to children
and their parents: from dance, drama and art, through sport, music and cooking, to more esoteric
options such as yoga, life coaching and pottery. These activities are part of an attempt at
‘concerted cultivation’, as identified by Annette Lareau.
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Lareau’s recent US study into class-related differences in the ‘cultural logics of childrearing’
(2002: 772) illustrates the way in which social class informs the ‘rhythms of family life’. She
identifies the ‘cultural logic of middle class parents’ as emphasising ‘concerted cultivation’ of
their children. ‘They enrol their children in numerous age-specific, organised activities that
dominate family life and create enormous labour, particularly for mothers. The parents view
these activities as transmitting life skills to children’ (2002: 748). Lareau argues that the childrearing strategies of the working-class and poor parents in her study emphasise, by contrast,
the ‘accomplishment of natural growth’. ‘These parents believe that, as long as they provide
love, food and safety, their children will grow and thrive. They do not focus on developing
their children’s special talents’ (2002: 748–749). Lareau is at pains to argue that interacting with
children in this fashion is not to be seen as negative, as it gives the children opportunities for
unsupervised, unstructured play. Similarly, Gillies (2007) draws on her study of working-class
mothers to argue that ‘the mothers viewed their role in terms of caring, protecting and loving
their children, rather than teaching or cultivating them’ (p. 154).
Concerted cultivation involves the buying in of goods and services. Indeed, parental
consumption on behalf of their children is another site of class-infused performance of
mothering. In a study that looked at the preparation made for babies, including the decorating
of a nursery, by pregnant women living in North London, Clarke argues that, ‘Pregnancy
forms the beginning of a sustained relationship between activities of provisioning, their objects
and values, and the construction of “mothering” and “the child”’ (Clarke, 2004: 56). She
continues,
provisioning an unborn infant requires choices and expertise in an unfamiliar arena where
the stakes could not be higher – for every object and every style has attached to it some
notion of a type of mothering or a expression of a desired mother/infant relationship.
(Clarke, 2004: 61; see also Kehily, 2008).
Such provisioning2 involves the purchase and use of products associated with differently
classed lifestyles: particular brands of baby buggies and equipment, clothes retailers (independent
shops, chain stores, supermarkets), foods (organic or not), toys (wooden or plastic) Williams’
(2006) study of US toy stores gives her plentiful material to discern the status hierarchies of
class and race that are being marked out through consumers’ decisions over where to shop).
This is not simply an individual activity but one through which social networks of similar others
can be identified and marked out, a process of deploying loose-fitting but practical signifiers
to help us ‘place’ people in the social world. As Bourdieu argues,
Taste classifies and it classifies the classifier. Social subjects classified by the classification
distinguish themselves by the distinctions they make, between the beautiful and the ugly,
the distinguished and the vulgar.
(1986: 6)
Having noted the dominance of intensive mothering as a normative construction of
mothering style and scope, and looked at the way in which class inflects performances of
mothering, I now turn to two brief portrayals taken from recent research projects that feature
two mothers who live approximately half a mile apart in London, but within very different
material contexts of mothering.
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THE SOCIOLOGY OF MOTHERING
Jill and Mary
Jill and Mary were mothers whom we interviewed for our consecutive research projects
exploring middle-class and working-class families’ engagement with childcare provision. Their
lives and words illustrate the class-related differences in normative presentations of good
mothering. They are not at extreme ends of our samples in any sense, either in terms of their
financial income, or the ease with which they manage their lives on a day-to-day basis, or their
approaches to child-rearing. The differences between them are often small and nuanced – this
is not a simple case of rich and poor, although income differentials play a key role (see Vincent
et al., 2008, for more detail)
Jill is a Black, Caribbean-origin woman with three children.3 Her oldest two are in their
teens, and her youngest started school during the course of the research (4/5 years old). Jill
now manages a betting shop, where she has worked for over a decade. She lives in a housing
association flat on a small, smart estate and drives a car. She left school at 16 with few
qualifications. Mary has two children under 6. She is married to Gary, who is a recruitment
consultant. She is educated to degree level, although Gary did not complete his degree. Mary
is an artist and lecturer, but was not working at the time of the first interview. By the time of
the second, she was running a children’s art club. Mary and Mike own their own house and
both drive. The family were planning to leave London for the countryside. Despite evidence
of changing family structures in the UK (Office for National Statistics, 2001) and elsewhere,
the two-parent household, with the woman at home or working part-time, retains considerable
discursive power. Jill is clearly aware that her household differs from the ‘norm’ and appears
to regret this ‘deviance’, saying,
I would like to stay at home, but that’s if I had a husband, to stay at home and play that
proper role model, I suppose, but it’s not . . . it’s not real. Not for me.
Friendship networks
One of the differences we found between the working-class and middle-class mothers in our
research concerned their friendship networks. In many cases, working-class women derived
their primary social support from family, while the middle-class mothers were much less
likely to have local family members and had instead, through antenatal groups and other childfocused activity, established networks of similar mothers (see Vincent et al., 2008). Illustrating
this division, Mary’s networks generated considerable social capital through ‘weak ties’
(Granovetter, 1973). This is ‘bridging’ social capital, although within a socially homogenous
group, which provides Mary with a site of information-sharing about schools and nurseries,
alerts her to the job she takes, the nanny she shares and then the existence of the small crèche
her children attend. The interconnected nature of local middle-class mothers’ networks is clear
from her comment on looking round primary schools. ‘In looking at a state school and you
think, I know all these mothers, that’s good. I suppose you feel a bit like it is going to be OK.
You know, this big step.’
Jill has a much looser network of friends. Working full-time, her main sources of adult support
and companionship outside the workplace appear to be her sister and her mother. In the
narratives of the working-class women in our research, female relatives play a key role in offering
practical support and information.
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Approaches to childcare
Jill’s youngest daughter attended a state-funded day-care nursery full time since she was 9 months
old, and then a state school. Jill has a sense of security that derives from her faith in the state.
It is important to her to know that her daughter is with qualified staff, and the staff in state
nurseries seem to her to be more regulated than those in private nurseries (which are in any
case too expensive) or childminders. This faith in the state has survived despite her two older
children being let down, as she sees it, by schools. She is in search of a childcare environment
that is safe and reliable and will prepare her youngest daughter for success at school.
Mary does not mention state nurseries, despite the developed network in the area. She uses
a nanny-share, a small, parent-run, cooperative crèche for both children, a community nursery
for her younger child and a non-selective independent primary school for her elder. She states
clearly that she is in search of a childcare environment that is nurturing, intimate and creative.
The nanny who looks after both children is not qualified but is seen as having the right personal
characteristics to look after babies. Toddlers are understood to need more creative activities,
hence the switch to nursery.
Mary’s and Jill’s ‘choices’ were again replicated in the wider sample, where working-class
mothers spoke mostly of their fear of physical harm and neglect from a carer, which influenced
their choice of nurseries as safe, public spaces, open to scrutiny and in which the workers can
police each other. The middle-class parents were more likely to emphasise the importance of
small, intimate care spaces for the under-threes.
Paid work
Jill’s long hours of retail work, including regular weekend work, mean that she relies on her
teenage daughter to collect her youngest daughter from after-school club and prepare her tea.
She feels strongly that she is absent from home for too long.
Nothing’s positive [about work], it is just financial solely. I think the government should
have more control on these companies . . . because I think people are forced to work
such long hours and they don’t get no support from the government and your family
completely misses out . . . It’s all negative working when you’ve got young children,
because I do have lots of guilty feelings that I’m not there. And you’re constantly battling.
Jill is proud of her youngest daughter, who is getting on well at school. This success lessens
her anxiety somewhat. ‘I used to feel guilty with [older children] because I think I should have
been there more because they needed that because of their dyslexia. But what could I do?
Nothing much.’
Mary accepted IME by giving up her job, after her second child was born. In compliance
with IME, she emphasises her part-time job is carefully arranged so that ‘there aren’t any
downsides’, especially not for the children.
[After my second child] I just felt completely overwhelmed by the whole thing and I knew
that I was going to be staying at home. And I was happy to do that. But then, you see
them becoming more independent and you realise that you’d like some of that independence too. And they need to go off and socialise and be at nursery. Just a little bit. Not
full time or anything . . . Neither of them would know whether I am working or not.
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THE SOCIOLOGY OF MOTHERING
During the course of the research, Mary’s partner also moved to working at home in order
to spend more time with children, although he also had work-related reasons for making the
change. Both women see their jobs as a source of income necessary to maintain the family’s
viability and their own independence, by which they both set great store. Jill aspires to become
a midwife, an occupation about which she is intensely enthusiastic (‘my passion’). Similarly,
Mary’s sense of self is not invested in her current paid work, but in her case derives from her
own art work.
School choice
Choosing a primary school is a much more nuanced, lengthy and anxiety-inducing process for
Mary than for Jill. Mary rejects a nearby school on the basis of its too-basic facilities, lack of
friendliness from teachers and an implied concern that the peer group may be too ‘rough’ for
her child. Matching individual children with particular institutions is commonly alluded to by
middle-class parents as a mechanism of choice (Ball, 2003; Gewirtz et al., 1995). So she keeps
her daughter at the small, alternative, independent school until the family plan to move. ‘I’ve
heard from people I know, they hint at [rejected school] being maybe just a little rough around
the edges . . . And I looked at my daughter’s personality and I looked at the school and I couldn’t
see them matching.’
As Jill works such long hours, her choice of school is driven by the availability of an
after-school club and ease of location for other family members to collect her daughter. Jill
sees few differences between schools and generally maintains a hands-off approach, except in
times of crisis, commenting, ‘I don’t go up the school’. Again, this distance is often mentioned
by working-class mothers and has been extensively discussed and analysed elsewhere (Gillies,
2006; Lareau, 1989; Reay, 1998; Vincent, 1996).
My point in highlighting these differences between Jill and Mary is not to suggest that one
woman is a ‘better’ mother than the other. Clearly, differences in financial resources underpin
many of the distinctions mentioned here, but there are differential resources of social and cultural
capital in play as well. As a result, Mary is in a position to live by IME, whereas Jill cannot
and, in some ways (e.g. interaction with school), does not wish to. As both nurturer and provider,
Jill displays considerable resilience, yet still experiences considerable anxiety over the effect of
her absences on her children. This anxiety was heightened by one teenager recently being
convicted of illegal activity, and we suggest that, despite her identity as ‘good’ worker and
provider, Jill is aware that the time she spends away from her children means that she is at risk
of being positioned as a ‘bad’ mother, revealing a tension between being in paid employment
and being with the children that she cannot resolve.
Conclusion
Lawler describes class as
dynamic; as a system of inequality which is continually being re-made in the large and
small-scale processes of social life: through the workings of global capital and the search
for new markets, but also through claims for entitlement (and of non-entitlement), through
symbols and representations, and in the emotional and affective dimensions of life.
(2005: 797, emphasis added)
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My argument here is that mothering is one example of a site in which class is realised and
reproduced, with those who do not conform to the normative ideal at risk of being exposed
as morally insufficient.
The experience of mothering is often presented as a common bond between women, despite
the other differences and distinctions in their lives. Yet the expectations established by a
normative discourse of intensive mothering are divisive. IME demands from the mother an
unremitting focus on the child that many women are unable or unwilling to maintain. It is, of
course, easier to work with and around IME if you are affluent and, perhaps, if you have a
partner. Explanations focusing on those who do not live by its precepts often slip from structural
poverty into cultural poverty, and resistance to IME becomes ‘bad’ mothering. Although absent
fathers are condemned, a particular ferocity informs moral judgement of ‘bad’ mothers. Middleclass performances of mothering map out and inhabit a class cultural space determined by an
‘intensive’ approach, one that is both ‘sensitive’ in terms of the mother’s interaction with the
child, and ‘professional’ in her approach to the task of moulding her child. Here is the ‘implicit
ought’ (Lawler, 2005: 801) of mothering, the ‘moral boundary drawing’ (Sayer, 2005), which
lays open non-normative performances of mothering to charges of inadequacy and also,
potentially, to a refusal to recognise the mother as a moral self.
Notes
1
2
3
It is frequently noted that mothers whose care and protection of their children are inadequate
are quickly demonised, and to a greater extent than fathers who hurt their children. Recent UK
cases include that of Fiona MacKeown (whose daughter was murdered while she was away from
home).
The emphasis on parental consumption on behalf of the child is one aspect of a commodification
of childhood, increasingly apparent over the last century. The other aspect is direct marketing to
children (Cook, 2000; Kenway and Bullen, 2001).
Reynolds’ (2005) discusses the experiences and understandings of Black Caribbean mothers.
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–––– and –––– (2007) ‘“Making up” the middle class child: families, activities and class dispositions’,
Sociology 41(6): 1061–1077.
–––– Braun, A. and Ball, S. (2008) ‘Caring for young children in the UK’, Critical Social Policy 28(1):
5–26.
Walkerdine, V. and Lucey, H. (1989) Democracy in the kitchen, London: Virago.
Williams, C. (2006) Inside toyland, Berkley, CA: University of California Press.
Williams, S. (2008) ‘What is fatherhood: searching for the reflexive father’, Sociology 42(3): 487–502.
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11
Rationalisation, disenchantment
and re-enchantment
Engaging with Weber’s
sociology of modernity
Philip A. Woods
Introduction
Max Weber is seen as one of the founders of sociology, making up a triumvirate of ‘founding
fathers’ with Marx and Durkheim. However, this does not capture the scope and ambition,
nor the emotional engagement of Weber’s scholarly work. What drove him was a demand to
address the ‘cultural crisis’ that was represented by the creation of the modern world (Kettler
et al., 2008). Undertaking his research and writing from the late nineteenth century to his
relatively early death in 1920, Weber saw at first hand in detailed empirical studies the
replacement of traditional agricultural society in Germany by ‘a new “employment regime”
based on capitalistic wage labour’ (Whimster, 2007: 16). The intensity with which he approached
his studies led to a number of breakdowns in his health. A large part of that intensity arose
from an unclouded recognition of what was being lost with the expansion of modernity,
namely a sense of meaning that was embedded in the everyday relationships and activities of
human life. This was, however, not a recognition of loss characterised by soft nostalgia. In his
immensely varied and historically focused breadth of studies – from Chinese society to the
development of capitalism in the West – Weber understood the pervasiveness of issues such as
power, and identified how they were differently manifested in different kinds of social order.
His was a determination to understand the new, modern society from within the perspective
of that society, utilising the rational, scientific approach to increasing knowledge. Crucially,
this scientific approach to knowledge of the cultural world had to be appropriate to that world.
Hence, Weber emphasised, not only the formulation of concepts, ideal types and detailed
empirical analysis of the development of social orders, but also the need for the cultural analyst
to exercise verstehen (an empathetic understanding of what it is or was to be of and in a certain
social order and cultural context) and the necessity of choice in deciding from what angle or
point of view to select the focus of study.
This chapter concentrates on his characterisation of modernity through the interrelated
conceptualisations of rationalisation and disenchantment, the key challenge it generates
(concerning the possibility of freedom in a rationalised social order), and ways in which this
challenge may be engaged with.
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Rationalisation and disenchantment
Weber is best known for his development of the concept of rationalisation as a means of understanding the distinct character of the modern world. Modernity raises instrumental rationality to
be the most valued mode of social action, one that pervades social life. The modern social order,
according to Weber, is characterised by bureaucratic organisation and procedures, which he
analysed by means of the construction of ideal types. Thus, the ideal typical bureaucracy possessed
the characteristics of rule-driven behaviour, responsibilities and powers defined by the office of
the person and an ordered hierarchy of posts and positions, with authority dependent on where
a post-holder fitted into that hierarchy and underpinned by legal-rational authority – that is, ‘the
legitimacy of the power-holder to give commands [resting] upon rules that are rationally
established by enactment, by agreement, or by imposition’ (Weber, 1948c: 294).
Weber’s analysis was, however, much more than a description of the dominant organisational
form of modern society. His compelling interest was in the question of what type of human
being is encouraged by different social orders (Hennis, 1988). In what ways do different types
of society and culture shape the type of person who lives within them? Modernity is a historically
unique social order that gives rise to a distinctive conduct of life which is lived by and continually
shaped by a particular person type. The driving question for Weber’s work is an exploration
of the ‘inner effect’ on personality (Hennis, 1988: 57).
One of the most famous concepts to emerge from that work is that of the ‘iron cage’. This
encapsulates the idea that modern people are trapped in a rationalistic, bureaucratised organisation
prison that deprives them of freedom and creativity. In fact, this idea is better rendered in English
as the ‘steel shell’ (Wells, 2001). What confines people is not an external ‘cage’, but something
much more sinister: a characteristic that has become part of the person (as a shell is an organic
part of an animal), a characteristic moreover that is forged (like steel) by human beings in modern
society and is not a natural or organic product. The implication is that it is alien matter that is
insidiously introduced within the human frame for living.
Sociologically speaking, instrumentally rational action is privileged. At the level of personal
relationships, ‘traditional and charismatic-style social relations are replaced by technical-rational
ones, meaning that relationships with colleagues and students are more impersonal, calculative
and formalised, increasingly governed by detailed codes of conduct’ – with staff in universities,
for example, becoming employees subject to performance evaluations instead of members of
an academic community (Samier, 2005: 87). In terms of Weber’s typology of social action,
zweckrational (instrumentally rational action) predominates over the other action types: namely,
wertrational (value-rational action), which involves an overriding commitment to values as a
result of prior conscious reasoning or, as Weber puts it, ‘self-conscious formulation of the
ultimate values governing’ the action; affectual action – ‘(especially emotional) . . . determined
by the actor’s specific affects and feeling states’; and traditional action ‘determined by ingrained
habituation’ (1978: 24–25). Samier’s analysis of universities, from a perspective of Weberian
public administration, highlights the procedural, performative bureaucratisation trend, which
involves the forging of an academic staff as an ‘entrepreneurial and managerially orientated cadre
who adopt obedience to bureaucratic authority and performance management’ (Samier, 2005:
81) and the creation of a ‘new entrepreneurial professor’ (p. 82).
Weber’s analysis was weighted with both analytical and normative understandings. That is,
he sought to analyse the world of human beings as clearly and in an as unbiased way as possible,
undertaking enormous amounts of cultural and historical analyses over his lifetime; at the same
time he recognised that where the social scientist applied his energies and the driving research
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questions he pursued were the result of choices that are value-laden. He had a feeling for his
work, as well as the sharp eye of the analyst. Understanding modernity was a pressing challenge
because of the fundamental change it wrought in the people who are embedded in its conduct
and social structures. Weber was pessimistic about the fate of the individual within the tightening
parameters of the instrumental, means-end rationality of bureau-capitalism and the disciplines
emanating from the forces of rationalisation, all tending towards ‘a universal phenomenon [which]
will make irresistible headway in every sphere of human life’ (Weber, 1978: 1150).
Why it is a crisis and why it should evoke pessimism are only understandable if there is a
sense of something of great value being lost in the conduct and the person type of modernity.
Thus, the full meaning of the concept of rationalisation is understandable only in relation to
another concept pivotal in Weber’s work, namely disenchantment. Influenced by Nietzsche,
Weber’s view was that, in the modern world, God is dead, and all objective order of value is
gone (Hennis, 1988: 158–159). The bearing of the modern person in the rationalised world
‘has been disenchanted and denuded of its mystical but inwardly genuine plasticity’ (Weber,
1948a: 148). The inner capacity for a sense of spirituality and profound meaning has not
disappeared, but an understanding and a belief system that pervade the social structures and
social conduct life have withdrawn.
Precisely the ultimate and most sublime values have retreated from public life either into
the transcendental realm of mystic life or into the brotherliness of direct and human
relations. It is not accidental that . . . today only within the smallest and intimate circles,
in personal human situations, in pianissimo, that something is pulsating that corresponds
to the prophetic pneuma, which in former times swept through the great communities
like a firebrand, welding them together.
(Weber, 1948a: 155)
In contemporary times, we know that personal spirituality in many countries, as well as
persisting individually, is articulated and shaped through an industry of mind, body and spirit
publications, diverse kinds of groups and activities and New Age movements, and the growth
of corporate and academic interest in the relevance of spirituality and values to organisational
life and work relationships. In one sense, this can be understood as a rationalisation of a human
impulsion to seek and create meaning, an impulse that the forces of bureaucratic capitalism
are able to take advantage of, as with any other actual or potential human demand (commodification). (Another perspective is to see in it a potential for countering the dominance of
instrumental rationality, which will be discussed further below.) This rationalisation is manifest,
for example, in the systematic (instrumentally rational) attention that business and other organisations are willing to give to the connection between spirituality on the one hand and
organisational leadership, management, staff development policies and organisational performance on the other (Casey, 2002; Reave, 2005).
The idea of spiritual intelligence as a capability for problem-solving is an example. Spirituality
here is formulated as:
the intelligence with which we address and solve problems of meaning and value, the
intelligence with which we can place our actions and our lives in a wider, richer, meaninggiving context, the intelligence with which we can assess that one course of action or
one life-path is more meaningful than another.
(Zohar and Marshall, 2000: 3–4)
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The point here is not to suggest that rational approaches to meaning are inadmissible.
Systematic approaches – both intellectual and practical (through the exercise of meditative
techniques for example) – have long been characteristic of religious views of the world, and
Weber certainly recognised this. The point is that the most personal and demanding questions
of meaning are, in modern society, capable of being embedded in, and dominated and
appropriated by, the single-minded focus of bureaucratic capitalism on marshalling the best means
to serve the ends of organisational performance and maximisation of income.
This is evident in education. The interest in values and the meaning that educational leaders
and staff espouse and live by can be understood as a move from simple instrumentalism to subtle
instrumentalism (Woods, 2005): from the former, which treats people as subjects who can be
moulded and manoeuvred through direction and sanctions, as means to organisational and
economistic ends, and as organisational members whose worth and progress is to be measured
through tests; to the more finely tuned approach of subtle instrumentalism, which retains the
fundamental perspective of people as means to ends, but recognises that moulding, manoeuvring
and assessing them requires a great deal more sensitivity to their emotions and motivations.
Hartley (2004) sums up this new form of instrumentality in education and sees in this a further
unfolding of Weber’s rationalisation thesis:
This new ‘emotional’ discourse has the attraction of appealing subliminally to those who
have become disenchanted with consumerism’s promise that its goods and services will
serve, at last, to render the self at ease and to give life meaning. Put another way: if meaning
and emotional satisfaction in life is not being derived from consumerism outside of work,
then perhaps it can be derived from ‘consumerism’ within work. It is the emphasis on
the emotional and on the spiritual that arguably renders the new emotional leadership
discourse so persuasive . . . At root, as Weber predicted, emotional management seems
to be a technical endeavour, born of modernity, set for standardization, to be rendered
as objective and measurable, and made ready for audit.
(Hartley, 2004: 592; emphases in original)
The diagnosis of modernity that Weber offers is a conceptualisation characterised by
rationalisation and disenchantment as mutually sustaining concepts. Too often the latter (the
integral significance of disenchantment) is marginalised or given only implicit or cursory
recognition in the application of Weber’s formulation of rationalisation. However, to do that
is to lose the depth of the demand of modernity. That demand arises from the dominance of
science – the rational, systematic investigation of the world – as the source of understanding
and knowledge. Self-clarification and knowledge, therefore, are ‘not the gift of grace of seers
and prophets dispensing sacred values and revelations’, and this is ‘the inescapable condition of
our historical situation’, one which we cannot evade ‘so long as we remain true to ourselves’
(Weber, 1948a: 152). As Koshul (2005: 14), in his discussion of Weber’s postmodern
significance, succinctly puts it:
Plain intellectual honesty and integrity require that we, as moderns, reject all claims of
special gifts and grace claiming to provide access to, and possession of, sacred values and
revelation because such claims cannot be justified on rational, scientific grounds.
The demand of modernity, unabated as it unfolds and expands globally into what some call
postmodern society, is to understand, accept and bear the meaninglessness of the world. What
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values and meaning and spiritual significances the moderns embrace cannot have the force and
legitimacy of universal, objectively grounded truths. We – in ourselves, our families, social groups
and networks – are left to define for ourselves what values and meanings we take to be ultimate
(if any at all). Meaning is arbitrary and partial. As a basis for studies of the social construction
of knowledge and values, this is liberating. However, as a basis for life, it is unnerving and roots
the everyday conduct of living in an existential angst.
Freedom in a rationalised social order?
The challenge put into sharp relief by Weberian analysis is whether some degree of genuine
freedom is possible within the rationalising social order of the modern world. Is there a possibility
for moderns to be anything more than ‘cheerful robots’ (Mills, 1970) C. Wright Mills’ phrase
– cheerful robots – captures perfectly the denuded conception of the human being where the
understanding of what is fundamentally to be valued is confined within the scope of rationalised
and marketised society alone. In ideal-typical terms, the modern social actor is defined by the
‘steel shell’, which comes to be a very part of their being. In this section I will consider three
responses: the entrepreneurial turn in modern bureaucracy; the individualistic response that is
represented by Weber’s idea of ‘inner distance’; and possibilities for counter-rationality based
on explorations of meaning. (Space precludes specific discussion of the postmodern response.
See Gane (2002).)
The entrepreneurial turn
The emphasis on entrepreneurs and entrepreneurialism in education and other areas of the public
sector (Woods et al., 2007) introduces a complexity to bureaucratic organisation. It is seen as
a feature of bureaucratisation and an extension of contractual relations, as in Samier’s (2005)
analysis for example; but it also launches into bureaucratic organisation an impetus to innovation,
change and lateral thinking that is in tension with the certainties and order of rational
procedures. Entrepreneurial and bureaucratic rationalities vie with each other – another
example of practice being characterised by multiple models, as Weber emphasised, rather than
pure ideal types. The imperative for the entrepreneur is to challenge the traditional and
bureaucratically honoured ways of doing things and, therefore, to be motivated by their own
initiative, conviction and sense of values and purpose. Entrepreneurial activity is characterised
by enthusiasm and excitement, which contrasts with the dominance in bureaucracy of ‘a spirit
of formalistic impersonality: “Sine ire et studio,” without hatred or passion, and hence without
affection or enthusiasm’ (Weber, 1978: 225). Weber recognised this subversive, potentially
liberating character of the entrepreneur. The capitalist entrepreneur ‘is the only type who has
been able to maintain at least relative immunity from subjection to the control of rational
bureaucratic knowledge’ (Weber, 1978: 225).
A more entrepreneurial character is exactly what is being introduced into modernised
bureaucracies in education and the rest of the public sector, intensifying pressure on
organisational members to commit their person to work and the office. The bureaucratic principle
that separates the office from the person and calls for an absence of ‘personal enthusiasm’ is the
antithesis of modern leadership discourse in which ‘the person is integral to, and a key resource
in, the office itself . . . its very material and spiritual embodiment’ (Newman, 2005: 720). In
education, the idea of a ‘new enterprise logic’ is having a compelling influence, with schooling
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being seen as ‘an undertaking that is difficult, complicated and at times risky, often calling for
daring activity . . . and is thrilling in its execution . . .’ (Caldwell, 2006: 76). A key aim is constant
improvement (Ofsted, 2002), by ‘constantly generating and increasing knowledge inside and
outside the organization’ (Fullan, 2001: 8). A more entrepreneurial culture is seen as overcoming
the alleged stiffness, lethargy and unresponsiveness of traditional bureaucracy (du Gay, 2000),
and the desire to create a more enterprising approach to education underpins the creation of
a new kind of school organisation in England – academies – sponsored by businesses and other
private people and organisations (Woods et al., 2007). Academies in England are intended to
be hybrid (public–private) organisations, where the entrepreneurial spirit can flourish, and which,
arguably, bring into organisational form a bureau-enterprise culture that combines the dynamism
of that spirit with the values of public bureaucracy (Woods, P.A., 2007).
In this change to a more innovative, entrepreneurial organisational regime, is there a growth
of freedom – scope for dilution of the ‘steel shell’ of rationality? The entrepreneurial maverick
has the potential to utilise the relative immunity of the entrepreneur. However, the parameters
within which entrepreneurial creativity and difference are encouraged can act to constrain and
construct a person type that functions in and for the organisational goals and priorities. This is
the burden of the critique of new public management and managerialism – that the freedom
it invokes is accompanied by forging an inner disposition, a soul, that defines its values and
spirit in terms of gains in measurable performance and enthusiasm for the idea of innovation
and change as abstract goods. System and organisational mechanisms and strategies seek ‘to
reshape the ways in which each individual . . . will conduct him- or herself in a space of regulated
freedom’ (Rose, 1999: 22) The promised benefits of managerialist culture are founded in an
instrumental orientation that values processes, techniques and change, which serve this goal of
constant improvement. Entrepreneurialism in this regard is ultimately subservient to the
dominant rationalised culture.
The individualistic response of ‘inner distance’
Weber insisted that, despite the rationalisation of the modern social order and its disenchantment
of the world, an individual could hold on to and express ultimate values. In particular, this is
the demand that the true political leader must face up to. In his lecture, ‘Politics as a vocation’,
Weber addresses the normative question of what kind of person one must be to be allowed to
wield political power, and what differentiates different power-holders who all claim noble, lofty
intentions (Weber, 1948b: 115, 119). His answer is that it is one who is guided by an ethic of
responsibility, one who carefully attends to the consequences of policy and to the irreconcilable
tensions it involves and who also complements this and who recognises that, at a certain point,
the ethic of absolute ends comes into its own. There is a point to hold to the ultimate principle
and declare ‘Here I stand! I can do no other’.
The capacity that Weber is highlighting here is that of inner distance – that is, a self-conscious
adherence to certain ethical values, in the face of the immense daily pressures to conform to
a rationalised and disenchanted world, a capability to resist loss of ‘personality’ under the relentless
pressure of the demands of routine. There is, as Schroeder (1991: 62) explains, the possibility
for:
an unfettered self which tries to assert its individuality by affirming certain constant values
in the face of the impersonal forces which increasingly dominate the modern world.
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However, this conception of inner distance is individualistic and dependent solely on the
personal resources of the individual. In addition, Weber does not give it any systematic or
substantive content to the concept (Schroeder, 1991). As a result, the choice of values, or how
we might arrive at that choice, is arbitrary. We can make the ‘decisive choice of a leading drive
or value’ that inner distance demands and that gives direction (Owen, 1991: 84). However,
we do not, from Weber’s work, have the resources to discriminate between less and more valid
choices.
The possibility of counter-rationalities of veridical meaning
As noted above, Weber’s construction of ideal types, such as those of bureaucracy and
instrumental rationality, were not intended to reduce the real world to one-dimensional
concepts. In the practice of social life, people are likely to be moved by multiple cultural
conceptions of, and dispositions towards, social relationships. In particular, different types of
social or organisational authority are likely to be apparent in practice, rather than pure forms
of bureaucratic (legal-rational), traditional or charismatic authority.
In general, it should be kept clearly in mind that the basis of every authority, and
correspondingly of every kind of willingness to obey, is a belief . . .
The composition of this belief is seldom altogether simple. In the case of ‘legal
authority’, it is never purely legal . . . it is partly traditional. Furthermore, it has a charismatic element, at least in the negative sense that persistent and striking lack of success
may be sufficient to ruin in any government.
(Weber, 1978: 263; emphasis in original)
There is an inner activity that helps to shape that animating belief to which Weber refers.
An interesting insight into modern organisations is given by Casey’s (2002) international study.
This found, in organisations across the world, ‘various new forms of self-expressiveness,
meaning-making and spirituality’ (p. 152), opportunities for time in ‘quiet rooms’ and the ‘gentle
arts’ of ‘spirit-seeking, magic and divination’ (p. 155). Casey suggests that organisational members,
through this kind of activity and perspective, bring a ‘potentially disruptive counterposition to
bureaucratic and neo-rationalist organizational management’ (p. 75) and that the
current of spiritual and self-expressivist explorations and demands among bureaucratic
organizational employees, reveals . . . signs of persons striving for subjectivation – for the
accomplishment of becoming an acting subject . . . [and] are efforts toward a freedom
not reduced to an instrumental rationality of economic choice.
(Casey, 2004)
There is evidence, too, of the importance of spiritual and deeper meaning making for
educationalists – among both religious believers and non-believers – within school organisations
(Woods, G.J., 2007).
The possibility for counter-rationalities rests on the potential for inner distance, not simply
as an individual phenomenon, but as something that can be developed and nurtured collectively
– namely, the idea of shared inner distance. People have both inner and social resources for this
through multiple sources of identity orientation, which include forms both of social identity
and of exogenous points of orientation that represent ideals and values that supersede more
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mundane needs and interests (Woods, 2003). One expression of this is through art – and from
a postmodernist perspective, radical artistic practices (Gane, 2002) – which subverts instrumental
rationality. The capacity for inner distance is not, therefore, simply a withdrawal, but an
expansion of the symbolic resources that are allowed to enable social action. Moreover, it is
integral to the idea of a rich conception of democracy that infuses society and organisations.
Seeking and shaping alternatives to rationalisation are shared, collective activities to which
everyone is capable of contributing.
The possibility for counter-rationalities that embrace veridical meaning rests on finding, as
other social theorists such as Marx have tried to do, ‘some centre in man-as-man which would
enable them to believe that in the end he cannot be made into, that he cannot finally become,
such an alien creature [the cheerful robot] – alien to nature, to society, to self ’ (Mills, 1970:
190).
I have argued, engaging with Weber (in Woods (2001), on which this paragraph is based),
that there needs to be, underlying sociological study, an appreciation that ‘there is a human
faculty, however frequently clouded by emotions, social interests and the like, that can on
occasions provide social action with that foundation that allows us to characterize it as something
other than relativism or emotivism’ (Woods, 2001: 694), a faculty for intuiting the good and
values that have transcendent and universal force. The idea of such a human faculty is the
necessary foundation for it to make sense for Weber to express an ethical passion in ‘Politics
as a vocation’ (1948b). That lecture, as Tester (1999) argues, is not ‘emotivist’ – that is, it does
not presuppose that all moral judgements and criteria collapse into expressions of preference
and feeling. But there is, nevertheless, a contradiction between Weber’s sociological project
and his fundamental ethical stance that is not acknowledged in Tester’s analysis. Weber’s
sociology exists in a framework that eschews a foundationalist social analysis allowing for, or
specifying, ultimate values or goods for humanity. The only way meaning and values are possible
in Weber’s philosophical anthropology is through human choice: to this extent, Weber is an
existentialist. Although this is consistent with emotivism, it is not emotivism per se. ‘Politics
as a vocation’ is non-emotivist and implies the existence of the kind of human faculty referred
to above. But, crucially, Weber did not incorporate this faculty to discern or glimpse truths
that are more than feelings or preferences or contingent social constructions into the framework
of social action studied by sociology. The failure to incorporate such a faculty diminishes the
sensitivity of sociology to the human-ness of its subject of study and to the potential to move
beyond the constraints of rationalisation.
Re-enchanting education
The Weberian theme of rationalisation and disenchantment allows us to set up a simple
dichotomy for education: two ideal types of formal education. In the first, education acts to
form people who fit into a world dominated by instrumental rationality and who carry with
them, as part of their essential defining identity, the ‘steel shell’ that imbues them with the
standards of a rationalising and disenchanting society. This takes as the overriding priority of
education a need to prepare students for the activities and demands of organisational life driven
by calculation and performance. Endres (2006), for example, uses Weber’s theory to explain
the role of functional activity in modern schooling.
The second ideal type places priority on re-enchantment. Enchantment here is the unfolding
of human capabilities to sense that which is true and right, to develop sensibilities to nature
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and affective human communication (through art), and to share and enjoy a sense of
connectedness with other people, the world and the phenomena and experiences that often
attract the label spiritual – in other words, the capacity to sense and create veridical meaning.
If the basic Weberian question is what type of person is forged by different social orders, the
fundamental educational question that arises from the specific Weberian analysis of modernity
is: Which person type is education for? The second ideal type takes seriously the demand to
respond to the dominant rationalising context by creating an educational environment that
nurtures a different person type. It answers that education is not about creating cheerful robots,
but that its aim is to foster persons who are capable of enchantment and of challenging
domination by rationalising forces.
Examples of the second ideal type (not necessarily in pure form) are discernible within
conventional forms of education. For example, the critical events that Peter E. Woods (1993)
found in primary and secondary education – school projects such as plays, concerts, film-making
etc., in which adults and students work together – have the features of educational processes
that are not reducible to rationalised procedures and outcomes. This is his description of critical
events, based on his experience of them through sustained empirical research. Critical events:
have something of the spirit of what Turner calls ‘communitas’. The essential characteristic
of this according to Musgrove is ‘a relationship between concrete, idiosyncratic individuals,
stripped of both status and role’. It contrasts with social structure and therefore is sometimes
called social antistructure . . . The antistructure is a state of undifferentiated, homogeneous
human kindness. ‘Communitas’ has something magical about it. Outside, above and
beyond structure, it has a quality that is both intensely real and intensely unreal. Latent
or suppressed feelings, abilities, thoughts, aspirations are suddenly set free. New persons
are born and, almost in celebration, a new collective spirit. Uncommon excitement and
expectations are generated. All this is something special, though exactly why is difficult
to explain. Something is always lost in the attempt. After all, the more successful the
magic, the more impenetrable the solution.
(Woods, P.E., 1993: 7)
In this, one can see some of the elements of the three possibilities discussed in the previous
section – for example, educational entrepreneurialism (enterprising initiatives by teachers that
bring about and make a reality successful, ambitious projects that engage numbers of students
and adults); the passion of individuals that critical events attract and that goes beyond (is distanced
from) the confines of work aimed at achieving just measurable achievement; the immediacy
of artistic expression, enjoyed and appreciated for its intrinsic value, and the social solidarity
and collective working that create a kind of democracy of learning in which all contribute and
share. Other examples of the second ideal type occur in alternative educational settings (Woods
and Woods, 2009).
Concluding remarks
The sociological question is to what extent, in what forms and under what conditions the second
ideal type of education occurs in contemporary society. The work of Weber sensitises the
sociologist to the complexity of addressing such a question. As Whimster (2007: 189) observes,
in ‘Weber’s historical sociology, outcomes happen for reasons – motivational states and the
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pattern of external determination. But how they interact and combine is hard to predict.’ In
this spirit, it is possible to observe that alternatives and challenges are more likely to be found
where there is a condition of relative immunity (from the dominance of rationalisation) arising
from an amalgam of structural and subjective factors. The latter include a degree of freedom
(as with entrepreneurial actors) to mobilise ideas and resources; awareness of the importance
of inner distance from dominant presumptions; a valuing of intrinsic experience and valuerationality; opportunities to engage with others collegially in the task of creating alternatives
to the subservience to rationalising forces; and ideational resources, to be engaged with rather
than simply ingested, that provide an alternative view of society and human progress.
There are many dimensions to Weber’s work, which continue to stimulate and engage
sociologists. The significance of his work that this chapter has highlighted is his characterisation
of modernity through the interrelated conceptualisations of rationalisation and disenchantment.
This analysis of modernity throws into sharp relief the full import and vulnerability of the
challenges to rationalisation and disenchantment discussed above, and marks them out as
enormously important subjects for study because they (consciously or unconsciously) challenge
what Weber (1948a: 155) describes as the ‘fate of our age, with its characteristic rationalization
and intellectualization and, above all, the “disenchantment of the world”’.
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du Gay, P. (2000) In praise of bureaucracy, London: Sage.
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12
Recognizing the subjects of education
Engagements with Judith Butler
Deborah Youdell
Introduction
Among scholars in education sociology and allied areas such as cultural studies, Judith Butler
is now a well-known and well-used theorist. Her theoretical work invites us to consider
discomforting matters of gender and sexuality, of sexed and raced bodies, of being human.
Throughout, she is concerned with forms of power and what is speakable and what is silenced.
While not a part of the education mainstream, this work is a significant influence on and resource
for post-structural, queer, feminist, and anti-racist strands in sociology of education, where these
ideas invite us to consider “who” gets to be recognized as a person, or subject, in education
and how these processes of recognition and refusal take place. In offering these conceptual tools,
Judith Butler’s work opens up exciting possibilities for thinking differently about education and for
imagining education and its subjects in new ways. In this sense, her work offers a set of new lenses
through which sociologists of education can make the familiar world of education “strange”
(Delamont, 1995).
In this chapter, I offer accounts of Butler’s central ideas concerning the subject, how s/he
is constituted and constrained, and how s/he might engage in forms of resistance and politics.
I begin by setting these in the context of Butler’s own intellectual and political location and
concerns, and go on to show how these have been made use of in sociology of education.
In doing this, I illustrate how work in sociology of education has made use of Judith Butler’s
ideas to extend the insights offered by Foucault and education scholars influenced by him,
and articulated these with feminist, anti-racist, and post-colonial analyses and concerns. Finally,
I consider the potential future contributions that Butler’s work might make to the sociology
of education.
I first read Judith Butler, in the early 1990s, having been given a photocopy of her chapter,
“Imitation and gender insubordination,” from Diane Fuss’s early Queer Studies collection
Inside/out and, later, a copy of her book Gender trouble, both gifts from the same friend. These
texts excited and overwhelmed me with the density of their ideas, the further reading in new
fields that they demanded, and the conceptual tools they offered. Importantly, these texts
promised to help me move past what I felt were the limitations of existing thinking about identity
and politics in sociology of education at the time. Fifteen years later, Judith Butler’s ongoing
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work continues to offer me significant tools for thinking about educational institutions, the
subjects who populate them and the ways in which these might be reconfigured. It is in the
spirit of this early labor and ongoing intellectual investment, and pleasure at the purchase
that these tools continue to provide in my own work and in the work of others, that I write
this chapter.
Who is Judith Butler?
An interrogation of the acceptance in Western thought and societies of a person who is complete
and self-knowing and who exists outside relations of power, ideas, language or meaning runs
throughout Butler’s work. Her project, or at least one of them, has been to trouble the takenfor-grantedness of this pre-existing, self-contained, rational person, or subject. She does this to
expose the constraints that are brought into play through this acceptance of the unitary subject
and the political possibilities opened up by this troubling. Offering an account of who Judith
Butler is, then, a rather contradictory activity.
I have heard Judith Butler tell a story about an occasion when a speaker at a meeting of
activists and scholars concluded with the rebuke “Fuck You Judith Butler!” “Who,” Judith
wondered, was this “Judith Butler” to whom “Fuck you” was addressed, and what had “she”
got to do with “her”? In her writing, she considers the place of herself in her work, in an
intellectual space of ideas and in the world. What does it mean, she wonders, to speak as the
“lesbian” in “imitation and gender insubordination,” what are the effects of taking up and
speaking under this sign? (Butler, 1991) And “who,” she asks, is the “I” who considers the
limits and possibilities of politics and agency in “Contingent foundations” (Butler, 1992)? As
Butler herself observes, who she is, her ideas, and the writing she produces are not synonymous,
but nor are they wholly devisable. Her writing and her ideas take on new meanings as they
circulate, are taken up, are engaged and reworked, they exceed her and are beyond her control.
And at the same time, in the call “Fuck you Judith Butler!” a particular reading of the meaning
of her work is asserted, and she is constituted as the author of this reading, a constitution that
might injure and might be difficult to resist.
That said, the attachment to the illusion of the unitary subject that is one of Butler’s (and
my own) objects of study compels me to say something solid. Judith Butler is Maxine Elliot
Professor in the Departments of Rhetoric and Comparative Literature in the University of
California, Berkeley. Her location across these two departments is indicative of the interdisciplinarity of her work, which crosses the boundaries of continental philosophy, literary
theory, politics, feminist theory, queer theory, and psychoanalysis. She is also engaged with
political movements: for instance, she has been involved in political debates over hate speech
legislation and lesbian pornography, as well as transgender activism and the political and psychic
meanings of gender reassignment (see Butler, 2004a). These locations begin to demonstrate
how Butler’s work is situated in wider intellectual milieux and socio-political movements.
When the book that brought Butler to wide attention, Gender trouble, was published in 1990,
she was one of a number of scholars working in the US, the UK, and Australia who were
developing new analyses of gender and sexuality in these English-speaking contexts by engaging
ideas from contemporary French philosophy, psychoanalysis, and feminism, by writers such as
Michel Foucault, Jacques Derrida, Luce Irigaray, and Julia Kristeva. These engagements can
be found in the work of authors such as Deborah Britzman, Bronwyn Davies, Michelle Fine,
Elizabeth Grosz, and Valerie Walkerdine. In this sense, Butler’s work can be seen as being part
of an intellectual zeitgeist, temporally and contextually situated ideas and politics emerging in
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Performativity
A useful starting point for understanding performativity is Butler’s engagement with a debate
between Austin and Derrida (see Derrida, 1988). In Austin, performatives are things that are
said that make something happen, and while illocutionary performatives always have the effect
they speak, perlocutionary performatives may not have an immediate effect, may have no effect
at all, or may have a different effect than the one expected (Austin, 1962). Austin sees these as
failures or “infelicities.” In contrast, Derrida suggests an inherent “contextual break” between
the intentions of a speaker and the meaning and effect of a performative; instead of thinking
about “infelicities,” he conceives of a space of performative “misfire,” a space where the meaning
and the effects of communication might change (see Derrida, 1988). Butler’s use of the idea is
guided by Derrida’s reading of the inherent break between performative and effect and the risk
and promise of misfire, and situated in a Foucauldian understanding of discourse and relations
of productive power. She defines the performative as:
[T]hat discursive practice that enacts or produces that which it names.
(Butler, 1993: 13)
And:
Discursive performativity appears to produce that which it names, to enact its own
referent, to name and to do, to name and to make . . . [g]enerally speaking, a performative
functions to produce that which it declares.
(Butler, 1993: 107)
Such performatives make subjects through their deployment in the classificatory systems,
categories, and names that are used to designate, differentiate, and sort people. According
to Butler (1990, 1993, 1997a, 2004a), designations such as “boy” and “girl,” “man” and
“woman” are performative—they create the gendered subject that they name. Furthermore,
these performatives do this while appearing to be just descriptive. By appearing to be descriptive,
they create the illusion of genders’ prior existence. So, while it appears that the subject expresses
a gender, this is actually a performative effect of gender categorizations and their use. Suturing
this idea to Bourdieu’s notion of habitus, Butler also offers an account of the performative force
of forms of embodiment and bodily practice, suggesting that: “the bodily habitus constitutes a
tacit form of performativity, a citational chain lived and believed at the level of the body” (Butler
1997a: 155).
Butler’s understanding of the performative has been taken up in a range of work in the
sociology of education to make sense of how the discourses of gender, sexuality, race, ethnicity,
religion, social class, ability, and disability circulating in schools and other education spaces might
operate as performatives. Reflecting the critique of identity politics concerned with recognition
that I indicated earlier, this take-up has been most evident among education scholars whose
concern with inequalities leads them to focus on the ways that subject positions marked by
gender, class, and so on are constituted and regulated through the everyday practices of teachers,
students, and educational institutions. For this reason, the notion of the performative has been
particularly useful to those researching practices at the micro level: using detailed ethnographic
observations and interviews, as well as readings of popular and cultural artefacts such as films,
television, media representations, websites, fashion, and so on to explore how discursive
performatives constitute and regulate education’s subjects.
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For instance, in a paper in Gender and education (Youdell, 2005) I show how the names
that students call each other, whether in friendship or judgment, are not simply descriptors
with various degrees of accuracy, but are performatives with various degrees of force and with
significant implications:
Virgin girls, slapper girls, and other girls
DY (the researcher, mid/late twenties, woman, White)
Molly, Nicola, Diane, Annie, Milli (year 11 students, girls, White)
Sitting in a group around a table in the year base while the rest of the tutor group are in a PSE
lesson. The group is debating whether or not particular boys are virgins.
DY: How do you know if people are virgins or not?
Molly: I dunno, because people don’t give a shit.
Diane: (indicating Nicola) she ain’t.
Nicola: (shouting, high pitch) I am Diane!
Molly: (laughing) she ain’t.
DY: How do you know?
Molly: It’s just the way she goes round.
DY: What about . . .?
Molly: (interrupting) Puts herself across to boys.
DY: What does she do?
Molly: She goes running up to them and cuddling them and (impersonating Nicola) “Oooh.”
Nicola: (screeching) No I don’t!
DY: She flirts a little bit?
Molly: Yes, and she goes, “Ah, I’ll have sex with you later if you open the door.”
Nicola: (laughing) I do not say things like that!
[. . .]
Molly: And [boy] goes “Ok come on then, lets go” and she actually walks up to him and goes
“Come on.”
Nicola: (more serious, agitated) But I’m still joking around, I’m just having a laugh Molly!
Molly: Yeah but people like [boy] and [boy], they’ll take it differently and think “Ah, she’s a
right little slapper” and that. Think about what happened to [girl].
Nicola: Sorry, I ain’t gonna spend the night shagging someone if I don’t love them and trust
them, I ain’t gonna shag anyone that I ain’t going out with.
(Interview, Youdell, 2005: 260–261)
In the paper, I suggest that this scene illustrates not a contest over the “fact” of virgin/notvirgin, but the very processes of being constituted in these ways. Through the girls’ dialogue,
it becomes evident that what “counts” here is the meaning that boys will make of Nicola’s
practices; how they will “take it.” And the risk asserted is that certain boys, whose performative
namings are understood as having particular authority and force, will constitute Nicola as a
“right little slapper.” That is, if these boys constitute Nicola as slapper this is likely to have
effects, and Nicola will be slapper. Molly presents a virgin/whore dichotomy established by
boys, yet, in “warning” Nicola of the risks she runs, Molly exposes the role that girls play in
policing the boundaries of this dichotomy and implicates girls in the performative constitution
of themselves and other girls within its terms. The threat of “slapper” implicit in Molly”s
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“warning” leads Nicola to concede ultimately that she is not a virgin but that she only has sex
with boys if “I love them and trust them,” that is, if she is in a relationship. This “admission”
may be Nicola’s attempt to constitute herself in terms of acceptable heterosexual feminine desire
and so differentiate herself from slapper and pre-empt this performative.
This analysis demonstrates how normative hetero-feminine subjects are constituted and
regulated in school spaces through the everyday, mundane performative practices of young
people and, by extension, exposes the failure of liberal approaches to gender equity to account
for either everyday processes or young people’s investments in such subjectivities. Readings
such as this have been offered by a number of scholars in sociology of education, deepening
understandings of how students recognized through particular intersecting categories of gender,
race, and so on come to be performatively constituted as such and offering insights into how
these performative constitutions are connected to educational inequalities. For instance, Mary
Lou Rasmussen’s (2006) book Becoming subjects draws on Butler’s notion of the performative
to analyze empirical accounts and cultural artefacts and offer an extensive analysis of the
constitution of sexualities in secondary schools. Emma Renold’s (2005) book Junior sexualities
draws on ethnographic data generated in primary school to offer an analysis of the performative
constitution of younger children’s subjectivities, arguing that gender constitutions are
simultaneously constitutions of young sexualities. Ringrose and Renold (2009) use the
performative to interrogate the gendered constitution of violence in schools. I have used the
notion of race performativity to understand processes of racialization and how particular raced
subject positions are tied to particular performative judgments of students by schools (Youdell,
2003). And Sue Saltmarsh and myself (Saltmarsh and Youdell, 2004) and Linda Graham (2007)
have developed analyses of the performative constitution of students as “special” and
“problematic” in education policy and institutional and teacher practices.
An important development in understanding the performative constitution of students in
schools has been in work that unravels the performative constitution, not of single classificatory
systems, e.g. gender, or single categorizations, e.g. girl, or obviously entangled subjectivities,
such as sex-gender, but of multiple and intersecting performatives that make multifaceted subjects
and subjectivities. For instance, Mary Lou Rasmussen and Valerie Harwood (2003) explore a
range of interconnecting performatives, including race, gender, sexuality, size, and ability, whose
injurious effects work together to make schooling untenable for one girl. In a similar vein, my
book Impossible bodies, impossible selves (Youdell, 2006) examines the ways that constellations of
performative categorizations come together in students’ and teachers’ discursive practices,
sometimes colliding and sometimes cohering.
Subjectivation
Butler (1997a, 1997b, 2004a) also makes use of the idea of “subjectivation,” sometimes also
referred to as “subjectivization” or “subjectification”; an idea that Butler draws from Foucault
(1982) and that in turn connects to Althusser’s (1971) idea of subjection. According to
Foucault, the person is subjectivated—s/he is at once rendered a subject and subjected to relations
of power through discourse. That is, productive power constitutes and constrains, but does not
determine, the subjects with whom it is concerned. In engaging with Foucault’s account of
the relationship between the subject and power, Butler asserts that:
“subjectivation” . . . denotes both the becoming of the subject and the process of
subjection—one inhabits the figure of autonomy only by becoming subjected to a power,
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a subjection which implies a radical dependency. . . . Subjection is, literally, the making
of a subject, the principle of regulation according to which a subject is formulated or
produced. Such subjection is a kind of power that not only unilaterally acts on a given
individual as a form of domination, but also activates or forms the subject. Hence, subjection
is neither simply the domination of a subject nor its production, but designates a certain
kind of restriction in production.
(Butler, 1997b: 83–84, original emphases)
Subjectivation, in some sense, can be seen as an extension and elaboration of the idea of
performativity, and one that foregrounds the relationship between these constitutive processes
and productive power. Indeed, we might understand the discursive performative as being
an aspect of, or culpable in, processes of subjectivation. Butler’s engagement with the idea of
subjectivation has been a more recent turn, and current work in the sociology of education is
making increasing use of this notion. In a 2006 special edition of the British Journal of Sociology
of Education, dedicated to the usefulness of Butler’s work in the field, Bronwyn Davies
demonstrates how Butler has developed the Foucauldian notion of subjectivation and shows
how the notion can be used to interrogate encounters between teachers and students (Davies,
2006). Likewise, in my contribution to the issue, I use subjectivation to analyze how young
people named as “Arabic” are constituted within the terms of prevailing anti-Islamic discourses
through the practices of teachers and the teachers’ incorporation of the young people’s own
practices (Youdell, 2006b).
Intelligibility
Notions of intelligibility, recognizability, and speakability are useful for thinking about how
performative constitutions are constrained and why they are necessarily embroiled in processes
of subjectivation. Discursive processes of subjectivation and the discursive performatives
involved in these processes have to make sense to work—they have to be “recognizable” (Butler,
1997a: 5, original emphasis) in the discourses that are circulating in the settings and moments
in which they are deployed.
In my book Impossible bodies, impossible selves (Youdell, 2006a), I stress that, in school contexts,
being a schoolgirl or boy, being gifted, having emotional or behaviour difficulties “makes
sense”—these subjects are intelligible because they cite enduring institutional discourses about
who students are and what schools are about. Performatives that do not make sense in the
discourses that frame schooling, or that are counter to prevailing institutional discourses, may
fail or may act to constitute a subject outside the bounds of acceptability as a student. As I
highlighted above, these processes of subjectivation are processes of “restriction in production”
(Butler 1997b: 83–84, original emphasis). This understanding of the ongoing subjectivation of
subjects through discursive performativity enables us to see how schools come to be suffused
with exclusions, with what the student-subject cannot be, with who cannot be the studentsubject—the “impossible students” and “impossible learners” (Youdell, 2006a). As Bronwyn
Davies notes: “[s]ubjects, and this includes school students, who are constituted as lying outside
intelligibility are faced with the constitutive force of a language that grants them no intelligible
space” (Davies, 2006: 434). These ideas demonstrate that subjecthood—and studenthood—
comes with costs. This emphasis on intelligibility intersects with notions of recognition and
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mis-recognition from psychoanalysis, bringing into play the subject’s unconscious desire to be
recognized and, indeed, the necessity of this recognition for being a subject. This extends a
Foucauldian notion of subjectivation by offering us tools for understanding further why
subjects might take up, and be attached to, subject positions that may appear to injure, disadvantage, or constrain them.
Conceptual tools—political subjects
Understanding students as subjectivated through ongoing performative constitution has at times
been interpreted as a pessimistic or even fatalistic move that leaves no space for action or change.
Yet spaces for action and change are evident in the work of Foucault and Butler, both of whom
emphasize that subjectivation involves subjection to power and recognition as a subject—
a recognition that includes the subject’s capacity to act. In the remainder of this chapter, I detail
Butler’s conception of discursive agency and the performative politics this suggests, demonstrating
these in work in sociology of education that maps how performatives can be intercepted in
order to constitute students differently.
Discursive agency and performative politics
Building on Derrida’s assertion that any performative is open to misfire and Foucault’s insistence
that no discourse is guaranteed, Butler suggests that discourse and its performative effects offer
political potential. Returning to processes of subjectivation, Butler stresses that:
the one who names, who works within language to find a name for another, is presumed
to be already named, positioned within language as one who is already subject to the
founding or inaugurating address. This suggests that such a subject in language is
positioned as both addressed and addressing, and that the very possibility of naming another
requires that one first be named. The subject of speech who is named becomes,
potentially, one who might well name another in time.
(Butler, 1997a: 29)
Butler calls the subjectivated subject’s capacity to act within discourse and to subjectivate
another “discursive agency.” This is not the agency of a sovereign subject who exerts its will.
Rather, this agency is derivative, an effect of discursive power:
Because the agency of the subject is not a property of the subject, an inherent will or
freedom, but an effect of power, it is constrained but not determined in advance . . . As the
agency of a postsovereign subject, its discursive operation is delimited in advance but also
open to a further unexpected delimitation.
(Butler, 1997a: 139–140, my emphasis)
Agency is, therefore, simultaneously enabled and constrained through discourse. This subject
retains intention and can seek to realize this intent through the deployment of discursive
practices; however, the effects of this deployment cannot be guaranteed. By thinking of agency
as discursive we are able to conceive of a political subject who might challenge prevailing
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constitutions as part of a set of self-conscious discursive practices, without assuming a rational,
self-knowing subject who exists outside subjectivation.
This understanding of discursive agency allows Butler to imagine insurrectionary practices
that would involve:
decontextualizing and recontextualizing . . . terms through radical acts of public misappropriation such that the conventional relation between [naming and meaning] might
become tenuous and even broken over time.
(Butler, 1997a: 100)
The sedimented meanings of enduring discourses might be unsettled and resignified or
reinscribed. And subjugated or silenced discourses might be deployed in, and made meaningful
in, contexts from which they have been barred. This does not mean that a performative politics
is simply a matter of asserting a new meaning, but nor does it render such a politics hopeless:
normative meanings are resistant to reinscription but they are never immune from it. As Butler
writes:
contexts inhere in certain speech acts in ways that are very difficult to shake . . . [but]
contexts are never fully determined in advance . . . the possibility for the speech act to
take on a non-ordinary meaning, to function in contexts where it has not belonged, is
precisely the political promise of the performative.
(Butler, 1997a: 161)
In thinking about education, this suggests that the enduring inequalities that are produced
through the performative practices of institutions, teachers, and students might be unsettled.
In various ways, my work has been concerned to show how young people in schools are already
engaged in practices that can be understood in these terms: everyday practices that resist the
normative meanings and ascribed subjectivities of the institution and instead assert and enact
meanings and subjectivities of their own. In particular, in relation to students subjectivated in
ways that act to wound or exclude—gay students, Black students, Arabic students, disabled
or special students—I have detailed not just processes of subjectivation but also practice of
resistance, performative politics in action (see Saltmarsh and Youdell, 2004; Youdell 2004a,b,
2006a,b). Yet young people’s everyday practices of self do not resemble the organized action
of the traditional left or newer movements in identity politics or global coalitions, such as anticapitalist or eco-activism.
What is pressing to explore in sociology of education at this juncture, then, is whether these
performative practices can, need, or should be multiplied and/or corralled in ways that make
them more recognizable as political practices; whether we might better reconfigure our
understanding of what “counts” as the political; and whether we need more than a performative
politics if we are to shift sedimented meanings and enduring inequalities in education and, if
so, what understandings of power and political tactics we might take up. These are questions
that are currently being explored by education scholars such as Valerie Hey (2006); Emma
Renold and Debbie Epstein (2008); Jessica Ringrose (2008); Elizabeth Atkinson and Renee
DePalma (2009); and myself (Youdell 2006c, 2010 forthcoming).
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and its potential for a sociology of education,” British Journal of Sociology of Education 27(4): 439–457.
Rasmussen, M. (2006) Becoming subjects, London: Routledge.
Rasmussen, M.L. and Harwood, V. (2003) “Performativity, youth and injurious speech,” Teaching Education
14(1): 25–36.
Renold, E. (2005) Girls, boys and junior sexualities: exploring childrens’ gender and sexual relations in the primary
school, London: RoutledgeFalmer.
Renold, E. and Epstein, D. (2008) “Sexualities, schooling and schizoid agendas,” Negotiating Difference
and Sameness: Sexualities, Schooling and Schizoid Agendas Conference, London.
Ringrose, J. (2008) “Intensifying affect: sex, gender and conflict in young people’s negotiations of online
social networking sites,” The Emotional Geographies of Education Conference, London.
–––– and Renold, E. (2009 forthcoming) “Boys and girls performing normative violence in schools:
a gendered critique of bully discourses,” in C. Barter and D. Berridge (eds) Children behaving badly?
Exploring peer violence between children and young people, John Wiley & Sons.
Saltmarsh, S. and Youdell, D. (2004) “‘Special sport’ for misfits and losers: educational triage and the
constitution of schooled subjectivities,” International Journal of Inclusive Education 8(4): 353–371.
Youdell, D. (2003) “Identity traps or how black students fail: the interactions between biographical, subcultural, and learner identities,” British Journal of Sociology of Education 24(1): 3–20.
–––– (2004a) “Wounds and reinscriptions: schools, sexualities and performative subjects,” Discourse 25(4):
477–493.
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–––– (2004b) “Bent as a ballet dancer: the possibilities and limits for a legitimate homosexuality in
school,” in M.L. Rasmussen, E. Rofes and S. Talburt (eds) Youth and sexualities: pleasure, subversion
and insubordination in and out of schools, Basingstoke: Palgrave Macmillan.
–––– (2005) “Sex-gender-sexuality: how sex, gender and sexuality constellations are constituted in
secondary schools,” Gender and Education, 17(3): 149–170.
–––– (2006a) Impossible bodies, impossible selves: exclusions and student subjectivities, Dordrecht: Springer.
–––– (2006b) “Subjectivation and performative politics—Butler thinking Althusser and Foucault: intelligibility, agency and the raced-nationed-religioned subjects of education,” British Journal of Sociology
of Education 27(4): 511–528.
–––– (2006c) “Diversity, inequality, and a post-structural politics for education,” Discourse 27(1): 33–42.
–––– (2010 forthcoming) School trouble: identity, power and politics in education, London: Routledge.
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Part 2
Social processes and practices
13
Doing the work of God
Home schooling and gendered labor
Michael W. Apple
Introduction
In Educating the “right” way (Apple, 2006; see also Apple et al., 2003), I spend a good deal of
time detailing the world as seen through the eyes of “authoritarian populists.” These are
conservative groups of religious fundamentalists and evangelicals whose voices in the debates
over social and educational policies are now increasingly powerful. I critically analyzed the ways
in which they construct themselves as the “new oppressed,” as people whose identities and
cultures are ignored by, or attacked in, schools and the media. They have taken on subaltern
identities and have (very selectively) re-appropriated the discourses and practices of figures such
as Dr. Martin Luther King to lay claim to the fact that they are the last truly dispossessed groups.
A considerable number of authoritarian populist families have made the choice to home school
their children.
Home schooling is growing rapidly. Although I shall focus on the United States in this
chapter, it is witnessing increasingly large rates of growth in many nations in Europe, in Australia,
in Canada, and elsewhere (see Beck, 2008, 2006). However, it is not simply an atomistic
phenomenon in which, one by one, isolated parents decide to reject organized public schools
and teach their children at home. Home schooling is a social movement. It is a collective project,
one with a history and a set of organizational and material supports (Stevens, 2001: 4).
While many educators devote a good deal of their attention to reforms such as charter schools,
and such schools have received a good deal of positive press, there are far fewer children
in charter schools than there are being home schooled. In 1996, home school advocates
estimated that there are approximately 1.3 million children being home schooled in the
United States. More recent estimates put the figure even higher. Given the almost reverential
and rather romantic coverage in national and local media of home schooling, the numbers
may in fact be much higher than this, and the growth curve undoubtedly is increasing. At the
very least, more than 2.2 percent of school-age children in the United States are home
schooled (Sampson, 2005).
The home schooling movement is not homogeneous. It includes people of a wide spectrum
of political/ideological, religious, and educational beliefs. It cuts across racial and class lines
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(Sampson, 2005). As Stevens notes, there are in essence two general groupings within the home
school movement, “Christian” and “inclusive.” There are some things that are shared across
these fault lines, however: a sense that the standardized education offered by mainstream
schooling interferes with their children’s potential; that there is a serious danger when the state
intrudes into the life of the family; that experts and bureaucracies are apt to impose their beliefs
and are unable to meet the needs of families and children (Stevens, 2001: 4–7). These worries
tap currents that are widespread within American culture and they too cut across particular
social and cultural divides.
Demographic information on home schoolers is limited, but in general home schoolers seem
to be somewhat better educated, slightly more affluent, and considerably more likely to be
White than the population in the state in which they reside (Stevens, 2001: 11). Although it
is important to recognize the diversity of the movement, it is just as crucial to understand that
the largest group of people who home school have conservative religious and/or ideological
commitments (Apple, 2006). Given the large number of conservative Christians in the home
schooling movement, this picture matches the overall demographic patterns of evangelical
Christians in general (Smith, 1998).
Based on a belief that schooling itself is a very troubled institution (but often with widely
divergent interpretations of what has caused these troubles), home schoolers have created
mechanisms where “horror stories” about schools are shared, as are stories of successful home
schooling practices. The metaphors that describe what goes on in public schools and the dangers
associated with them, especially those used by many conservative evangelical home schoolers,
are telling. Stevens puts it in the following way:
Invoking the rhetoric of illness (“cancer,” “contagion”) to describe the dangers of
uncontrolled peer interaction, believers frame the child-world of school as a kind of jungle
where parents send their kids only at risk of infection. The solution: keep them at home,
away from that environment altogether.
(2001: 53)
Given these perceived dangers, through groups that have been formed at both regional
and national levels, home schooling advocates press departments of education and legislatures
to guarantee their rights to home school their children. They have established communicative
networks—newsletters, magazines, and increasingly the Internet—to build and maintain a
community of fellow believers, a community that is often supported by ministries that reinforce
the “wisdom” (and very often godliness) of their choice. And as we shall see, increasingly as
well the business community has begun to realize that this can be a lucrative market (Stevens,
2001: 4). Religious publishers, for-profit publishing houses large and small, conservative
colleges and universities, Internet entrepreneurs, and others have understood that a market
in cultural goods—classroom materials, lesson plans, textbooks, religious material, CDs, and so
forth—has been created. They have rushed both to respond to the expressed needs and
to stimulate needs that are not yet recognized as needs themselves. But the market would not
be there unless what created the opportunity for such a market—the successful identity work
of the evangelical movement itself—had not provided the space in which such a market could
operate.
Conservative Christian home schoolers are part of a larger evangelical movement that has
been increasingly influential in education, in politics, and in cultural institutions such as the
media (Apple, 2006; Binder, 2002). Nationally, White evangelicals constitute approximately
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25 percent of the adult population in the United States (Green, 2000: 2). The evangelical
population is growing steadily (Smith, 1998), as it actively provides subject positions and new
identities for people who feel unmoored in a world where, for them, “all that is sacred is
profaned” and where the tensions and structures of feeling of advanced capitalism do not provide
either a satisfying emotional or spiritual life. The search for a “return”—in the face of major
threats to what they see as accepted relations of gender/sex, of authority and tradition, of nation
and family—is the guiding impulse behind the growth of this increasingly powerful social
movement (Apple, 2006).
Home schooling and compromising with the state
A large portion of social movement activity targets the state (Amenta and Young, 1999: 30),
and this is especially the case with the home schooling movement. Yet, although there is often
a fundamental mistrust of the state among many religiously conservative home schoolers, there
are a considerable number of such people who are willing to compromise with the state. They
employ state programs and funds for their own tactical advantage. One of the clearest examples
of this is the growing home schooling charter school movement in states such as California.
Even though many of the parents involved in such programs believe that they do not want
their children to be “brainwashed by a group of educators” and do not want to “leave [their]
children off somewhere like a classroom and have them influenced and taught by someone that
I am not familiar with” (Huerta, 2000: 177), a growing number of Christian conservative parents
have become quite adept at taking advantage of government resources for their own benefit.
By taking advantage of home school charter programs that connect independent families through
the use of the Web, they are able to use public funding to support schooling that they had
previously had to pay for privately (pp. 179–180). This is also one of the reasons that the figures
on the number of parents who home school their children are unreliable.
But it is not only the conservative evangelical parents who are using the home schooling
charter possibilities for their own benefit. School districts themselves are actively strategizing,
employing such technological connections to enhance their revenue flow but maintaining
existing enrolments or by actively recruiting home school parents to join a home school charter.
This can be expected to increase given the economic crisis currently being experienced by so
many nations. By creating a home school charter, one financially pressed small California school
district was able to solve a good deal of its economic problems. Over the first two years of its
operation, the charter school grew from 80 students to 750 (Huerta, 2000: 180). Since there
are only very minimal reporting requirements, conservative Christian parents are able to act
on their desire to keep government and secular influences at a distance, and, at the very same
time, school districts are able to maintain that the children of these families are enrolled in
public schooling and meeting the requirements of secular schooling.
Yet, we should be cautious of using the word “secular” here. It is clear from the learning
records that the parents submit that there is a widespread use of religious materials in all of the
content. Bible readings, devotional lessons, moral teachings directly from online vendors, and
so on were widely integrated by the parents within the “secular” resources provided by the
school.
Such content, and the lack of accountability for it, raises serious question about the use of
public funding for overtly conservative religious purposes. It documents the power of Huerta’s
claim that “In an attempt to recast its authority in an era of fewer bureaucratic controls over
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schools, the state largely drops its pursuit of the common good as public authority is devolved
to local families” (Huerta, 2000: 192). In the process, technologically linked homes are
reconstituted as a “public” school, but a school in which the very meaning of public has been
radically transformed so that it mirrors the needs of conservative religious form and content.
Home schooling as gendered labor
Even with the strategic use of state resources to assist efforts, home schooling takes hard work.
But to go further we need to ask an important question: Who does the labor? Much of this
labor is hidden from view. Finding and organizing materials, teaching, charting progress,
establishing and maintaining a “proper” environment, the emotional labor of caring for, as well
as instructing, children—and the list goes on—all of this requires considerable effort. And most
of this effort is made by women (Stevens, 2001: 15).
Because home schooling is largely women’s work, it combines an extraordinary amount of
physical, cultural, and emotional labor. This should not surprise us. As Stambach and David
(2005) have powerfully argued, and as Andre-Bechely (2005) and Griffith and Smith (2005)
have empirically demonstrated, assumptions about gender and about the ways in which mothers
as “caretakers” are asked to take on such issues as educational choice, planning, and, in the case
we are discussing here, actually doing the education itself underpin most of the realities
surrounding education. But home schooling heightens this. It constitutes an intensification of
women’s work in the home, since it is added on to the already extensive responsibilities that
women have within the home and especially within conservative religious homes, with their
division of labor in which men may be active, but are seen as “helpers” of their wives, who
carry the primary responsibility within the domestic sphere. The demands of such intensified
labor have consistently led women to engage in quite creative ways of dealing with their lives.
This labor and the meanings attached to it by women themselves need to be situated into
a much longer history and a much larger context. A number of people have argued that many
women see rightist religious and social positions and the groups that support them as providing
a non-threatening, familiar framework of discourse and practice that centers directly upon what
they perceive to be issues of vital and personal concern: immorality, social disorder, crime, the
family, and schools. Yet, the feelings of personal connection are not sufficient. Rightist action
in both the “public” and the “private” spheres (see Fraser (1989) regarding how these concepts
themselves are fully implicated in the history of gendered realities, differential power, and
struggles) empowers them as women. Depending on the context, they are positioned as
“respectable, selfless agents of change deemed necessary, or as independent rebels” (Bacchetta
and Power, 2002: 6).
Usually, fundamentalist and evangelical women are depicted as essentially dedicated to acting
on and furthering the goals of religiously conservative men (Brasher, 1998: 3). This is much
too simplistic. Rather, the message is more complex and compelling—and connected to a very
clear understanding of the realities of many women’s lives. Women are to have not a passive
but a very active engagement in their family life and the world that impinges on it. They can
and must “shape their husband’s actions and alter disruptive family behaviors.” Further, only
a strong woman could mediate the pressures and the often intensely competitive norms and
values that men brought home with them from the “world of work.” Capitalism may be “God’s
economy” (see Apple, 2006), but allowing its norms to dominate the home could be truly
destructive. Women, in concert with “responsible” men, could provide the alternative but
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complementary assemblage of values so necessary to keep the world at bay and to use the family
as the foundation for both protecting core religious values and sending forth children armed
against the dangers of a secular and profane world.
Divine creation has ordained that women and men are different types of being. Although
they complement each other, each has distinctly different tasks to perform. Such sacred gender
walls are experienced, not as barriers, but as providing and legitimating a space for women’s
independent action and power. Interfering with such action and power in this sphere is also
interfering in God’s plan (Brasher, 1998: 12–13).
This vision of independence and of what might be called “counter-hegemonic thinking” is
crucial. Bringing conservative evangelical religion back to the core of schooling positions secular
schooling as hegemonic. It enables rightist women to interpret their own actions as independent
and free thinking—but always in the service of God. Let me say more about this here.
Solving contradictions
One of the elements that keeps the Christian Right such a vital and growing social movement
is the distinctive internal structure of evangelical Protestantism. Evangelicalism combines
orthodox Christian beliefs with an intense individualism (Green, 2000: 2).
This is a key to understanding the ways in which what looks like never-ending and intensified
domestic labor from the outside is interpreted in very different ways from the point of view
of conservative religious women, who willingly take on the labor of home schooling and add
it to their already considerable responsibilities in the domestic sphere. Such conservative
ideological forms see women as subservient to men and as having the primary responsibility of
building and defending a vibrant, godly “fortress-home” as part of “God’s plan” (Apple, 2006).
Yet, it would be wrong to see women in rightist religious or ideological movements as only
being called upon to submit to authority per se. Such “obedience” is also grounded in a call
to act on their duty as women (Enders, 2002: 89). This is what might best be seen as activist
selflessness, one in which the supposedly submerged self reemerges in the activist role of defender
of one’s home, family, children, and God’s plan. Lives are made meaningful and satisfying—
and identities supported—in the now reconstituted private and public sphere in this way.
Protecting and educating one’s children, caring for the intimate and increasingly fragile bonds
of community and family life, worries about personal safety, and all of this in an exploitative
and often disrespectful society—these themes are not only the province of the Right and should
not be only the province of women. Yet, we have to ask how identifiable people are mobilized
around and by these themes, and by whom.
The use of a kind of “maternalist” discourse and a focus on women’s role as “mother” and
as someone whose primary responsibility is in the home and the domestic sphere does not
necessarily prevent women from exercising power in the public sphere. In fact, it can serve as
a powerful justification for such action and actually reconstitutes the public sphere. Educating
one’s children at home so that they are given armor to equip them to transform their and others’
lives outside the home establishes the home as a perfect model for religiously motivated ethical
conduct for all sets of social institutions (see Apple, 2006). This tradition, what has been called
“social housekeeping,” can then claim responsibility for non-familial social spaces and can extend
the idealized mothering role of women well beyond the home. In Marijke du Toit’s words,
it was and can still be used to forge “a new, more inclusive definition of the political”
(2002: 67).
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All of this helps us make sense of why many of the most visible home school advocates
devote a good deal of their attention to “making sense of the social category of motherhood.”
As a key part of “a larger script of idealized family relations, motherhood is a lead role in God’s
plan” for authoritarian populist religious conservatives (Stevens, 2001: 76). Again in Stevens’
words, “One of the things that home schooling offers, then, is a renovated domesticity—a fulltime motherhood made richer by the tasks of teaching, and [by] some of the status that goes
along with those tasks” (p. 83).
Yet it is not only the work internal to the home that is important here. Home schooling is
outward looking as well in terms of women’s tasks. In many instances, home schooling is a
collective project. It requires organizational skills to coordinate connections and cooperative
activities (support groups, field trips, play groups, time off from the responsibilities that mothers
have, etc.) and to keep the movement itself vibrant at local and regional levels. Here too, women
do the largest amount of the work. This has led to other opportunities for women as advocates
and entrepreneurs. Thus, the development and marketing of some of the most popular
curriculum packages, management guides, self-help and devotional materials, and so on has
been done by women. Indeed, the materials reflect the fact that home schooling is women’s
work, with a considerable number of the pictures in the texts and promotional material showing
mothers and children together (Stevens, 2001: 83–96). A considerable number of the national
advocates for evangelically based home schooling are activist women as well.
Marketing God
Advocacy is one thing, being able to put the advocated policy into practice is quite another. In
order to actually do home schooling, a large array of plans, materials, advice, and even solace
must be made available. “Godly schooling” creates a market. Even with the burgeoning market
for all kinds of home schooling, it is clear that conservative evangelicals and fundamentalists have
the most to choose from in terms of educational and religious (the separation is often fictional)
curricula, lessons, books, and inspirational material (Stevens, 2001: 54). Such materials not only
augment the lessons that home schooling parents develop, but increasingly they become the
lessons in mathematics, literacy, science, social studies, and all of the other subjects that are taught.
This kind of material also usually includes homework assignments and tests, as well as all of the
actual instructional material. Thus, a complete “package” can be assembled or purchased whole
in a way that enables committed parents to create an entire universe of educational experiences
that is both rigorously sequenced and tightly controlled—and prevents unwanted “pollution”
from the outside world. Much of this material is easily ordered on the Web and is based in an
inerrantist approach to the Bible and a literalist reading of Genesis and creation, one in which,
for example, evolution is dismissed (Apple, 2006; Numbers, 2006). The difference between right
and wrong is seen as answerable only through reference to biblical teachings (Stevens, 2001: 55).
While there are pedagogic differences among these sets of materials, all of them are deeply
committed to integrating biblical messages, values, and training throughout the entire
curriculum. Most not only reproduce the particular biblically based worldviews of the parents,
but they also create an educational environment that relies on a particular vision of “appropriate”
schooling, one that is organized around highly sequenced formal lessons that have an expressly
moral aim. Technological resources such as videos are marketed that both provide the home
schooler with a model of how education should be done and the resources for actually carrying
it out (Stevens, 2001: 56).
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The organizational form that is produced here is very important. As I have argued elsewhere
(Apple, 2006), since much of the religiously conservative home schooling movement has a
sense of purity and danger in which all elements of the world have a set place, such an
organization of both knowledge and pedagogy embodies the ideological structure underlying
the evangelical universe. As Bernstein (1977) reminds us, it is often in the form of the curriculum
that the social cement that organizes our consciousness at its most basic level is reproduced.
Importance is given to structured educational experiences that are infused with strong moral
messages. This is not surprising given the view of a secular world filled with possible sins,
temptations, and dangers. The emphasis then on equipping children with an armor of strong
belief supports a pedagogical belief that training is a crucial pedagogic act. Although children’s
interests have to be considered, these are less important than preparing children for living in a
world where God’s word rules. This commitment to giving an armor of “right beliefs”
“nourishes demands for school material” (Stevens, 2001: 60). A market for curriculum materials,
workbooks, lesson plans, rewards for doing fine work such as merit badges, videotapes and
CDs, and so many other things that make home schooling seem more doable is not only created
out of a strategy of aggressive marketing and of using the Web as a major mechanism for such
marketing, but it is also created and stimulated because of the ideological and emotional elements
that underpin the structures of feeling that help organize the conservative evangelical home
schooler’s world (see Apple, 2006).
Technology and the realities of daily life
Of course, parents are not puppets. Although the parent may purchase or download material
that is highly structured and at times inflexible, by the very nature of home schooling parents
are constantly faced with the realities of their children’s lives, their boredom, their changing
interests. Here, chat rooms and Internet resources become even more important. Advice
manuals, prayers, suggestions for how one should deal with recalcitrant children, and biblically
inspired inspirational messages about how important the hard work of parenting is and how
one can develop the patience to keep doing it—all of this provides ways of dealing with the
immense amount of educational and especially emotional labor that home schooling requires.
The technology enables women, who may be rather isolated in the home owing to the
intense responsibilities of home schooling, to have virtual but still intimate emotional
connections. It also requires skill, something that ratifies the vision of self that often accompanies
home schooling parents. We don’t need “experts.” With hard work and creative searching,
we can engage in a serious and disciplined education by ourselves. Thus, the technology provides
for solace, acknowledging and praying for each other’s psychic wounds and tensions—and at
the same time enhances one’s identity as someone who is intellectually worthy, who can wisely
choose appropriate knowledge and values. What, hence, may seem like a form of antiintellectualism is in many ways exactly the opposite. Its rejection of the secular expertise of the
school and the state is instead based on a vision of knowledgeable parents, and especially mothers,
who have a kind of knowledge taken from the ultimate source—God.
Higher education and an expanded mission field
So far I have focused on elementary and secondary level education. But home schooling’s reach
has extended to higher education as well. A prime example is Patrick Henry College. Patrick
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Henry is a college largely for religiously conservative, home schooled students. With its motto
of “For Christ and for liberty,” it has two major emphases—religion and government. The
principles that animate its educational activities are quite clear in the following description:
The Vision of Patrick Henry College is to aid in the transformation of American society
by training Christian students to serve God and mankind with a passion for righteousness,
justice and mercy, through careers of public service and cultural influence.
The Distinctives of Patrick Henry College include practical apprenticeship methodology; a deliberate outreach to home schooled students; financial independence; a general
education core based on the classical liberal arts; a dedication to mentoring and disciplining
Christian students; and a community life that promotes virtue, leadership, and strong,
life-long commitments to God, family and society.
The Mission of the Department of Government is to promote practical application
of biblical principles and the original intent of the founding documents of the American
republic, while preparing students for lives of public service, advocacy and citizen
leadership.
(www.phc.edu/about/FundamentalStatements.asp)
These aims are both laudable and yet worrisome. Create an environment where students
learn to play active roles in reconstructing both their lives and the larger society. But make
certain that the society they wish to build is based wholly on principles that themselves are not
open to social criticism by non-believers. Only those anointed by their particular version of
God and only a society built upon the vision held by the anointed are legitimate. All else
is sinful.
Thus, for all of its creative uses of technology, its understanding of “market needs” and how
to fill them, its personal sacrifices, the immense labor of the mostly women who are engaged
in the work of actually doing it, and its rapid growth fostered by good press and creative
mobilizing strategies, a good deal of home schooling speaks the language of authoritarian
populism. There’s an inside and an outside. And for many authoritarian populists, the only way
to protect the inside is to change the outside so that it mirrors the religious impulses and
commitments of the inside. Doing this is hard political, educational, and emotional work. And
new technologies clearly are playing a growing role in such personal and social labor.
Conclusion
In this chapter, I have examined a number of the complexities involved in the cultural and
political efforts within a rapidly growing movement that has claimed subaltern status. I have
argued that we need to examine the social movement that provides the context for home
schooling and the identities that are being constructed within that social movement. I have
also argued that we need to analyze critically the kind of labor that is required in home schooling,
who is engaged in such labor, and how such labor is interpreted by the actors who perform it.
Only in this way can we understand the lived problems that home schoolers actually face and
the solutions that seem sensible to them. And I have pointed to how the space for production
of such “solutions” is increasingly occupied by ideological and/or commercial interests who
have responded to and enlarged a market to “fill the needs” of religiously conservative home
schoolers.
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A good deal of my focus has been on the work of mothers, of “Godly women,” who have
actively created new identities for themselves (and their children and husbands) and have found
in such things as new technologies solutions to a huge array of difficult personal and political
problems in their daily lives. Such Godly women are not that much different from any of us.
But they are “dedicated to securing for themselves and their families a thoroughly religious and
conservative life” (Brasher, 1998: 29). And they do this with uncommon sacrifice and creativity.
The picture I have presented is complicated, but then so too is reality. On the one hand,
one of the dynamics we are seeing is social disintegration, that is, the loss of legitimacy of a
dominant institution that supposedly bound us together—the common school. Yet, and very
importantly, what we are also witnessing is the use of things such as the Internet, not to “detraditionalize” society but, in the cases I have examined here, to re-traditionalize parts of it.
However, to call this phenomenon simply re-traditionalization is to miss the ways in which
such technologies are also embedded, not only in traditional values and structures of feeling.
They are also participating in a more “modern” project, one in which self-actualized
individualism intersects with the history of social maternalism, which itself intersects with the
reconstitution of masculinities as well.
But such maternalism needs to be seen as both positive and negative, and not only in its
partial revivification of elements of patriarchal relations—although obviously this set of issues
must not be ignored in any way. We need to respect the labor and the significant sacrifices of
home schooling mothers (and the fathers as well, since the question of altered masculinities in
home schooling families is an important topic that needs to be focused upon in a way that
complements what I have done here). This sensitivity to the complexities and contradictions
that are so deeply involved in what these religiously motivated parents are attempting is perhaps
best seen in the words of Jean Hardisty when she reflects on populist rightist movements in
general:
I continue to believe that, within that movement, there are people who are decent and
capable of great caring, who are creating community and finding coping strategies that
are enabling them to lead functional lives in a cruel and uncaring late capitalist
environment.
(Hardisty, 1999: 2–3)
However, recognizing such caring, labor, and sacrifice—and the creative uses of technologies
that accompany them—should not make us lose sight of what this labor and these sacrifices
also produce. Godly technologies, godly schooling, and godly identities can be personally
satisfying and make life personally meaningful in a world in which traditions are either
destroyed or commodified. But at what cost to those who don’t share the ideological vision
that seems so certain in the minds of those who produce it?
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Beck, C. (2006) “Parents view on school,” unpublished paper, University of Oslo, Institute of Educational
Research, Oslo.
–––– (2008) “Home education and social integration,” unpublished paper, University of Oslo, Institute
of Educational Research, Oslo.
Bernstein, B. (1977) Class, codes, and control, Vol. 3, 2nd edn, London: Routledge & Kegan Paul.
Binder, A. (2002) Contentious curricula, Princeton, NJ: Princeton University Press.
Brasher, B. (1998) Godly women, New Brunswick, NJ: Rutgers University Press.
du Toit, M. (2002) “Framing volksmoeders,” in P. Bacchetta and M. Power (eds) Right-wing women, New
York: Routledge, pp. 57–70.
Enders, V. (2002) “And we ate up the world,” in P. Bacchetta and M. Power (eds) Right-wing women,
New York: Routledge, pp. 85–98.
Fraser, N. (1989) Unruly practices, Minneapolis, MN: University of Minnesota Press.
Green, J. (2000) “The Christian right and 1998 elections,” in J. Green, M. Rozell and C. Wilcox (eds)
Prayers in the precincts, Washington, DC: Georgetown University Press, pp. 1–19.
Griffith, A. and Smith, D. (2005) Mothering for schooling, New York: Routledge.
Hardisty, J. (1999) Mobilizing resentment, Boston, MA: Beacon Press.
Huerta, L. (2000) “Losing public accountability: a home schooling charter,” in B. Fuller (ed.) Inside charter
schools, Cambridge, MA: Harvard University Press, pp. 177–202.
Numbers, R. (2006) The creationists, 2nd edn, Cambridge, MA: Harvard University Press.
Sampson, Z.C. (2005) “Home schools are becoming more popular among blacks,” The New York Times,
December 11: A34.
Smith, C. (1998) American evangelicalism, Chicago, IL: University of Chicago Press.
Stambach, A. and David, M. (2005) “Feminist theory and educational policy: How gender has been
‘involved’ in family school choice debates,” Signs 30: 1633–58.
Stevens, M. (2001) Kingdom of children, Princeton, NJ: Princeton University Press.
154
14
New states, new governance
and new education policy
Stephen J. Ball
In national settings of various kinds across the world, there is underway a set of general and
highly significant experimental and evolutionary ‘moves’ that involve the modernisation of
public services, state apparatuses, the overall institutional architecture of the state and its scales
of operation.
The most basic and general of these moves is what Jessop (2002) calls ‘destatization’, which
‘involves redrawing the public–private divide, reallocating tasks, and rearticulating the
relationship between organisations and tasks across this divide’ (p. 199). This redrawing and
reallocation has various aspects – some older, some new – such as the creation of executive
agencies, the establishing of private–public partnerships (of many different kinds), contracting
out state services to private providers (see Burch, 2006), the use of think tanks, consultants and
knowledge companies for policy research and evaluation, philanthropic activity and sponsorship
to fund educational programmes and innovations, the involvement of the voluntary sector
(charities, NGOs, trust and foundations etc.) in service provision, and the use of social
entrepreneurs to address intractable social problems – sometimes in complex combinations. In
other words, tasks and services previously undertaken by the state are now being done by various
‘others’, in various kinds of relationship among themselves and to the state and to the remaining
more traditional organisations of the public sector, although in many cases the working
methods of these public sector organisations have also been fundamentally reworked, typically
by the deployment of market forms (competition, choice and performance-related funding).
Thus, new voices and interests are represented in the policy process, and new nodes of power
and influence are constructed or invigorated. All of this involves an increased reliance on
subsidiarity and ‘regulated self-regulation’, or what Stoker (2004: 166) calls ‘constrained
discretion’, but typically involves deconcentration rather than devolution. It drastically blurs
the already fuzzy divides between the public/state, the private and the third sectors and produces
a new mix of hierarchies, markets and heterarchies. That is, it replaces or combines bureaucracy
and administrative structures and relationships with a system of organisation replete with overlap,
multiplicity, mixed ascendancy and/or divergent-but-coexistent patterns of relation. Heterarchy
is an organisational form, somewhere between hierarchy and network, that draws upon diverse
horizontal links that permit different elements of the policy process to cooperate (and/or
155
STEPHEN J. BALL
complete) while individually optimising different success criteria. Embedded in this shift, as
indicated above, and in many ways fundamental to it are processes of privatisation – endogenous
and exogenous. The first making state organisations more business-like and like businesses. The
second replacing state organisations with private providers (public service businesses) or
voluntary organisations or social enterprises. As put by Tony Blair, ‘market mechanisms are
critical to meeting social objectives, entrepreneurial zeal can promote social justice’ (1998: 4).
There are now various manifestations of policy heterarchies in education, in many different
settings (different parts of the public sector, sectors of education, regions and localities, nation
states – some are transnational, as in the examples below), working on and changing the policy
process and policy relations, each of which combines elements of destatization, and which
involve a limited range of new players, stakeholders and interests in state education, education
planning and decision-making and education policy conversations.
This chapter will discuss and examine some of these changes in the state and the policy
process as they are evident in relation to education particularly, but by no means exclusively,
and later give some examples.
Violence and bio-politics
These changes need to be situated in relation to a broader set of social and political changes in
the techniques and modalities of government, which have the aim and effect of producing new
kinds of ‘active’ and responsible, entrepreneurial and consenting citizens and workers – an
explosion in modes of governing. However, this is only a partial description of contemporary
government. In thinking about these changes while I shall be focusing on those new strategies
and technologies that are involved, I do not in anyway want to suggest that older, more direct
methods of government and governing have been totally displaced. The ‘methods’ and relations
of heterarchy do not totally displace other forms of policy formation and policy action, but
rather take their place in ‘the judicious mixing of market, hierarchy and networks to achieve
the best possible outcomes’ (Jessop, 2002: 242) – ‘best’ that is from the point of view of the
state. Sovereignty and violence are very much with us. Indeed, rather, ‘there is a contemporary
proliferation of the techniques of arrest, incarceration, punishment, expulsion, disqualification
and more broadly coercion’ (Dean, 2008: 104). These are what Jessop (2002: 201) calls
‘countertrends in the state’, drawing on Poulantzas’s notion of ‘conservation-dissolution’
effects. Such effects ‘exist insofar as past forms and functions of the state are conserved and/or
dissolved as the state is transformed’ (Jessop, 2002: 201). Thus, alongside the use of new
techniques of governing that rely upon the ‘conduct of conduct’, existing methods based upon
the sovereign and biopolitical powers of life and death remain firmly in place, and new ones
are being invented. Indeed, Dean and others argue that forms of sovereign power are increasingly
exercised through ‘states of exception’ – the use of decisive authority beyond the limits of the
law and the state itself – Guantanamo is the paradigm case. Broadly speaking, alongside what
Foucault called ‘the government of souls and consciences . . . or of oneself ’ (Foucault, 1997),
that is an emphasis upon the use of freedom and choice in relation to those deemed responsible
and productive, there is a continuing or indeed increased discriminate use of violent power,
forms of ‘micro-violence’, in relation to particular social groups such as asylum seekers and
welfare recipients, unemployed or troublesome youth, who are seen as a threat to social order,
together with, generally, more intrusive forms of surveillance and scrutiny. While economic
competitiveness and the production of certain forms of entrepreneurial citizenship have become
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NEW STATES, GOVERNANCE AND EDUCATION POLICY
primary ‘necessities’ of contemporary government, ‘the diagnoses of disorder and pathology
require the reimposition of authority and the reinscription of not only the poor but all groups
and classes with a hierarchy’ (Dean, 2008: 105). Dean refers to this new form of hybrid rule
as ‘authoritarian liberalism’. Furthermore, and relatedly, ‘countering the denationalization of
statehood are attempts of national states to retain control of the articulation of different spatial
scales’ (Jessop, 2002: 201). That encompasses both a ‘defence’ of national borders through
immigration controls, and ‘tougher’ refugee regulations and the imprisonment of suspected
terrorists, and the use of military power to counter ‘threats’ to national security. The point is
that we should not expect nor look for a consistency between sovereign forms of government
and governmentality, nor should we be surprised by failures of government and that the mixes
involved are sometimes unstable. The particular form of hybridity of government in any setting
requires empirical mapping. It is also important to bear in mind that the state has always been
a site of struggle, in which resources and ‘voice’ have been differentially distributed across
genders, ethnicities and classes.
From government to governance
The concern here is with one particular dimension of what is a whole set of wide-ranging and
fundamental ‘moves’ across the terrain of government – that is education policy and the delivery
of public education services – which are particularly but not exclusively ongoing in the West.
Only some aspects of the range of new techniques of governing are directly relevant here. Dean
(2008: 101) sums up these ‘moves’ as a whole, the changing mix of modalities of governing
and the shift of emphasis from sovereignty to governmentality, in the form of a ‘thought
experiment’ – see Table 14.1.
The various dimensions of the shift from government to governance (Rhodes, 1995, 1997;
Rhodes and Marsh, 1992; Marinetto, 2005), which are outlined in Dean’s table, are achieved
in the government of unitary states (and increasingly regions) in and by heterarchies. That is,
a new form of ‘experimental’ and ‘strategic’ governance that is based upon network relations
within and across new policy communities, designed to generate new governing capacity and
enhance legitimacy. These new policy networks bring some new kinds of actor into the policy
process, validate new policy discourses – discourses flow through them – and enable new forms
of policy influence and enactment and in some respects disable or disenfranchise or circumvent
some of the established policy actors and agencies. These new forces are able to colonise,
to an extent, the spaces opened up by the critique of existing state organisations, actions and
Table 14.1 Contemporary governing in liberal democracies
Governing through freedom ←→ Powers of life and death
Shaping of choice ←→ Sovereign decision
Techniques of contract ←→ Deployment of violence
Management of risk ←→ Securitisation of threats
Multiple communities ←→ Society as a realm of defence and source of obligation
Global economy and reform ←→ Imposition of authority
New forms of citizenship ←→ Obligation and techniques of subjection
Dissolution of the territorial state ←→ Protection of borders and assertion of sovereignty
157
STEPHEN J. BALL
actors (Apple, 2006). This is a means of governing through governance, or the exercise of
metagovernance. That is, the management of ‘the complexity, plurality and tangled hierarchies
found in prevailing modes of coordination’ (Jessop, 2002: 243). However, in deploying and
discussing such changes, I need to be clear that I am not suggesting that this involves a giving
up by the state of its capacity to steer policy, this is not a ‘hollowing out’ of the state; rather,
it is a new modality of state power, agency and social action and indeed a new form of state.
That is, the achievement of political ends by different means: ‘States play a major and increasing
role in metagovernance’ (Jessop, 2002: 242). It also needs to be pointed out that governance
networks, or heterarchies, as indicated above, do not tell us everything we need to know about
policy and the policy process.
As noted already, these heterarchies ‘enlarge the range of actors involved in shaping and
delivering policy’ (Newman, 2001). Governance involves a ‘catalyzing of all sectors – public,
private and voluntary – into action to solve their community problems’ (Osborne and Gaebler,
1992: 20); it is achieved on ‘the changing boundary between state and civil society’ (Bevir and
Rhodes, 2003: 42) – and between state and the economy. In general terms, this is the move
towards a ‘polycentric state’ and ‘a shift in the centre of gravity around which policy cycles
move’ (Jessop, 1998: 32) – the deoncentration and dispersal of policy locations. All of this suggests
that both the form and modalities of the state are changing. ‘The state, although not impotent,
is now dependent upon a vast [or perhaps vaster, SJB] array of state and non-state policy actors’
(Marinetto, 2005).
In the UK, these heterarchies form ‘new kinds of educational alliance’ (Jones, 2003: 160),
which ‘New Labour seeks to create’ around ‘its project of transformation’ (p. 160) and which
in turn provide support and legitimation for reform. They are examples of what Kickert et al.
(1997) refer to as ‘loosely-coupled weakly-tied multi-organisational sets’. They are a policy
device, a way of trying things out, getting things done, changing things and avoiding established
public sector lobbies and interests. They are a means of interjecting practical innovations and
new sensibilities into areas of education policy that are seen as change-resistant and risk-averse,
and in general terms they ‘pilot’ moves towards a form of service provision that increasingly
the state contracts and monitors, rather than directly delivering services, using the mundane
practices of ‘performance’ measurement, benchmarking and targeting to manage a diversity of
providers and forms of provision. New forms of power, authority and subjectivity are brought
to bear in shaping governable domains and governable persons.
While heterarchies are justified in terms of innovation, risk-taking and creativity, they are
also often selective and exclusive, both in terms of memberships and discourses. They serve to
‘short-circuit’ existing policy blockages. Some potential or previous participants in policy are
specifically excluded – trades unions for example – and challenges from outside the shared basis
of discourse ‘may be easily deflected or incorporated’ (Newman, 2001: 172). Heterarchies also
work to disperse and re-spatialise policy, creating new sites of influence, decision-making and
policy action. That is, the ‘territory of influence’ (Mackenzie and Lucio, 2005) over policy is
expanded, and at the same time the spaces of policy are diversified and dissociated. As a result,
as these new sites within the contexts of influence and text production (Ball, 2002) proliferate,
there is a concomitant increase in the opacity of policy making. Within their functioning, it is
unclear what may have been said to whom, where, with what effect and in exchange for what
(see Cohen, 2004). Heterarchies are in part defined by commercial interest in particular policy
outcomes, and some of the relationships within them are specifically contractual and financial,
but they also encompass social commitments by volunteers and philanthropists. Sometimes the
two are blurred.
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NEW STATES, GOVERNANCE AND EDUCATION POLICY
These policy networks give space within policy for new kinds of talk. New narratives about
what counts as a ‘good’ education are articulated and validated (see Ball, 2007); in particular,
the network members enact, embody and disseminate narratives of enterprise and enterprising
solutions to social and educational problems (see below). New linkage devices and lead
organisations are being created over and against existing ones, excluding or circumventing but
not always obliterating more traditional sites and voices. The public sector generally is worked
on and in by these new policy actors, from the outside in and the inside out. Linkages and
alliances around policy concerns and new policy narratives cross between the public and the
private sector. New values and modes of action are thus instantiated and legitimated, and new
forms of moral authority are established, and again others are diminished or derided.
Partnerships
Partnerships are a key policy trope within emerging heterarchies. Partnerships are what
Jessop calls a ‘linkage device’ and they encourage ‘a relative coherence among diverse objectives’
(2002: 242). They can bring about a form of values and organisational convergence and they
reshape the context wintin which public sector organisations work. Davies and Hentschke
(2005: 11) describe partnerships as ‘a third form of organizational activity’ that have ‘elements
of both hierarchies and markets as well as unique features’. Sullivan and Skelcher (2002) were
about to document 5,500 local level service delivery partnerships in Britain. In practice, they
vary enormously in form and in terms of their power relations and contractual conditions
(Cardini, 2006). Some forms of partnership and consortia bring ‘the private’ into the public
sector in the form of joint ventures and profit sharing, without wresting ‘ownership’ entirely
from public sector hands. Nonetheless, the relations of power within partnerships vary quite
markedly. Although within these relationships there may be ambiguities and ‘differences in
language, culture and perceptions of strategic interests’ (Newman 2001: 121), partnerships
can work to colonise local government and public bodies and re-interpolate public sector
actors as entrepreneurs. In some versions, they imply ‘a process of incorporation into the
values of the dominant partner’ (Newman, 2001: 125–126), but they may also be fragile and
short-lived.
Two examples
I want to put some flesh onto this account with two examples of heterarchies, in two very
different locations, chosen from a wide variety on which I am currently working, to highlight
different features of heterarchy. To a great extent, the details, the substance of these examples
do not matter; it is the form, the changes in the architecture of governance that they illustrate
and display and forms of relationships and flows of narrative that they contain that are important.
More in-depth discussion and analysis of each can be found in Ball (2008) and Nambissan and
Ball (2009). In both cases, the representations of the relationships involved are of necessity
simplified.
The first example is drawn from one small part of research I am currently undertaking in
the UK on the role of philanthropy in education policy (Ball, 2008); specifically, it is a set of
links and exchanges between Scottish business philanthropists and the government of Scotland
(see Figure 14.1).
159
Scottish Programme for Entrepreneurship
ESRC Research Centre
on Charitable Giving and
Philanthropy
‘Whole School’ Initiative
East Ayrshire Schools – support to deliver
‘radical change’
Centre for Entrepreneurship
Strathclyde University
£5M
Schools of
Ambition
Heriot-Watt University
University of Aberdeen
Strathclyde
U.
Summer
Academy
Former Chief Executive
Scottish Financial Enterprise
Scottish Executive
Teachers for a New Era
Prince’s Scottish
Youth Business Trust
Headteacher Leadership
Development Academy
Sir Tom
Hunter
Make a Wish
Foundation
Band
Aid
The Carnegie
Trust for the
Universities
of Scotland (CTUS)
Schools Enterprise Programme
Skene Young Entrepreneur Awards
Lynn Hendry
Wood Family
Trust
Figure 14.1 Philanthropy, business and education policy in Scotland
Former Associate Director
Halifax Bank of Scotland
(HBoS)
Columba
1400*
Chris van
der Kuvl
* Columba 1400 is a transformational change agency working with Grampian secondary schools
* * Former journalist and entrepreneur
Economic Development
Association Scotland
“Determined to
Succeed”
Bill
Clinton
William Clinton
Foundation
Visiting
Professor U.
of Abertay
Skene Enterprise Trust
Former Chief Executive
Young Enterprise Scotland
Isla McCrone
Sir Ian
Wood
Schools Excellence in
Enterprise Awards
Education for Citizenship
Review Group (Learning
and Teaching Scotland)
Ray Perman* *
Clinton Hunter
Development
Initiative
Education for Work and Enterprise
Review Group
Duke of Edinburgh
Awards
Scottish Executive on
Enterprise in Education
Teacher training Faculties
in Rwanda and Malawi
Young Enterprise
Scotland
Charles
Skene
Robert Gordon University
Centre for Entrepreneurship
Skene Group (Property
Development Company)
NEW STATES, GOVERNANCE AND EDUCATION POLICY
There are many different sorts of relationship involved here, focused on the involvement
of Sir Tom Hunter, a Scottish businessman and philanthropist, whose money was made from
a chain of sportswear shops, who has pledged to give away £1 billion before he dies and become
‘one of the greatest philanthropists of his time’ (Scotsman.com). His activities have generated
a number of partnerships between his charitable foundation and the Scottish government, local
government, schools, universities and various parastatal organisations. Several of the programmes
represented in Figure 14.1 are based upon ‘matched funding’ from the Scottish Executive. Sir
Tom himself sits on various groups and committees. In a very straightforward way, money
buys voice and influence within the policy process and can also be used to attempt to change
the culture and priorities of organisations in descisive ways. There are two primary themes that
run through these relationships and interventions – they are change and the narrative of
enterprise. That is, various attempts to ‘modernise’ public sector schooling (Schools of Ambition,
‘radical change in East Ayrshire’, Leadership Development, Teachers for a New Era) and, related
to this, the insertion of forms of enterprise and enterprise education into schools and universities.
These insertions carry with them a set of values values that are ‘fundamentally premised on the
construction of moral agency as the necessary ontological condition for ensuring an
entrepreneurial disposition in the case of individuals and socio-moral authority in the case of
institutions’ (Shamir, 2008: 7). That is, the enterprising self and business-like organisations that
display creativity, risk-taking, flexibility, innovation and adaptation.
Compared with England, there is very little direct privatisation or involvement of education
businesses in this heterarchy, but ‘the private’ is indirectly represented through the actors
themselves (virtually all White and male) and their ‘interests’ and the forms of discourse that
they articulate. Other successful entrepreneurs and philanthropists such as Sir Ian Wood, Charles
Skene and Chris van der Kuvl are also drawn into the construction of this narrative and serve
to embody it and its virtues. Indeed, the discourse of enterprise and entrepreneurship has many
points of articulation and many institutional sites and powerful agents and organisations in this
heterarchy to provide for its reiteration and legitimation.
This heterarchy, through the work of the Clinton–Hunter Development Initiative, also
illustrates the international flow of philanthropy and its influence through international policy
networks in late developing countries. Clearly, the governments of such countries, and crisis
states in particular, can be particularly susceptible to external, non-governmental influence, and
the work of ‘destatization’ and public sector transformation is an international phenomenon
(see Larbi, 1999). As Larbi points out in relation to developing societies and ‘crisis’ states, the
large international management consultants, accountancy firms and international financial
institutions . . . have been instrumental in the increasing ‘importation’ of new management
techniques into the public sector. They have played an important role in packaging, selling
and implementing NPM techniques, as state agencies contemplating institutional change
or strengthening often enlist the services of expert consultants to clarify available options
– and recommend courses of action.
(Larbi, 1999: 5)
In many late-developing countries and crisis states, ‘NGOism’ is now an important factor in
policy formation and the delivery of government services – such as education (e.g. see ‘From
NGOism to creating a movement’, a talk of Nooria Haqnigar delivered on 26 April in Kabul
during the seminar Strengthening Women’s Movements: National and Transnational Experiences.
Available online at www.mazefilm.de/dokupdf/haqnigar.pdf (accessed 17 April 2009)).
161
STEPHEN J. BALL
The second example comes from work done with Geetha Nambissan (also a chapter author
in this collection). This shows the relationships between a group of international (US- and UKbased), pro-market, pro-choice, policy think tanks and a set of local Indian think tanks and
businesses, which together are seeking to change the policy architecture of schooling in India
by introducing the possibility of private schooling to supplement or replace state schooling.
One of the ways pro-market, pro-choice advocacy works is through the circulation and
recirculation of ideas and joining up of points of articulation. Foundations and think tanks and
the media are important in the take-up and dissemination of ideas and their establishment within
policy thinking.
The Indian choice policy network is linked by a complex of funding, exchange, crossreferencing, dissemination and sponsorship (see Figure 14.2). The Centre for Civil Society, the
Educare Trust and the Liberty Institute (India) are key points of the local articulation and inward
flow of choice policy ideas, but are also engaged in a bigger enterprise of neo-liberal state reform.
The majority of studies of policy borrowing and policy transfer tend to pay little attention to
the role of advocacy and philanthropy networks (apart from NGOs) in the flow of and influence
of policy ideas, but these groups and individuals often have very specific and very effective
points of entry into political systems. Stone (2000: 216) points out, quite rightly, that: ‘The
authority and legitimacy for think tank involvement in global affairs is not naturally given but
has been cultivated and groomed through various management practices and intellectual
activities’. She goes on to note that, ‘In some cases, however, the think tank scholarly “aura”
and independence may be misleading . . . in reality ideas become harnessed to political and
economic interests’.
The Indian pro-choice think tanks are linked to a number of other co-belief organisations
in other countries. They are members of a global network of neo-liberal organisations run by
the Atlas Economic Research Foundation, which has its headquarters in Arlington, Virginia,
and has launched or nurtured 275 such think tanks in seventy nations around the world. Atlas
believes that ‘the prospects for free societies all over the world depend upon “intellectual
entrepreneurs” in civil society, who wish to improve public policy debates through sound
research’ (http://atlasnetwork.org/). Its mission is ‘To discover, develop and support “intellectual
entrepreneurs” worldwide who can advance the Atlas vision of a society of free and responsible
individuals.’ This is a formidable network of power, influence, ideas and money, which presents
a simple message easily understood by politicians and policymakers in diverse locations.
The Indian pro-choice think tanks are involved in sponsoring choice campaigns, introducing
school-voucher schemes and lobbying at the state and city level for the legalisation of ‘forprofit’ private schooling. The ‘School choice campaign’, launched in January 2007 by the Centre
for Civil Society (CCS), awards school vouchers to poor children across seven states in India.
In Delhi, applications were invited from parents in poor settlements (through local NGOs active
in these areas), and around 400 children were chosen through a lottery. The vouchers were
awarded at a venue frequented by the cultural elite of the city, and this was duly reported by
the media. Significantly, the chief minister of Delhi state was present to give away the vouchers.
The CCS website appeals to prospective donors in India, UK and US to contribute to the
voucher fund and also has forms for donations posted on its website. The website says:
Each voucher worth up to INR 6000 will fund one child’s education in the school of
their choice for a year. The voucher will be given until they complete their primary
education from their preferred school . . . You can support this pioneering effort by
sponsoring one or more vouchers. You will thus brighten a child’s future by giving her
the power to choose her school. You had a choice, give her a choice.
162
Andrew Coulson
University of
Newcastle
Atlas Foundation
Cato Institute
Fraser Institute (Canada)
Economic Freedom Network Asia
Dixon
Nielson/ Marg-ORG
Centre for
Civil Society
Tooley
E.G. West
Centre
Mitra
NIIT
School Choice
Campaign
SKS
Microfinance
Basix
Orient Global
Global Investment Co
NIIT *
CfBT
Jolly
Learning Ltd.
Educare
Trust
Jolly
Phonics
Opportunity
International
Education
Promotion
Society for
India EPSI
Self Help
groups
Global
Legatum
Templeton
Foundation
g
inin
s/tra
uter
Legatum
Global
Development
HSBC
Education Trust
p
Com
Govt
Schools
Delhi
Andhra
Pradesh
Punjab
Karnataka
Gujarat
Cirrus
Management
Services
Private schools
Micro (finance) schools
Budget schools
Kremer &
Muralidharan
AP school
project
APRESt
ICT companies
Evronn
Microsoft
Software
Hardware
training
World Bank
Contracting out of schools
to corporates
School improvement
corporates
Azim Premji
Foundation
(APF)
Govt. of
Andhra Pradesh
APF assessment
Wipro
* National Institute for Information and Technology
Figure 14.2 Advocacy networks, choice and schooling of the poor in India
Brookings
Institution
STEPHEN J. BALL
Alongside such local efforts to invigorate choice and private schooling, multinational banks
such as HSBC, Standard Chartered and Citicorp are providing micro-finance loans for private
school ‘start-ups’, in the case of HSBC, through a programme called EQUIP (Enabling Quality
Improvement Programmes in Schools). Business Line (19 July 2004) reported that ‘about 30
private schools [in Hyderabad] have shown interest in joining the initiative. Of them, 16 will
be given loans in the first phase’. The minister for school education of the Andhra Pradesh
government was quoted as asking HSBC ‘to expand the scheme to government schools that
form more than 80 per cent of the 91,000 schools in the State’.
Further to all this, there are a range of corporate efforts in school education in India, especially
at the elementary stage, and private participation in government-run schools in the provision
of infrastructure and facilities, the supply of meals, as well as involvement in the development
of curriculum, pedagogy and assessment. Information technology (IT) in schools is also a key
area of entry for the corporate sector – in the provision of computers and software, as well as
technical support and training in state schools. In 2007, the Ministry of Human Resource
Development launched a policy initiative on ‘ICT in school education’, with significant
participation by private companies and ‘facilitated’ by two private organisations, Gesso and
CSDMS, which have associations with technology vendors.
In addition, charitable Foundations established by corporations such as the APF (Wipro)
and Pratham (ICICI) are an increasingly visible presence in the arenas of education policy making
and in initiatives aimed at quality improvement in government schools in some states. A more
recent phenomenon is the contracting out of ‘under-performing’ schools by state governments
to corporate foundations. Among other examples, Akshara, an NGO established by the wife
of the CEO of Infosys (a leading corporate organisation), now runs schools for the poor in
Bangalore.
Within all of this there is a newly emerging set of ‘policy’ relationships between the state,
philanthropy (local and international), think tanks and businesses (local and multinational), which
are increasingly complex – a newly emerging heterarchy within which philanthropy and business
are tightly intertwined. A variety of direct and indirect, commercial, financial and ideological
interests are now able to ‘voice’ their concerns in contexts of policy influence and in contexts
of practice. Set over and against the ‘failure’ of the Indian state to provide schooling for all
children and the poor quality of many state schools, this is beginning to change the landscape
of state schooling in India, bringing in increasing numbers of private providers (sole-traders
and chains) and creating opportunities for business in all sectors of education. In a recent
interview, Krishna Kumar sketches out a set of relations between liberalisation, privatisation
and modernisation in the government of India and suggests that education has become ‘a
significant arena to study liberalisation’ (LaDousa, 2007: 139) and that ‘privatisation has become
a major force’ (p. 139).
Discussion
Two sorts of related change are going on here. One is in forms of government, and the other
in the identity and interests of the participants in processes of governance. These new forms
constitute, in the language of political science, ‘network governance’ – that is ‘webs of stable
and ongoing relationships which mobilise dispersed resources towards the solution of policy
problems’ (Pal, 1997); of course, these relationships do not completely overturn conventional
policy instruments, as argued above, but they are placed within the context of new interests
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and sensibilities. Increasingly, policymaking occurs ‘in spaces parallel to and across state
institutions and their jurisdictional boundaries’ (Skelcher et al., 2004: 3), and, in the process,
parts of the state and some of its activities are privatised.
Heterarchies are indicative of a new ‘architecture of regulation’, based on interlocking
relationships between disparate sites in and beyond the state, and display many of the
characteristics of what Richards and Smith (2002) call a ‘postmodern state’, which is dependent,
flexible, reflexive and diffuse, but centrally steered. Policy is being ‘done’ in a multiplicity of
new sites ‘tied together on the basis of alliance and the pursuit of economic and social outcomes’
(MacKenzie and Lucio, 2005: 500); although the strength of such alliances should not be
overstated.
Although steering may have become more complicated across the ‘tangled web’ of policy
networks, as Marinetto (2005) and Holliday (2000) argue the ‘core executive’ retains substantial
authoritative presence over policy, and in some respects (certainly in education) the central
state has achieved an enhancement of capacity through its monopoly and deployment of very
particular powers and resources. The paradox is that, at the heart of contemporary politics,
there is actually a ‘filling in’ rather than a ‘hollowing out’ (Taylor, 2000) of the state, exercised
through a studied manipulation of the conditions and possibilities under which networks operate
and the careful, strategic use of financial controls and allocation of resources. Relations here
are complex but clearly asymmetric. There is an important shift of emphasis involved, but it is
not an absolute break or rupture; bureaucracies continue to be the vehicle for a great deal of
state activity, and the state does not hestitate to regulate or intervene when its interests or
objectives are not served. The process of governance through heterarchies is increasingly
significant but always contingent.1
Note
1
I am grateful to Meg Maguire, Carolina Junemann and Michael Apple for their helpful comments
on earlier drafts of this chapter.
References
Apple, M.W. (2006) Educating the right way: markets, standards, God and inequality, New York: Routledge.
Ball, S.J. (2002) ‘Textos, discursos y trayectorias de la politica: la teoria estrategica’, Paginas 2: 19–33.
–––– (2007) Education plc: understanding private sector participation in public sector education, London: Routledge.
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Bevir, M. and Rhodes, R.A.W. (2003) ‘Searching for civil society: changing patterns of governance in
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Blair, T. (1998) The third way: new politics for the new century, London: Fabian Society.
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Cohen, N. (2004) Pretty straight guys, London: Faber & Faber.
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Foucault, M. (1997) Ethics: subjectivity and truth. Essential works of Michel Foucault 1954–84, Vol. 1, New
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India’, Global Networks.
Newman, J. (2001) Modernising governance: New Labour, policy and society, London: Sage.
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15
Towards a sociology of pedagogies1
Bob Lingard
Introduction
Some years ago, it might have been unusual to find a chapter on pedagogy in a handbook on
the sociology of education. In the past, within the sociology of education, pedagogical concerns
would have focused largely on critical pedagogy. This is a tradition that can be traced to Paulo
Freire’s (1973) Pedagogy of the oppressed, linked to actual pedagogical practices in literacy, which
sought ‘conscientization’ as a goal and rejected a banking conception of pedagogy. This pedagogy
of the oppressed has had real impact in literacy programmes around the world, particularly, but
not exclusively, in post-colonial countries. A literature on feminist pedagogy also emerged from
the 1980s (e.g. Luke and Gore, 1992; Weiner, 1994), the political intentions of which were
similar to those of Freire’s pedagogy of the oppressed, but focused on women’s liberation.
As the theory framing critical pedagogy became more arcane, its connections to actual
pedagogy in actual classrooms became somewhat attenuated. Giroux (2003: 83), a leading
theorist of critical pedagogy, stated: ‘I use pedagogy as a referent for analyzing how knowledge,
values, desire, and social relations are constructed, taken up and implicated in relations of power
in the interaction among cultural texts, institutional forms, authorities, and audiences.’ This
definition of critical pedagogy indicates the need for a sociological approach and the distance
of the genre from teachers in classrooms. Indeed, much of the critical pedagogy literature in
the sociology of education involved largely exhortatory calls for teachers to work against the
grain and resist dominant constructions of knowledge and produce critical citizens. This work
was based much more theoretically and politically, rather than empirically and practically. There
were some challenges in the sociology of education to its effectiveness and critique of its
masculine orientation (Ellsworth, 1989).
There have been, however, more recent reconsiderations of critical pedagogies that have
widened their purview to take account of new social movements and that also seek to
document some actual practices of critical pedagogy. For example, Trifonas’s (2003) edited
collection, Pedagogies of difference, works with the ‘identity construction’ element of pedagogies,
while also acknowledging their knowledge construction aspect. At the same time, it wants to
create a community of difference across feminist, antiracist, post-colonial and gay and lesbian
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critical pedagogues. This collection articulates pedagogies of difference, which aim to ‘create
an openness toward the horizons of the other’ (p. 4). Writing about educational developments in the USA, Dimitriadis and McCarthy (2001) note how, in a time of multiplicity and
difference, most pedagogies seek to tame and regulate as a response – pedagogies of the same,
rather than pedagogies of difference. Peter McLaren and Joe Kincheloe’s edited collection
(2007), Critical pedagogy: where are we now?, deals with the theoretical, pedagogical and political
aspects of critical pedagogy, demonstrating its eclectic character and illustrating some actually
existing critical pedagogies.
This chapter argues that a sociology of pedagogies demands a more empirically grounded
approach, yet one that works with the political aspirations of critical and feminist pedagogy.
This stance recognizes the veracity of Michael W. Apple’s position that critical pedagogies ought
not simply be about ‘academic theorizing’. Rather, he notes, ‘Critical approaches are best
developed in close contact with the object of one’s analysis’ (Apple, 2006: 210).
In what follows, the renewed interest in pedagogy within the sociology of education is
considered, as is some of the emerging literature. The chapter then turns to definitions of
pedagogy and the emergence of issues of public pedagogy. Next, the research that developed
the concept of ‘productive pedagogies’ is outlined. This is done to exemplify a possible way
forward for sociological research about pedagogy that is empirically based, theoretically and
politically informed, and of potential use to teachers. Such a sociological account of pedagogy
recognizes that pedagogies can make a difference in an opportunity sense, but not all the
difference (Apple, 2000, 2006; Hayes et al., 2006), and thus need to be accompanied by broader
redistributive policies. The productive pedagogies research fits within what has been called ‘new
pedagogy studies’ (Green, 2003), which recognize that pedagogical change is at the heart of
effective school improvement.
Renewed interest in sociology of pedagogy
Pedagogy is endemic to schooling – it is through pedagogy that schooling gets done – and thus
understanding pedagogy is central to the sociology of education. Some contemporary factors
have also sparked a renewed interest in pedagogies within the sociology of education. These
include policy developments over the last two decades in Anglo-American countries, which
have introduced tight accountabilities into schooling systems that have affected teachers’
pedagogical work. High stakes testing has become a central policy for steering schools’ and
teachers’ practices, with negative effects on pedagogic possibilities. These policy-driven changes
to pedagogies have provoked a renewed sociological interest.
These policy developments have seen greater usage of outcomes testing, both nationally and
internationally, as a way of framing education policy and of steering schools. This has been
about making teachers and their work more accountable and auditable (Mahony and Hextall,
2000) as part of the audit culture (Power, 1997), which suffuses state practices under the new
public management and which has been very evident in schooling systems. In an influential
study of teachers’ work, published more than two decades ago, Connell (1985) argued that
teaching was a labour process without a product. In the context of the introduction of new
outcomes accountabilities, this observation does not hold true today, at least in Anglo-American
models of school reform. Smyth (1998: 193) observed, in respect of such outcome accountability:
‘A crucial element of this educational commodity approach to teachers’ work is the attention
to calculable and measurable aspects of the work, especially educational outputs.’ This has had
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reductive effects on pedagogy, as McNeil (2000) has demonstrated in respect of the US, where
test-driven schooling has led to what she calls ‘defensive pedagogies’. Hursh (2008) similarly
has demonstrated the reductive effects on pedagogies, what he calls the decline of teaching and
learning, of George Bush’s No Child Left Behind reform and associated testing regime.
This accountability development has been accompanied by reductionist accounts within
policy of teachers as the most significant school-based factor for ‘determining’ student learning
outcomes. These policies see teachers as decontextualized practitioners and as both the ‘cause’
of, and ‘solution’ to, any problems with learning outcomes, often reduced to student
performance on high stakes testing. School effectiveness research in its earlier iterations gave
some intellectual or ‘evidence base’ to this framing of education policy. These accounts
decontextualized the factors involved in school performance, particularly for disadvantaged
young people, and failed to recognize or acknowledge that it is those societies with low Gini
coefficients of social and economic inequality that achieve high quality and high equity in
schooling outcomes (Green et al., 2006).
In this policy context, pedagogy has also come to the attention of policymakers and teacher
registration agencies. Thus, for example, in New South Wales, Australia, there is a quality
pedagogy policy endorsed by the state department. In England, for example, with the literacy
hour, there is almost a state- or nationally sanctioned, technicist form of pedagogy (Marsh, 2007).
These policy developments have brought pedagogy under the purview of sociologists of
education again. Thus, we have seen a range of sociological studies of pedagogy (e.g. Alexander,
2008; Comber and Nixon, 2009; Hayes et al., 2006; Munns, 2007; Sellar, 2009; Yates, 2009;
Zipin, 2009), special issues of journals on pedagogies (e.g. International Journal of Inclusive Education
11(3), 2007; Discourse 30(3), 2009; Pedagogy, Culture & Society 17(1), 2009) and a new Taylor
& Francis journal entitled Pedagogies: An international journal.
The renewed focus on pedagogy by sociologists of education has also been linked to some
influential research. There is Robin Alexander’s monumental (2000) study of pedagogy in
relation to culture in five countries, Culture and pedagogy, which is also distinctive within its
field of comparative education in its focus on classroom practices and their embeddedness
in broader culture. Alexander acknowledged the relationships between pedagogy and social
control and recognized the ‘truth’ of Bernstein’s (1971: 47) well-known observation that: ‘How
a society selects, classifies, distributes, transmits and evaluates the educational knowledge it
considers to be public, reflects both the distribution of power and principles of social control.’
Alexander assumed and documented the linkages between pedagogies and different cultural
and historically bound ‘ideas and values, habits and customs, institutions and world views’ (2000:
5). His research worked with a very broad and culturally based definition of pedagogy, extending
its meaning well beyond teaching or instruction.
Alexander’s account follows Bernstein in its conceptualization of pedagogy as ‘cultural relay’.
Bernstein (2004: 196) observed that ‘pedagogic practice can be understood as relay, a cultural
relay: a uniquely human device for both the production and reproduction of culture’.
Alexander’s comparative research clearly demonstrated the veracity of this observation.
Elsewhere, Alexander (2008) has provided stinging attacks on the negative effects of New Labour
school reform, particularly consequential accountability, on pedagogy in England, reducing its
meaning and neglecting its connections to culture. Alexander’s work also insinuated the necessity
of a sociological approach to pedagogy.
This reference to Bernstein also makes us aware that there is another tradition of pedagogical
work in the sociology of education, that of Bernstein (1990, 1996) and his deeply theoretical
constructions of the message systems of schooling, curriculum, pedagogy and evaluation.
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Bernstein argued that changes in one message system effected changes symbiotically in the other,
a reality obvious in the effects of new testing and accountability arrangements on pedagogy in
England. In his later work, Bernstein was also concerned with the relations internal to schooling
systems of the message systems and ‘the recontextualising field of pedagogic discourse’. Such
a pedagogic discourse recontextualizes knowledge into curricula, syllabuses and pedagogical
knowledge and practices.
Within a similar intellectual field and related to considerations of social and cultural
reproduction, Bourdieu saw pedagogies as necessarily involving power relations and as also
central to the reproductive mechanisms, in social structural terms, of schooling systems. This
was particularly so for those pedagogies that assumed a cultural homology between the capitals
of schooling and pedagogy and those of the home. These are pedagogical practices that regarded
school performance as a function of individual capacity, rather than cultural experience and
the possession of particular school-relevant cultural capitals, and thus misrecognized a ‘social gift
treated as a natural one’ (Bourdieu, 1976: 110).
As Bernstein (2004: 205) has noted, academic success at school demands two complementary
sites of pedagogic acquisition, that of the home and that of the school. Bernstein also suggests
that the pacing of curricula and the amount of material to be covered in a finite period of time
mean that school success demands complementary ‘official pedagogic time at home’. And, of
course, the capacity to offer this pedagogic time is social class based.
Working within a different intellectual tradition, that of US school reform, Newmann
et al.’s work (1996) on authentic pedagogy has also been influential in the US and Australia
and was the background to the large Queensland School Reform Longitudinal Study, which
developed the concept of productive pedagogies. This concept was taken up by the Queensland
government and used as the basis for professional development for teachers, while it also formed
the basis of the development of a quality pedagogy model framing schooling in New South
Wales, as well as being influential elsewhere. Contemporary research in Singapore, for example,
has built on productive pedagogies to consider more closely the pedagogies–knowledges
relationship (Luke and Hogan, 2006). The Teaching and Learning Research Programme in
the UK, funded by the Economic and Social Research Council, has also provoked a renewed
research interest in pedagogy.
The policy-driven construction of pedagogy presents a thinned out version that eschews
these broader definitions and that rejects the notion of theory attached to teaching. It is this
effect that has attracted sociological attention. From within a theoretical and research frame,
some have also recognized the difficulty of making pedagogy a stable object of theory and
research (e.g. Sellar, 2009). In the next section, definitions of pedagogy and the changing
contexts of pedagogy will be considered.
Definitions of pedagogy
Here, I will make an attempt at definitions and, given the width and complexity of these, briefly
consider the different literatures that considerations of pedagogy are located within. Alexander
makes a very clear distinction between teaching and pedagogy. Put succinctly, he asserts that
pedagogy is the art of teaching plus its associated discourses to do with learning, teaching,
curriculum and much else. For Alexander (2000: 540), pedagogy is both an act (teaching) and
a discourse. This is pedagogy as cultural relay and its multiple and associated discourses. As
Alexander (2000: 540) states: ‘Pedagogy connects the apparently self-contained act of teaching
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with culture, structure and mechanisms of social control.’ While noting that the field is quite
muddled concerning a definition, Alexander (2008: 3) suggests the complex field of pedagogy
includes ‘culture and classroom, policy and practice, teacher and learner, knowledge both public
and personal’. Pedagogy is thus more than what is usually implied by the use of instruction to
refer to teaching in US teacher professional discourses and is also more than teaching, the more
common term used in the UK, Australia and New Zealand. Pedagogy could be seen also to
link closely to the other message systems of schooling, curriculum and evaluation and through
them to culture. This broader definition of pedagogy suggests the need for a sociological account.
However, the use of pedagogy in this way is also culture bound, as Alexander (2000)
demonstrates. In much of Europe, especially in the Nordic countries, and in Russia, pedagogy
refers to both the act and idea of teaching framed by a very broad knowledge base (Alexander,
2000: 542).
While this chapter is concerned with pedagogy as linked to schooling and teacher practices,
pedagogies have seeped out of educational institutions to other social institutions and workplaces.
This is part of the de-differentiation associated with the knowledge economy and the
pedagogizing of many aspects of work and public policy. Bernstein (2001a,b) has spoken of
the ‘totally pedagogised society’ to refer to the ways in which social policy and professional
practice today have become pedagogized. What we have is ‘pedagogic inflation’ (Bernstein,
2001a: 367), where ‘the State is moving to ensure that there’s no space or time which is not
pedagogised’ (Bernstein, 2001b: 377). This is why Bernstein suggests that a sociology of the
transmission of knowledge is now required, which is focused on the broader changes towards
the totally pedagogized society; this is an enterprise that would subsume the narrower sociology
of pedagogy.
In terms of the features of the totally pedagogized society, think for example of public health
policies of a preventative kind. Think of mandatory courses for single parents and welfare
recipients. Think of policies that require all young people to be in education, training or work
or a combination of these, rather than being welfare beneficiaries. Think of the pedagogic
functions of art galleries and museums, of the Web and the Internet.
This broadened conception of pedagogy is also linked to the effects of the new technologies
and the potential globalization of pedagogies (Edwards and Usher, 2008). The older technologies
of pedagogy were bounded by classrooms and the technology of the book, while new
technologies have seriously challenged these pedagogies of enclosure. These challenges link
more broadly to social theory as well, with a conception of public pedagogy linked to social
theory and a politics of change. It is almost as if, today, social theory needs a public pedagogy
as a bearer of change (Lingard et al., 2008).
The remainder of this chapter will deal, however, with a narrower conception of pedagogy,
namely that associated with schooling, while being aware of insights that can be gained for a
sociology of pedagogy from broader considerations of public pedagogy in social theory. I turn
now to a consideration of the productive pedagogies research, which worked across the critical
and empirical traditions in the sociology of pedagogy.
Productive pedagogies
The Queensland School Reform Longitudinal Study (QSRLS) (Lingard et al., 2001), from which
the concept of productive pedagogies was derived, was commissioned by the state government
in 1997. The QSRLS developed out of Newmann and Associates’ (1996) US research on
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‘authentic pedagogy’ and backward mapped from classroom practices to structures, with
priority given in the research design to classroom practices. As Rose has noted: ‘The vantage
point from which you consider schools – your location physically and experientially – will
affect what you see and what you can imagine’ (1995: 230). The model of productive
pedagogies was derived from long periods of observation in actual classrooms across Queensland
government primary and secondary schools. The model derived from maps of teacher pedagogies
developed from a classroom observation tool, in turn developed out of the relevant research
literature and from an interrogation of the classroom data. The point to stress here is that the
model has come from observing actual teachers at work in actual classrooms.
Although the QSRLS was developed out of Newmann and Associates’ (1996) research on
‘authentic pedagogy’, it was recontextualized to take account of the Queensland context. The
Newmann research identified the concept of ‘authentic pedagogy’ to refer to teacher classroom
practices that promoted high-quality learning and boosted achievement for all students.
Newmann found that authentic pedagogy boosted the achievement of students from
disadvantaged backgrounds, closing to some extent the equity gap in performance.
In the Newmann research, authentic pedagogy incorporated the concepts of authentic
instruction and authentic assessment.2 The QSRLS research differentiated between pedagogies
and assessment, while at the same time recognizing the importance of aligning the two.
Authentic instruction requires higher-order thinking, deep knowledge, substantive conversations
and connections to the world beyond the classroom. Authentic assessment involves students
being expected to organize information, consider alternatives, demonstrate knowledge of
disciplinary content and processes, perform elaborate communication, solve problems that are
connected to the world beyond the classroom and present to an audience beyond the school.
The QSRLS augmented the concepts of authentic pedagogy and assessment so as to take
account of social as well as academic student outcomes. Consequently, the elements of authentic
instruction were expanded into a broader grid consisting of twenty items for productive
pedagogies (and authentic assessment into seventeen items for productive assessment), each
mapped on a five-point scale.
There were twenty-four carefully selected research schools, selected because of their
reputations for reform; half were primary and half secondary. Eight schools were studied in
each year of the research, with each being visited twice, for a week at a time. Classes observed
in these schools were Year 6 (penultimate primary year), Year 8 and Year 11 (penultimate
secondary year), in the subject areas of English, maths, science and social science.
The expanded elements of productive pedagogies were derived from a literature review and
included work from the sociology of education, critical readings of school effectiveness
and school improvement research, socio-linguistic studies of classrooms, social psychology
including sociocultural approaches, social cognition, learning communities and constructivism,
critical literacy, critical pedagogies, along with Freirean, indigenous, post-colonial and feminist
pedagogies.
It was in the construction of the twenty-element model of productive pedagogies from the
literature, which also formed the basis of the classroom observation manual, that the attempt
was made to construct a progressive pedagogy for contemporary times. This was evident in the
emphasis upon the constructed nature of knowledge and multiple perspectives on things and
also in the constructivist and collectivist approach to learning. It was also evident in the
connectedness of the pedagogies, to biographies, to previous knowledge, to the world in which
students currently learn and play, and to students’ everyday/everynight practices. Derived from
Bourdieu (1990), the contemporary and progressive characters of productive pedagogies were
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also evident in the required explicitness of criteria and in the substantive conversations, which
were conceived as being central to the distribution of multiple capitals to all students.
The emphasis upon working with and valuing difference attempted to construct a pedagogy
of difference (ethnic, indigenous, gender, disability, sexuality), in terms of representation in
texts and examples utilized in classroom pedagogies, and also in student inclusion in classroom
activities, and in the creation of activist citizens who saw the global space as that for contemporary
politics, but who would also work on the local and national. Thus, productive pedagogies sought
to work with, not against, multiplicity (Dimitriadis and McCarthy, 2001) and ‘with a culture
of respect for the history, the language and culture of the peoples represented in the classroom’
(Rose, 1995: 414). Stuart Hall (2000: 216) has insightfully captured the stance taken on difference
in the research: ‘This is not the binary form of difference between what is absolutely the same,
and what is absolutely ‘Other’. It is a ‘weave’ of similarities and differences that refuse to separate
into fixed binary oppositions’. Despite the strong theoretical underpinnings of the difference
dimension of productive pedagogies, it was difficult to operationalize the concept for the
classroom mapping exercise.
On the basis of about 1,000 classroom observations in twenty-four case study schools, over
three years (1998–2000) (about 250 teachers, each observed four times), statistical analysis
Table 15.1 Relationships between productive pedagogies and productive assessment
Dimensions
Productive pedagogies
Productive assessment
Intellectual Quality Problematic knowledge
Higher order thinking
Depth of knowledge
Depth of students’ understanding
Substantive conversation
Metalanguage
Problematic knowledge: construction of
knowledge
Problematic knowledge: consideration of
alternatives
Higher-order thinking
Depth of knowledge: disciplinary content
Depth of knowledge: disciplinary processes
Elaborated written communication
Metalanguage
Connectedness
Connectedness to the world
beyond the classroom
Knowledge integration
Background knowledge
Problem-based curriculum
Connectedness: problem connected to
the world beyond the classroom
Knowledge integration
Link to background knowledge
Problem-based curriculum
Connectedness: audience beyond school
Supportiveness
Students’ direction
Students’ direction
Explicit quality performance criteria Explicit quality performance criteria
Social support
Academic engagement
Student self regulation
Engagement with
and valuing of
difference
Cultural knowledges
Active citizenship
Narrative
Group identities in learning
communities
Representation
Cultural knowledges
Active citizenship
Group identities in learning communities
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supported a multidimensional model of pedagogy – what we called ‘productive pedagogies’.
The twenty elements of productive pedagogies fitted into four dimensions, as shown in Table
15.1, which the research team named: intellectual quality, connectedness, social support and
working with and valuing of difference. Table 15.1 outlines the four dimensions, including the
way the twenty elements fall under each of the dimensions, as well as the reconceptualization
of authentic into productive assessment.
Pedagogies of indifference
Each of the elements that made up the dimensions of productive pedagogies was measured on
a five-point scale, with a score of five representing high presence and quality of an element.
The ‘findings’ in relation to productive pedagogies suggest that, across the entire sample, there
was a high degree of support for students (although very few opportunities for them to affect
the direction of activities in the classroom), but not enough intellectual demandingness,
connectedness to the world or engagement with, and valuing of, difference (see Table 15.2).
In relation to intellectual quality and connectedness, there was a high standard deviation,
indicating that these dimensions were present in some classrooms. In contrast, there was a high
mean and a low standard deviation for supportiveness (see Table 15.2). What we saw were
very supportive and caring teachers, teachers practising an almost social-worker version of
teachers’ work.
In the context of growing inequality, we believe that teachers should be congratulated for
the levels of social support and care they offered to students. This care was particularly evident
in schools located in disadvantaged communities. Schools do contribute to what contemporary
public policy likes to call ‘social capital’, that is, the creation of social trust, networks and
community – the collective (but also dangerous) ‘we’ of local communities (Sennett, 1998).
However, the research would suggest that such support is a necessary, but not sufficient requirement for enhancing student outcomes, both social and academic, and for achieving more equality
of educational opportunity. Following Bourdieu and the research findings, socially just
pedagogies must work with a more equitable distribution of cultural capital through explicitness.
Table 15.2 Mean ratings of dimensions of productive pedagogies from 1998 to 2000
1998
(n=302)
1999
(n=343)
2000
(n=330)
TOTAL
(n=975)
Mean
Std dev.
Mean
Std dev.
Mean
Std dev.
Mean
Std dev.
Intellectual
quality
2.16
.77
2.17
.73
2.47
.91
2.27
.82
Connectedness
1.84
.77
1.97
.79
2.39
.97
2.07
.88
Supportive
classroom
environment
2.75
.63
3.05
.67
3.26
.67
3.03
.69
Engagement
with difference
1.79
.51
1.89
.50
2.13
.54
1.94
.54
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TOWARDS A SOCIOLOGY OF PEDAGOGIES
The actual pedagogies mapped, then, could be classified as pedagogies of indifference, in
their non-connectedness, their lack of intellectual demand and their absence of working with
and valuing difference. They were pedagogies of indifference in failing to make a difference,
particularly for students from families not possessing the requisite cultural capital. However, it
should be stressed that the teachers who were observed were not indifferent in terms of their
care, concern and indeed support for students.
There are structural reasons for these findings, including class sizes, contemporary policy
pressures (earlier social justice policies, which perhaps emphasized care over intellectual demand)
and contemporary testing policies, which reduced intellectual demand, a crowded curriculum,
time demands of curriculum coverage, pacing, pressures on teachers, a focus on structural change
and so on. Allan Luke (2006), a member of the QSRLS research team, observed that interviews
with teachers supported an explanation that ‘the testing, basic skills, and accountability push
had encouraged narrowing of the curriculum’ and was affiliated with the finding of ‘a shaving
off of higher order and critical thinking and a lowering of cognitive demand and intellectual
depth’ (p. 123).
The lack of intellectual demand (particularly in schools serving disadvantaged communities
and particularly in secondary schools) had serious social justice implications. Indeed, this absence
of intellectual demand works in the way in which Bourdieu suggests schools reproduce
inequality, that is, by demanding of all that which they do not give, those with the requisite
cultural capital are advantaged in schooling. Such a lack probably reflects the substantial amount
of curriculum content teachers felt they had to cover in a finite period of time; thus coverage
became more important than the pursuit of higher-order thinking, citizenship goals and so on.
This pedagogy for success requires a complementary pedagogy at home, thus reproducing classbased inequalities around familial cultural capital.
The lack – indeed absence – of engagement with difference perhaps reflected teacher doubt
about what the appropriate responses were and a serious lack of effective professional development on such matters. In our view, this did not reflect so much a failure to recognize that
something had to be done, but rather not knowing what to do in an increasingly xenophobic
political environment. From its election in 1996 through until its defeat in 2007, the Howard
government in Australia shifted ‘the public gaze and preoccupation to global events such as the
War on Terror, the potential avian flu epidemic and, at the micro level, encourages its population
to be wary of strangers, to be conscious of the vulnerability of Australia and Australian shores
to illegal immigrants’ (Crowley and Matthews, 2006: 6), provoking a fear of difference, rather
than robust multiculturalism and robust reconciliation with Indigenous Australians. We also
found (apart from the Aboriginal community school) an inverse relationship between the extent
of engagement and valuing of difference in pedagogical practices and the ethnic diversity of
the school’s population, a counter-intuitive finding.
Conclusion
This development towards a sociology of pedagogies has suggested that there have been two
traditions within the sociology of education in respect of pedagogies. The first was that of critical
and feminist pedagogy, largely political approaches, which has also continued to develop in
parallel to the diversification of social theory across a range of social differences. Gaby Weiner
(2007), in a review of feminist pedagogies, suggested that they remain an aspiration rather than
a set of actual practices. The second is that associated with the work of Bernstein and Bourdieu,
located within considerations of social and cultural reproduction.
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BOB LINGARD
I have also suggested that contemporary education policy developments have again brought
sociological considerations of pedagogy to the fore. These policy developments around
accountability and high stakes testing have ushered in enhanced sociological interest in
pedagogies and what has been called new pedagogy studies. At the same time, some research,
particularly that of Alexander, has contributed to a revitalization of the sociological study of
pedagogies.
The Queensland productive pedagogies research was dealt with because it sought to cut
across the critical pedagogy tradition, including feminist pedagogy, and more empiricist
accounts such as that of Newmann and Associates (1996). Jennifer Gore (1993), in The struggle
for pedagogies, established another binary in her account of critical and feminist pedagogies:
between the social vision of these approaches and the more explicit instructional focus of
empiricist accounts. Rejecting this opposition, she argued that ‘instruction and vision are
analytical components of pedagogy, insofar as the concept implies both, each requires attention’
(1993: 5). Productive pedagogies,3 politically aware and empirically based – working with both
vision and instructional concerns – would appear to offer potential for future pedagogical research
from a sociological perspective.
Notes
1
2
3
Although pedagogy is both singular and plural, I have used pedagogies in this chapter to pick up
on multiple approaches to pedagogy both in its narrower construction in relation to schooling and
broader conceptions in contemporary social theory.
The concept of ‘authentic’ was rejected in the QSRLS because of its modernist overtones. Pedagogy
was pluralized to indicate that many pedagogical styles could be aligned with productive pedagogies,
while acknowledging that pedagogy, like sheep, is pedantically both singular and plural. Productive
resonated with the idea of teachers actually producing something in a positive sense.
There has been critique of the productive pedagogies model and research design (see Ladwig, 2007;
Mills et al., 2008).
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178
16
Families, values, and class relations
The politics of alternative certification
Andrew Brantlinger, Laurel Cooley and Ellen Brantlinger
Social organizations play a powerful role in the reproduction of social inequality. According
to critical sociologists Perrucci and Wysong (2003), the perpetuation of class inequalities is
linked closely to scripts of organizations controlled by the privileged (pp. 32–33). While often
espousing democratic ideals, these organizations advantage children, friends, and associates of
privileged classes who have the orientations, credentials, and social ties to “fit” such organizations.
Although he includes micro-level analyses, theories of deep-rooted inequality scripts are
consistent with Ball’s (2003) critical, post-structural analysis of policy and class power relations.
Reassured of their own strengths, the privileged class focuses on subordinated class deficits
(Ryan, 1971). Privileged people do not acknowledge or recognize how their control of
institutions structures the advantages that lead to the superior outcomes of their class
(Brantlinger, 2003). They claim that playing fields are level, or can be made level, and
opportunity is available to those who put forth an effort. Privileged people are confident that
their advancement and the school circumstances that facilitate it result from their own efforts
and merits. Higher status and achievement are attributed to family values rather than family
privilege. Because superiority myths are reified through the supposed objectivity of science,
subordinate classes are persuaded about the others’ superiority, or they are silenced; hence,
inequality is perpetuated.
Critical sociologists and scholars of color have turned explanations about distinctive school
outcomes from the personal and cultural deficits of the poor to structural bias. A number of
ethnographies refute claims to lower-income people’s intellectual inferiority, lack of effort, and
not valuing education (e.g. Brantlinger, 2003; Carter, 2005). Other studies illustrate the
absence of opportunity in low-income US schools on a national level (Kozol, 2005). Theories
about the reproduction of social status through class-distinctive K-12 institutional arrangements
are well known (Bowles and Gintis, 1976). However, this phenomenon is rarely addressed in
teacher development programs and broader education policy.
Privileged class organizations define social problems narrowly and offer narrow solutions to
these problems. Because they are far more palatable than direct solutions (e.g. the redistribution
of wealth), elites have long promoted educational solutions to poverty and other social ills
(Tyack, 1974). President Johnson’s War on Poverty featured massive federal expenditures on
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ANDREW BRANTLINGER, LAUREL COOLEY AND ELLEN BRANTLINGER
such educational programs as Title 1 and Head Start, yet economic inequality is greater today
than it was in the 1960s (Perrucci and Wysong, 2003). Rather than reducing disparities, governmental and philanthropic interventions mostly maintain and intensify them (McDermott, 2007).
In this chapter, we explore how class dominance permeates new organizations and
innovations in teacher recruitment and training. Alternative certification (AC) is at the heart
of current education reforms designed to uplift the poor. Young AC teachers from privileged
families are seen as “change agents” who will reform troubled schools and ameliorate social
inequality. Yet, while there is little evidence that AC has benefited the poor, there is clear
evidence that it benefits the wealthy. In this chapter, we focus on non-profit AC organizations
that have garnered lucrative relationships with urban districts. While using democratic rhetoric
in describing their mission, organizational leaders provide elites like themselves unobstructed
access to jobs in urban education.
Our assertions are based on research on the New York City Teaching Fellows (NYCTF)
conducted by MetroMath at the City University of New York. This research includes hundreds
of surveys, classroom observations, and several dozen interviews. We also include an analysis
of print media and Internet information on NYCTF, The New Teachers Project (TNTP), and
Teach for America (TFA). The impact of privileged class dominance on these organizations,
their teacher recruitment policies, and the effectiveness of graduates are addressed in this chapter.
Organizations created to improve the quality of the teaching
force
In spring of 2000, Harold Levy became NYC schools chancellor. A former corporate lawyer,
Levy was the first non-educator to hold this position (Goodnough, 2004). As with most urban
areas, poor neighborhoods in New York City (NYC) were, and still are, plagued by various
educational woes, including the persistent scarcity of a stable, qualified teaching force (Boyd et
al., 2005). State pressure compelled Levy to replace uncertified teachers with certified ones in
the city’s “lowest performing” schools. Though it would not become law until 2001, No Child
Left Behind (NCLB) legislation heightened concerns about teacher quality in NYC and other
urban areas (No Child Left Behind, 2001).
Shortly after Levy began, state education commissioner Mills threatened to sue NYC
leadership for their reliance on uncertified teachers. In response, Levy petitioned the state to
approve an alternative route to teaching:
Levy told Vicki Bernstein [at the NYC Board] to do whatever it took to get a careerchanger program up and running by September [of 2000] . . . Levy was confident that
he could persuade Mills to recognize his recruits as certified if he could prove they were
well-educated and committed.
(Goodnough, 2004: 34)
Mills and the state complied, creating a “transitional” license that allowed “career changers”
and recent college graduates to be paid as teachers of record after they completed a short
preservice program.
Working with Bernstein and TNTP, Levy fashioned the NYCTF program in his own image.
NYCTF attracted privileged class outsiders to a school system that Levy and others believed
was badly mismanaged by educationist insiders. While verbalizing interest in minorities,
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THE POLITICS OF ALTERNATIVE CERTIFICATION
NYCTF primarily sought upper-class candidates with elite credentials. In a New York Times
opinion piece titled “Why the Best Don’t Teach,” Levy (2000) complained,
a quarter of those teaching in [NYC] public schools earned their bachelor’s degrees from
institutions that “Barron’s Rankings of Colleges and Universities” describes as “less
competitive or noncompetitive” . . . Our children need teachers with outstanding abilities
and rigorous academic training.
Social class was a subtext of Levy’s push for AC teachers. Levy assumed schools would be better
run by elites and corporate-types. Levy saw Fellows as “change agents” who would reform a
troubled school system from the bottom-up (Goodnough, 2004: 197).
NYCTF was good public relations. New AC policy allowed the Fellows to be counted as
“certified” after they completed only 200 hours of preservice training. While they were less
prepared to teach than many of the uncertified teachers they replaced, the Fellows were also
considered “highly qualified” under NCLB guidelines. NYCTF was selective, with some 2300
applicants applying for 320 positions in the first year. Large percentages of Fellows graduated
from top-tier universities, had professional experience, and passed state certification exams.
Further, the term “Fellow” sounded exclusive and attracted elites who would not consider
teaching without special recognition and other privileges (Goodnough, 2004).
Despite a lack of evidence, NYCTF was readily heralded as a success and it expanded tenfold in the next two years. TNTP began to partner with districts and states around the country
to replicate the Fellows program. Founded in 1997 by former TFA “core members,” TNTP
was created to “eliminate school inequality” (TNTP website, 2008). TNTP reports the
following on their website:
[TNTP] is a national nonprofit dedicated to closing the achievement gap by ensuring
that high-need students get outstanding teachers . . . Since its inception, TNTP has trained
or hired approximately 33,000 teachers, benefiting an estimated 4.8 million students
nationwide. It has established more than 70 programs and initiatives in 28 states and
published three seminal studies on urban teacher hiring and school staffing.
TNTP assumes that AC recruits have superior educational backgrounds and, hence, need little,
if any, preparation to teach. This is an assumption shared by many AC advocates. For example,
Raymond, Fletcher and Luque (2001) assert that TFA teachers are a: “select group of college
graduates, culled from the finest universities [and that it’s] possible that traditional certification
programs and pedagogical training are less necessary for them than they are for the typical
teacher” (p. 68). Contradicting such arguments, Darling-Hammond (1994) provides strong
evidence that TFA training leaves its privileged class recruits woefully unprepared for their first
year of urban teaching.
Both TFA and TNTP cloak class-biased recruitment and training strategies in language of
scientific neutrality and objectivity. The TNTP website advertizes:
[TNTP helps] select outstanding teachers by using: A proven set of selection criteria based
on achievement, character, leadership and other fundamental qualities and personality
traits. Trained selectors use a continually refined, research-based selection model. A highly
professional, rigorous and competitive application process maximizes our ability to
assess candidates’ qualifications and inspires candidates to teach. Carefully-structured and
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ANDREW BRANTLINGER, LAUREL COOLEY AND ELLEN BRANTLINGER
normed rating tools promote consistent assessment of candidates. Rigorous training and
quality control ensure that the selection process is implemented effectively and fairly.
As Perrucci and Wysong (2003) note, such supposedly “rigorous, neutral, scientific methods
to determine merit” present a facade that disguises privilege (p. 76). TFA uses a similar “objective” formula for selecting their AC teachers (Foote, 2008). Pretensions to science and technical
expertise allow elites and “experts” to quash democratic impulses and monopolize control of
educational decision-making (Tyack, 1974).
TNTP, TFA, other non-profit educational organizations (e.g. New Leaders for New
Schools), and think tanks (e.g. the Education Trust) are closely linked. They serve on one
another’s executive boards and share a similar philosophy of reform that narrowly focuses on
“reducing the achievement gap.” Leaders of these organizations attended Ivy League universities
and generally came from privilege. As such, they have close ties to powerful people (e.g. wealthy
philanthropists, politicians, lawyers) who lend financial and political support. TNTP and TFA
board members also transition easily into leadership positions in other educational and
governmental organizations. The best-known example is Michelle Rhee, the first president of
TNTP, who became DC Schools Chancellor in 2007, in spite of the fact that she only taught
for two years.
Lesser-known TFA members have garnered prestigious jobs, often in education, after similar
short stints as teachers. Because they have greater cultural, social, and financial capital, Fellows
and TFA teachers are able to profit off of short experiences as teachers in ways that others
cannot. Fellows are paid a stipend to attend preservice training, receive a publically subsidized
Masters degree, and become paid teachers of record after fulfilling minimal preservice
requirements. Foote (2008) describes how TFA partners new recruits with wealthy donors who
serve as future connections for employment.
The privileged class increasingly identifies with private rather than public interests (Reich,
2007). While not private, TFA and TNTP are non-profit organizations that conform to neoliberal trends in education (Apple, 2006). Funded with both philanthropic and public monies,
leadership teams make corporate-level salaries ($120,000–250,000) and earn additional income
through outside consulting. However, rather than being seen as welfare programs for the privileged, TFA and TNTP are advertised and generally perceived as benevolent ventures that serve
the needs of underprivileged students.
Facts about NYCTF
Despite being the biggest AC program in the country, research on NYCTF is scarce. However,
the extant research is troubling. Stein (2002) finds close to 90 percent of the first-year
Fellows she surveyed were already considering leaving their initial placements in high-needs
schools. She concludes that NYCTF “is an unqualified success at producing certified teachers;
however, it is unlikely that it will reduce the problem of teacher turnover and lack of certified
teachers at [failing] schools” (p. 1). Others observe that Fellows are thrust into the classroom
with minimal formal training and struggle to teach effectively (Costigan, 2004; Goodnough,
2004; Meagher and Brantlinger, under review). While many have the potential to become
effective and committed teachers, novice Fellows focus on daily survival and often teach in a
control-centered fashion.
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THE POLITICS OF ALTERNATIVE CERTIFICATION
In an analysis of pupil achievement data from NYC, Boyd et al. (2006) find that Grades
4–8 students of Fellows have lower achievement gains on mathematics tests than do comparable
students of traditionally certified teachers. They also find that less experienced teachers—and
Fellows are disproportionally inexperienced—are far less effective than mathematics teachers
with three or more years’ experience. Further, NYCTF teachers have considerably lower rates
of retention than college-recommended or temporary-license teachers at similar NYC schools.
Attrition of Fellows is particularly acute in the highest-poverty schools. Boyd et al. (2005) find
that, in NYC, “highly qualified teachers are more likely to quit or transfer than less-qualified
teachers, especially if they teach in low-achieving schools” (p. 167). It should be noted that
these researchers equated “highly qualified” with a score in the upper quartile of those who
took state certification exams (i.e. many Fellows). In sum, NYCTF has not been shown to
improve the academic and life chances of lower SES urban students. This is important given
the links between teacher quality and student achievement (Sanders and Rivers, 1996).
Preliminary MetroMath research results
In the summer of 2007, MetroMath surveyed 269 of approximately 300 mathematics Fellows
in the newest “cohort.” Closed items asked respondents to report both demographic and
school background information. Open-response items asked about their perceptions of urban
teaching, relationships to students in high-needs urban schools, and reasons for becoming an
AC mathematics teacher.
The demographic data reveal little experiential or contextual commonalities between
Fellows and students in the high-needs schools in which they teach. Only about 20 percent of
survey respondents reported attending such schools themselves. Five in six report attending a
selective school (both private or public) or being placed in a selective program within a nonselective school. Less than 15 percent of survey respondents reported growing up lower income
or working class. Approximately one third of the math Fellows were black or Latino. However,
the racial composition of the mathematics Fellows does not come close to reflecting the ethnic
composition of children in high-needs NYC schools.
Fellows’ lack of connection to high-needs urban districts is problematic. Qualified teachers
should be able to relate constructively to pupils and their guardians (O’Connor and McCartney,
2007). Yet, the MetroMath survey indicates that many preservice mathematics Fellows appear
unable to do so. One open-ended survey item asked respondents to report similarities and
differences between students in high-needs urban schools and the students they went to school
with. Respondents named more than twice as many differences than similarities (Table 16.1).
The three most common themes were the following: (1) outside distractions and difficult home
lives that interfere with students’ academic success; (2) students’ academic skills, engagement,
and behavior; and (3) school resources (e.g. financial and human capital) and educational access.
The approximately fifty-five hours of fieldwork the mathematics Fellows completed in their
summer prior to teaching appeared to solidify the dominant view that youth in high-needs
schools have more outside distractions, less supportive families, and were less academically
able and engaged than students with whom the Fellows had attended school themselves. Many
survey respondents, though certainly not all, openly articulated deficit views blaming urban
communities, guardians, and youths for lesser educational outcomes, while generally failing to
name school context distinctions. One Fellow elaborated: “I went to school with kids who
knew they were there to study and who seemed self-motivated to do their best. In high needs
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ANDREW BRANTLINGER, LAUREL COOLEY AND ELLEN BRANTLINGER
Table 16.1 Fellows as students and students in high-needs urban schools
Similar
Different
Outside distractions or
difficult home life
Academic skills or
engagement
School resources or
access
16
101
35
95
4
82
schools, even if the kids are able to do better, the culture doesn’t seem to motivate excellence.”
Another wrote that at his childhood schools: “Parents were more involved and paid tuition!
Students wore uniforms. There was more discipline!” Criticism of urban families included:
“dysfunctional,” “lack of attention from guardians/parents,” “education not a high priority,”
and “clash between home and school expectations.” Despite limited contact with urban
communities, many Fellows wrote that students had no one: “pushing them,” “stressing the
importance of education,” or “involved in their lives.” In contrast, when in secondary
school they experienced: “white peers with structured lives,” “fear of disappointing parents,”
and “more self-motivation.” Academic differences were generally attributed to students’ drive,
(mathematics) ability, intelligence, engagement, interest, values, tastes, attention span, emotional
stability, and respect for others and school.
Discussions of socioeconomic inequality, systemic institutional failure, racism, and class bias
generally were muted or absent in these responses. However, as Table 16.1 also indicates, slightly
more than one third of respondents brought up issues of equity and access when comparing
high-needs urban schools with schools of their own youth. One said: “I went to school with
no diversity. My classrooms were equipped with everything above and beyond what was
needed.” Another remarked: “We had more technology, more sports, more programs to keep
us interested in education.” Another concluded: “I went to a very good school in Brooklyn,
but those in the high needs schools are usually given the short end of the stick. They are not
given the tools they need to succeed in this society.” Yet, even those who identified gaps
between resources in high-needs urban schools and the schools of their own formative years
(i.e. contextual lacks) as reasons for distinctive student outcomes generally did not espouse
theories of generalized structural inequalities.
Some of the above results are attributable to a survey methodology that limits opportunities
for extended responses. However, interviews with twenty-seven mathematics Fellows conducted
by MetroMath provide further evidence that mathematics Fellows generally hold meritocratic
views of educational achievement. Though privilege was a subtext, interviewees give versions
of hard work, motivation, and intelligence as reasons for superior school outcomes. Many
verbalize that their goal in entering NYCTF is to impart the ethic of “hard work pays off ” to
low-income minority students—a principal goal of TFA and TNTP.
MetroMath data indicate that their meritocratic idealism is generally shaken once they began
as teachers of record. In particular, surveys with 167 and interviews with 18 mathematics Fellows
with one or two years of teaching experience show that experience makes mathematics
Fellows fatalistic about their inability to change school conditions or students’ fates. Many of
these Fellows planned to move to a “better” school as soon as they could. Of the fraction who
wished to remain in teaching, the majority planned to apply to suburban, private, or selective
public schools within the next five years. Other Fellows aspired to higher-paying and more
prestigious leadership positions within their schools, districts, universities, or governmental or
non-profit organizations.
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Large numbers of younger mathematics Fellows—and over two thirds are between the ages
of 21 and 27 when they begin—see urban teaching as temporary. When asked why they became
a Fellow, twelve such Fellows candidly admitted to a lack of decent wage alternatives and a
need for employment. Others confessed they knew from the beginning that their commitment
would be short term: one “needed a break before graduate school,” eight “wanted to live in
NYC.” A few reported that the experience would look good on their résumé.
Downward mobility and an intensification of opportunity hoarding
Teaching has rarely been considered high status or lucrative enough to attract privileged classes.
Individuals who are first in their family to attend college understand teaching as a secure,
respectable, and fairly well-paid career (Brantlinger, 2003). With the exception of middle-class
women, who see teaching as a reasonable way to accommodate child rearing and supplement
a husband’s salary, public school teaching has been eschewed as below the capability of children
from professional families. Societal instability, however, has caused a downward trajectory for
the middle class (Reich, 2007). Objective measures and subjective impressions indicate that
young workers today find it difficult to match the living standards achieved by previous
generations (Lasch, 1995; Perrucci and Wysong, 2003). The number and type of applicants to
NYCTF suggest that unemployment and underemployment among the educated class has lead
to aspiration reduction.
We contend that the privilege-class response to occupation scarcity is to create new postbaccalaureate opportunities, such as NYCTF and TFA, for their children (Devine, 2004). Even
Fellows with no intention of staying in the teaching profession still earn an income on the short
run, a publicly subsidized Masters degree, and experience that enhances their résumé. This
teaching experience, however brief, enables them to compete for higher-status and lucrative
jobs in a credentialed society. Of course, there has also been an even greater decline in reasonable
employment opportunities for subordinated groups—even college graduates from less privileged
backgrounds (Smiley, 2008). Yet, the types of non-profit organization discussed here do not
represent them or their interests. African Americans, Latinos, and the working class do not
control the messages or organizations that respond to such downward trends—that is the domain
of the privileged. Despite the dominant class’s protest against affirmative action, obviously such
programs as NYCTF selectively privilege the dominant class.
Who designs alternative routes? And why?
Traditional teacher education programs face a barrage of criticism for insufficiently preparing
teachers and allowing the wrong people into the field. Rumblings that teacher education is
unnecessary because good teachers are born, raised by good (affluent) parents, or educated at
elite universities periodically surface. In response to the perceived lacks in undergraduate
programs, the Holmes Group tried to establish teacher education as a post-baccalaureate degree.
This approach was rejected by some university officials, who argued that, given the expense
of higher education, adding a fifth year would eliminate potential candidates, particularly
minorities, children of the working class, and first-generation college attenders.
The current neo-liberal approach has been to bypass teacher education and concentrate on
recruiting teachers from tier one colleges. Proponents have convincingly argued that tuition
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ANDREW BRANTLINGER, LAUREL COOLEY AND ELLEN BRANTLINGER
waivers and stipends are needed to attract these qualified individuals and high-quality minority
candidates. Candidates in mathematics, science, and special education are of particular interest.
Urban schools are targeted because of their persistent teacher shortages. Because they are funded
by property taxes, schools in low-income districts lack equivalent human and physical resources
(Kozol, 2005). Hence, teacher shortage in urban areas is largely due to class discrimination.
Attrition is not only the result of resource gaps, but repressive demands at “failing schools.”
Teachers at these schools are often subjected to draconian scrutiny from administrators and are
required to enact scripted curriculum aimed at high-stakes tests (Goodnough, 2004). Diminished
conditions lead to a dearth of applications from qualified candidates and high faculty turnover
(Boyd et al., 2005). The continuation of deep school inequalities leads the authors to be skeptical
that, without redressing the ubiquitous and pernicious economic and social inequities, recruiting
teachers from any teacher education program will solve the problem of lack of qualified teachers
in impoverished urban schools.
The impact of the new teacher education programs
While privileged-class members do work hard, they are not self-made. Unlike less-privileged
classes, they have the capital and clout to facilitate aspirations for status maintenance and upward
mobility. Instead of recognizing how organizations are biased toward them, they see schools
and society as fair and just. As the epitome of super-class advantage, the policies and practices
of NYCTF and TFA that privilege the elite must be changed to allow access by residents of
poor urban neighborhoods and the types of candidate who traditionally have made a longtime
career of effective teaching in high-needs urban schools. Our evidence and a review of the
literature reveal that the better-known and most selective alternative programs we studied result
in the following:
Social class displacement
Teaching Fellows take the place of uncertified or temporary licensed teachers who have staffed
high-needs schools since the early 1980s or before. Some of these teachers had backgrounds
in the fields that they taught. Many had more teaching experience and educational training
than first-year Fellows. Most had strong ties to the schools and communities where they worked.
As noted earlier, novice uncertified teachers appear to be about as effective in mathematics as
Fellows (Boyd et al., 2006).
Middle-class welfare
NYCTF spends approximately $25,000 per Fellow for training for a Master’s degree
(Goodnough, 2004). Given that there are 2500–3500 new Fellows annually, this translates into
tens of millions of taxpayer dollars going to Master’s coursework and other professional support
for new Fellows. Less-privileged candidates who hold temporary licenses must pay for their
own training and Master’s degree. Prior to 2004, new teachers in NYC did not receive
mentoring unless they came through an AC route. Although most are needier than NYCTF
recruits, once again the career building of middle-class people has become a priority. Granted
this phenomenon resulted from social and economic conditions in which privileged students
have been unable to find acceptable jobs in the areas of their earned degrees. It is no surprise
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that NYCTF applications would increase substantially in lean times. Levy has called NYCTF
“an opportunity for people to make good on their altruistic desires,” without identifying the
“people” to whom he referred. Lower SES people are likely to see teaching as a long-term
career, an attitude that is healthier than the missionary-savior complex that our evidence shows
will soon be thwarted.
Absence of high qualifications
Our data suggest that the claim that the mathematics Fellows are more “highly qualified” and
especially “talented” does not hold true. Contradicting NYCTF rhetoric about recruiting the
“best and the brightest,” well over three quarters of mathematics Fellows do not have adequate
backgrounds in mathematics (Donoghue et al., 2008). If rapport with, and respect for, students
are judged, then Fellows also fall short.
Negative side effects and lack of improvement
The NYCTF program claims to “tap professional class idealism” (Keller, 2000: 1). Levy saw
NYCTF recruits as a vanguard that would work against the status quo culture in schooling.
Our research and that of others (e.g. Boyd et al., 2005; Costigan, 2004) document that Fellow
optimism and idealism are short lived, that teachers rarely identify with their urban students,
rarely understand the actual constraints on their lives, and do not remain in high-needs schools.
Alternative certification as a business solution to complex social
problems
Writing from a liberal perspective, Robert Reich (2007) sees members of the privileged class as
increasingly identifying with private rather than public interests and producing “secessionist ideas
and consequences” (cited in Perrucci and Wysong, 2003: 65). Workers involved in production
have declined from 33.1 percent in 1970 to a projected 11.6 percent in 2008 (Perrucci and
Wysong, 2003). This decline is accompanied by a corresponding rise in moderate- to low-paid
service-sector jobs at firms with a small number of highly paid “core” workers, such as “managers
and symbolic analysts,” and a large group of moderate- to low-paid “peripheral” workers who
are viewed as less central to organizational needs and goals.
Temporary agencies and contract or contingent laborers
Viewed increasingly as peripheral and contingent, “temp workers” fill in as teachers (Perrucci
and Wysong, 2003 p. 73). These interlocked organizational networks are directed by privileged,
credentialed-class leaders who use them to pursue strategies and objectives that reinforce the
shared economic, political, and cultural interests of their class. The super-class shares values,
worldviews, and a commitment to maintaining the status quo. From where privileged-class
leaders stand, life is good, and the corporate market model of the magic of the market works
(p. 76).
Despite consolidating considerable amounts of philanthropic and government funds, TFA,
TNTP, and NYCTF have done little, if anything, to eliminate educational inequality, even in
schools they directly serve (Boyd et al., 2006; Darling-Hammond, 1994). The rhetoric is about
serving the poor, yet it is the privileged class that benefits most directly from these new teacher
education organizations and the policies and practices that enable them. It is appropriate to
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conclude that the values of the super-class are aimed at preserving class advantage, and, hence,
are self-centered, self-serving, and exclusive as they prevent subordinates’ access to a level playing
field and social mobility.
References
Apple, M.W. (2006) Educating the “right” way: markets, standards, God, and inequality, 2nd edn, New York:
Routledge.
Ball, S.J. (2003) Class strategies and the educational market: the middle class and social advantage, New York:
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Bowles, S. and Gintis, H. (1976) Schooling in capitalist America, London: Routledge & Kegan Paul.
Boyd, D., Lankford, H., Loeb, S. and Wyckoff, J. (2005) “Explaining the short careers of high-achieving
teachers in schools with low-performing students,” American Economic Review Proceedings 95(2):
166–171.
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alter the teacher workforce and affect student achievement,” Education Finance and Policy 1(2):
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Brantlinger, E. (2003) Dividing classes: how the middle class negotiates and rationalizes school advantage, New
York: Routledge.
Carter, P. (2005) Keepin’ it real: School success beyond Black and White, New York: Oxford University Press.
Costigan, A. (2004) “Finding a name for what they want: a study of New York City’s Teaching Fellows,”
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Darling-Hammond, L. (1994) “Who will speak for the children? How ‘Teach for America’ hurts urban
schools and students,” Phi Delta Kappan 76: 21–34.
Devine, F. (2004) Class practices: how parents help their children get good jobs, New York: Cambridge University
Press.
Donoghue, E., Brantlinger, A., Meagher, M. and Cooley, L. (2008) “Teaching mathematics in urban
schools: the New York City Teaching Fellows Program,” (Roundtable) Paper presented at the
Annual Meeting of the American Educational Research Association, New York, March 2008.
Foote, D. (2008) Relentless pursuit: A year in the trenches with Teach for America, New York: Knopf.
Goodnough, A. (2004) Ms. Moffett’s first year: becoming a teacher in America, New York: Public Affairs.
Keller, B. (2000) “States move to improve teacher pool,” Education Week June 14: 1, 20.
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Lasch, C. (1995) The revolt of the elites and the betrayal of democracy, New York: W.W. Norton.
Levy, H. (2000) “Why the best don’t teach,” New York Times (September 9, 2000).
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Ryan, W. (1971) Blaming the victim, New York: Random House.
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17
Popular culture and the
sociology of education
Greg Dimitriadis
Understanding the connections between school life and broader social structures today
necessitates understanding the worldwide prevalence of popular culture and media forms and
their increasingly pronounced role in the lives of youth.1 Contemporary cultural shifts and
dislocations raise new kinds of questions for education, including how the everyday cultural
practices of youth intersect with the imperatives of school life today. As is well known by
now, the technocratic imperatives of No Child Left Behind and other high stakes testing
mechanisms have narrowed the curricula today in ways that have squeezed out much beyond
the basic “skill and drill” types of pedagogy. The disjuncture between in-school and out-ofschool culture has become increasingly pronounced—prompting many to take on questions
of popular culture in new ways. Yet, it is important to note that these dislocations and disjunctures between everyday cultural practices and school life have been a longstanding concern
for many in sociology and related disciplines—racing back over seventy-five years. While our
moment is specific in many ways, then, several generations of scholars have taken on these
questions. In particular, many have acknowledged the ways young people gravitate towards
popular culture in the absence of compelling or legitimate school knowledges and structures.
In this chapter, I will trace three traditions and bodies of work—the Chicago School of
Sociology, the Birmingham School of Cultural Studies, and the new sociology of education.
Each of these traditions evolved in distinct though overlapping ways. Taken together, they
offer a productive set of resources for understanding the intersections between popular culture
and the sociology of education.
Chicago School of Sociology
In many respects, the first efforts to understand popular culture were undertaken by scholars
of the Chicago School of Sociology. The Chicago School of Sociology rose to prominence
in the early part of the twentieth century. Like many cities, Chicago at the turn of the last
century was marked by unprecedented expansion. Urban life meant new divisions of labor,
as well as new modes of association, new kinds of human connection around a wide range of
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tastes, dispositions, and lifestyles. Under the direction of Robert Park, early sociologists at the
University of Chicago looked to understand many of the new forms of association firstgeneration immigrant youth created. This work was an early manifestation of what came to
be known as “subculture” theory. Perhaps most notably, Thrasher’s The gang: a study of 1,313
gangs in Chicago (1927) looked to understand how young people formed “gangs” in the
“in-between” or “interstitial” spaces newly emerging in Chicago. Other notable books are
Nel Anderson’s The hobo: the sociology of the homelesss man; Paul Cressey’s The taxi-dance hall:
a sociological study in commercialized recreation and city life; Louis Wirth’s The ghetto; and Harvey
Zorbaugh’s Gold Coast and slum: a sociological study of the near north side.
Thrasher famously studied many aspects of youths’ lives, including their reading and viewing
habits—what we would call today “popular culture.” Movies, in particular, were a new and
unexplored medium around this time and were the source of keen attention by Thrasher and
others. Here, Thrasher notes that film is “a cheap and easy escape from reality” and that gang
boys consumed films voraciously (p. 102). Thrasher acknowledged the fact that boys picked
up certain “patterns” of behavior from these films, often providing fodder for their fantasy lives.
Yet, he does not claim that these films “influenced” these boys in simple, direct ways. Thrasher
resists the “hypodermic needle” theory of media influence so prevalent at the time. According
to this hypothesis, there is a one-to-one correlation between media representation and individual
actions. Around this time, moral panics around the effects of film, books, and comics proliferated,
causing many to postulate a simple relationship between these media and juvenile delinquency.
While Thrasher argued that films do, in fact, have effects in young people’s lives, he resists this
one-to-one correlation. Towards the end of the chapter, Thrasher argues against the idea of
censorship, as he would do elsewhere. He argues here that “new” media such as the movies
always have the potential to “disturb social routine and break up the old habits upon which
the superstructure of social organization rests” (p. 114). Yet, abolishing film would be akin to
banning automobiles. While boys in gangs are perhaps more “susceptible” to media influence,
these forces can only be understood against a social backdrop. Thrasher would become the first
professor to hold a position in the sociology of education in the US, at NYU.
While at NYU, Thrasher was commissioned to conduct a larger study of the Boys’ Club
in New York City. The goal was to situate this club and its effects in radical community context.
Thrasher built an important piece of this study around the question of movies and their effects.
It was funded, in part, by the Payne Fund, an initiative taken up and funded by William Short,
as detailed in the book Children and the movies (Jowett et al., 1996). Thrasher would soon bring
fellow sociologist Paul Cressey (author of Taxi-dance hall: a sociological study in commercialized
recreation and city life) to help with this study. Their resulting manuscript, “Movies, delinquency,
and crime,” has never materialized. However, some portions of Cressey’s text have turned up.
Arguing against dominant logic of the time, he sums up much: “Social causation [of movie
effects] is entirely too complex a problem to be explained by any . . . simplistic interpretation
of incomplete data” (Jowett et al., 1996: 126). He also acknowledged, importantly, the pedagogical value of popular culture—including the ways it eclipsed traditional such institutions.
Popular culture “should not be linked to boys’ delinquency, but must instead be viewed as a
powerful source of ‘informal education’ that served boys in a far more direct and practical way
than did schools or the Boys’ Club” (p. 350).
Importantly, this work was girded by normative, functionalist underpinnings—ones perhaps
best described as “Durkheimean.” That is, scholars were interested in the ways groups came
to the US and undertook the process of assimilation. While Thrasher painted rich, sympathetic
portraits of young “gang boys,” he ultimately saw such gangs as a functional reaction to living
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in so-called “in-between” city spaces—what he called interstitial spaces. The goal was to figure
out ways to more efficiently integrate these young men into what he perceived as a dominant
American culture. This would be a theme picked up by others in the Chicago School, including
William Whyte in his classic Street corner society. Although these theoretical underpinnings would
come to be challenged in some fundamental ways, the Chicago School of Sociology prefigured
how popular culture would be taken up by sociologists in years to come. In particular, we see
an effort to understand the cultural dimensions of young people’s lives in times of social and
technological upheaval. We see a stress on the educative function of popular culture—the ways
popular culture steps into the void of traditional school life for many. We see, finally, an effort
to look at popular culture in the context of young people’s lives. Perhaps most importantly,
we see the impulse to apply the insights of sociology—an emerging, empirical discipline—to
the lives of youth. Popular culture was one part of situating these lives in broader social and
economic context.
Cultural studies
Emerging from the UK in the 1960s and 1970s, work in cultural studies took up such questions
around youth culture, though in specific and somewhat distinct ways. Drawing more explicitly
on the work of Gramsci, cultural studies saw culture and ideology as a site of struggle, with
young people both actively resisting and reproducing the class positions in which they found
themselves. Scholars such as EP Thompson, Stuart Hall, Raymond Williams, Richard Hoggart,
all opened up important questions about the role of “culture” in the lives of young people—
work extended by Paul Willis, Dick Hebdige, Angela McRobbie, and others. This work drew
upon an explicitly critical and theoretical tradition to help explain the role of popular culture
in reproducing and resisting dominant ideology and hegemony, especially around class. If work
in the Chicago School was concerned with questions of assimilation in a plural society, work
in cultural studies would come to offer a more fundamental critique of capitalism.
Stuart Hall’s The popular arts (1964) (co-authored with Paddy Whannel) is an early and
important text out of this Birmingham School of Cultural Studies. Importantly, this book was
rooted in Hall’s experience as a teacher attempting to understand the range of cultural resources
and influences young people bring to the classroom. For Hall and Whannel, popular culture
is an important site for the young—in many ways, a more important site than traditional school
settings. They write, “Their symbols and fantasies have a strong hold upon the emotional
commitment of the young at this stage in their development, and operate more powerfully in
a situation where young people are tending to learn less from established institutions, such as
the family, the school, the church and the immediate adult community, and more from one
another” (Hall and Whannel, 1964: 276). We see, of course, echoes of Cressey and other
Chicago School sociologists here. However, like much of the work that would follow, this
book was concerned with popular culture as “text,” and brought a traditional literary lens to
the subject. Much of this text was concerned with understanding a question that would haunt
scholars for generations to come—how to understand “popular culture” and its continuities
and discontinuities with so-called folk culture and emerging mass culture. This would be taken
up by others, including, most notably, Raymond Williams. In a series of influential texts,
Williams talked about the complex distinctions at work in the term—from everyday folk culture
to mass mediated culture. All laid claim to the term “popular culture.” While Thrasher was
not concerned with drawing conceptual distinctions between the stories and songs young people
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told each other and the mediated culture produced in more centralized spaces, such conceptual
concerns were central to Williams and others. Williams, Hall and others came to see “popular
culture” not as a transcendent category—it could not be—but as a “terrain of struggle” over
which young people contested. If work in the Chicago School was influenced by Durkheim,
work in cultural studies was influenced by Marx and Gramsci—in particular, the latter’s notion
of popular culture as a terrain of struggle. In sum, work in the Chicago School was concerned
with how young people carved identities out of the instabilities of immigrant identities, while
work out of the Birmingham School was concerned with the ways young people lived out the
instabilities of class across generations.
Resistance through rituals: youth subcultures in post-war Britain, edited by Stuart Hall and
Tony Jefferson (1976), was in many ways a watershed book of the movement and moment.
Drawing together many of the figures who would be central to these debates in following
years (Hall, Hebdige, McRobbie, and Willis, among them), the editors and authors focused
on youth subcultures—groups, as Clarke et al. write, “which have reasonably tight boundaries,
distinctive shapes, [and] have cohered around particular activities, focal concerns and territorial
spaces” (Hall and Jefferson, 1976: 13). These include those of the mods, skinheads, Rastafarians,
punks, and teddy boys. As the authors demonstrate, such subcultures are a way for youth
to carve out symbolic space between the “parent” or working-class culture and the dominant
culture. “For our purposes,” they write, “sub-cultures represent a necessary, ‘relatively autonomous’, but inter-mediary level of analysis” (Hall and Jefferson, 1976: 14). Through these
symbolic, subculture forms, youth try to solve (or “magically resolve”) the problems of their
class position. They are a way for youth both to resist against the dominant order—and also
to be incorporated into it.
Subculture: the meaning of style (Hebdige, 1979) was another key text here. In particular,
Subculture took the everyday cultural lives of young people seriously, looking at everyday “style”
as a site of resistance to dominant culture and its logics. Hebdige’s study was closely focused
on the “semiotics” of youth culture. That is, he was interested in how young people took the
symbols and signs available in everyday life and used them in new and different ways to carve
out their own, distinctive subcultural identities. Hebdige gave us a language of “appropriation”
and “re-appropriation.” In this study, Hebdige focused on the range of “spectacular” subcultures
that emerged in London after World War II—skinheads, punks, mods, teddy boys, Rastafarians,
and others. For Hebdige, as with others noted above, these cultural forms were a response to
instability around how “class” was lived in England in a post-war context. In the absence
of firm foundations, young people developed a set of subcultures to help “resolve” the
contradictions around class. He writes
The persistence of class as a meaningful category within youth culture was not . . .
generally acknowledged until fairly recently and, as we shall see, the seemingly spontaneous
eruption of spectacular youth styles has encouraged some writers to talk of youth as the
new class.
(Hebdige, 1979: 75)
This raises the question of style as bricolage and style as homology—two central concerns
of Hebdige. For Hebdige, youth subcultures are key sites where different cultural signs and
symbols can be “mixed and matched” in new and creative ways. This is bricolage. Drawing
on Levi-Strauss, he argues that young people can draw “implicitly coherent, though explicitly
bewildering, systems of connection between things which perfectly equip their users to ‘think’
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their own world.” He continues, “These magical systems of connection have a common feature:
they are capable of infinite extension because basic elements can be used in a variety of
improvised combinations to generate new meanings within them” (p. 103). For Hebdige, young
people are like artists, drawing together distinct signs and symbols and creating a coherent
meaning system among them. Recall the punk use of the safety pin, the spiked haircut, the
dramatic collages—all helped form a coherent meaning system.
Work in cultural studies helped open up critical questions about the cultural dimensions of
young people’s lives—questions that would be taken up around the world in important ways
throughout the 1980s and 1990s (Grossberg et al., 1992). Much of this work was concerned
with understanding the ways young people’s everyday lives were saturated with social and
political meanings, often expressed as “style.” This work was useful in opening a new
conversation about how politics works in the lives of youth. In particular, this work helped
open up a space to think about how popular culture and everyday life were a terrain upon
which young people struggled over the politics of meanings—in ways often unrecognized or
ignored. Popular culture itself became a pedagogical site—one that both helped reproduce and
resist hegemonic norms (Giroux, 1996, 2000).
New sociology of education
Coming out of the UK, beginning in the 1970s, work in the “new sociology of education,”
looked more specifically at all the ways in which curricula worked to effect social and economic
reproduction. This work shares much with the work noted above—in particular, the ways
distinctions between “elite” and “everyday” knowledge served to reproduce distinctions that
marginalized working-class youth. Much of this work was drawn together in the highly
influential volume, Knowledge and control: new directions for the sociology of education (1971), edited
by M.F.D. Young. This collection included contributions by (among others) Young, Basil
Bernstein, and Pierre Bourdieu—all of whom would be critical for the field. All of this work
was concerned with similar such questions as those in cultural studies—most specifically, the
ways in which different knowledges are stratified. Such scholars were concerned with the ways
in which working-class youth’s culture was marginalized in school—pushing them out in unfair
ways (Bernstein, 1973, 1977). In many respects, this work can be seen as one of the earliest
iterations of the “popular culture and education” question, which would come to mark the
field in years to come.
Like many neo-Marxist curriculum scholars, M.F.D. Young was interested in the connections
between social stratification and knowledge stratification. In particular, he was interested in the
ways schools marginalized working-class youth by producing arbitrary and unfair distinctions
between “high” and “low” status knowledge. The former is so-called “pure,” not applied,
knowledge. Such knowledge operates at the level of broad generalities, not specificities. This
distinction helps explain why vocational education is typically marginalized in school settings.
Often attractive to working-class youth, this kind of education is often marked as low status.
For M.F.D. Young, these distinctions between high- and low-status knowledge help explain
why schools do not serve the needs and interests of working-class youth.
In arguing for this, Young underscores a point that would be critical to the new sociologists
of education—that knowledge itself was a social construction. This insight opened up a critical
space to think about the curricula as a politically contested construct. Curricular knowledge
is not simply “given” but a function of power. This raised a series of questions, including:
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Who controls curricular knowledge? And whose interest does it serve? For Young and
others, this is not only a question of curricula content. It is a question of how knowledge itself
was organized. More specifically, Young was interested in the question of how knowledge
becomes specialized, and how this specialized knowledge falls under the purview of the elite.
Indeed, the separation of knowledge into discrete disciplines was itself a function of power.
All of this worked to create specific kinds of knowledge stratification that helped to maintain
broader kinds of social stratification. For Young and others, the pressing question was one of
social class.
Another key thinker in the new sociology of education is the French sociologist Pierre
Bourdieu. Beginning in the 1970s, including in the volume, Knowledge and control, Bourdieu
raised a series of questions and issues that would prove central to neo-Marxist curriculum studies.
In 1977, he published, with Jean-Claude Passeron, the seminal Reproduction in education, society,
and culture (Bourdieu and Passeron, 1977). This volume brought together and crystallized many
of his most central insights for the field. Like others in neo-Marxist curriculum studies, Bourdieu
was centrally concerned with showing how school curricula served the interests of the elite,
even as they appeared neutral and disinterested. More than anyone, Bourdieu opened up
important questions about the nature of “elite” cultural activities and the process by which they
become legitimated. As Bourdieu argued, so-called “high art” forms enter a certain intellectual
field that is controlled by and serves the interests of the elite (Bourdieu, 1984). This intellectual field—and its associated critics, teachers, other artists, etc.—works to confer a particular kind
of legitimacy upon these forms. These elite art forms are often quite different from those
privileged by the working classes. So, for example, classical music is privileged over and above
interior design or cookery. The particular power of these distinctions, of course, is that they do
appear as “elite.” Their power is made to appear natural and immutable. Schools play a particular
role in this process. For Bourdieu (and Passeron), schools reward the cultural dispositions of the
elite, translating them into different kinds of success and achievement. In particular, schools
translate the “cultural capital” that elites typically grow up with into “economic capital.” In turn,
schools marginalize working class youth—committing a kind of “symbolic violence” upon them.
For Bourdieu, this violence is arbitrary, as are these cultural distinctions. They work only to
reproduce the power of elites—here, through school knowledge.
As this work traveled to the US—in particular, with the work of Michael Apple (2006)—
these questions began to look beyond class as the only stable reference point. Questions of race
and gender moved to the fore, as did other ideological predispositions that helped form school
life and curricular knowledge in the US. Perhaps most notably, Apple has focused on how the
Right has produced a certain kind of “common sense” that has drawn together various factions
—those of Christian evangelicals, the new middle classes, cultural conservatives, and neoliberals—under a common umbrella. There has been an “accord” between these groups that
has produced a certain kind of common sense about the role of education in the world. In
particular, a set of business logics have deeply lodged themselves in the popular imagination
around education—one of vouchers, high stakes testing, as well as related interventions. All of
these have drawn on and mobilized a popular knowledge and common sense in specific ways.
Curriculum scholars today face several new challenges. As M.F.D. Young (2007) argued in
a recent retrospective, the field has never developed a viable, alternative curriculum to the one
offered in school settings. For Young, the work has remained largely critical, often assuming the
primacy of a de facto “common curriculum” of the people. That is, if schools offered a largely
“pure” and disconnected curriculum that did not draw on the lives of the working-classes, the
solution would be an applied, vocational curriculum that drew on the strengths of these groups.
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As Young argued, this was largely a fruitless effort to “flip the binary,” and did not answer
more fundamental questions about which knowledge is most worth teaching. This remains a
central question for those in popular culture in education—how does one draw distinctions in
what is most valuable to teach? How does one decide what is better or worse curricular
knowledge? While Young’s concerns resonate (at least partially) in the UK context, Apple and
others have worked hard to develop responses to this challenge on a global stage. With nearly
500,000 copies in print, the two editions of Democratic schools (Apple and Beane, 1995, 2007)
are perhaps the best examples of popular, curricular alternatives developed from within the
new sociology of education tradition.
Future directions
The methods and theories discussed above are brought to bear on much work on popular culture
and education today. But many of its defining constructs are proving insufficient to address the
specificities of our moment—in particular, around the complexities of globalization and new
technologies (Huq, 2006). Many of the projects described above rely upon fairly stable notions
of the nation-state and the political projects and theories that gird them—whether functionalist
or Marxist. Yet, many wrestle with constructs that have remained stable over time.
The question of “sub-cultures” is key. Anita Harris (2008) sums this up nicely in her
collection Next wave cultures: feminism, subcultures, activism:
Nowadays, subcultures are not perceived simply as singular, fixed categories that youth
are affiliated to in order to work out their class identities or to resist dominant culture.
Instead, theorists talk about neotribes, youth lifestyles, scenes, new communities and so
on as momentary and changeable expressions of identity.
(Harris, 2008: 3)
Subculture theory assumed that groups had seemingly stable boundaries that could be explained
both in terms of their resistance to, and incorporation in, an industrial economy. With the rise
of post-industrial, neo-liberal economic regimes and the destabilizing cultural effects of
globalization, however, much more is “up for grabs” today, as evidenced by this and related
work (Dolby and Rizvi, 2008). Indeed, the shifts and dislocations associated with globalization
are registering for young people in often disorientating and paradoxical ways. Young people
are growing up in a world increasingly marked by new, massive disparities in wealth, the
worldwide circulation of (often rigidly fundamentalist) ideologies and belief systems, a dizzying
array of signs and symbolic resources dislodged from their traditional moorings, as well as a
veritable explosion of new technologies. Youth are now trying to find their “place(s)” in this
world, “moving” across this terrain in ways we are only beginning to understand and appreciate.
As recent work is making clear, young people are crafting new identities and social networks
using a range of globally generated and proliferating resources. Young people are “moving,”
both literally and figuratively, crossing national borders with their bodies as well as imaginations,
crafting new and unexpected kinds of identity.
Key ethnographic work continues to open up interesting questions about the worldwide
circulation of popular texts. These studies highlight the ways in which “urban” cultural texts
are circulating around the world, landing in particular ways in particular contexts, in ways that
allow youth to articulate their own contemporary circumstances (see Condry, 2006; Dimitriadis,
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2001; Dolby 2001; Mitchell, 2001; Tempelton, 2006). I recall here the work of Brett Lashua
(2005). For several years, Lashua worked with First Nations youth in the city of Edmonton,
Alberta, helping to construct a studio for these youth to record their own rap songs. As Lasuha
demonstrated, these young people both drew on the dominant tropes and themes in rap music
while linking them to specificity of life on “the rez.” Like others, Lashua shows how these
young people address their contemporary concerns through contemporary “urban” art forms
such as hip hop. Linked closely to notions of place, these texts have traveled the world, allowing
young people to carve out their own senses of self in often hostile sets of social circumstances.
Lashua’s study throws these issues into sharp relief—highlighting the ways First Nations youth
bring their concerns into the urban present through hip hop, challenging often debilitating
stereotypes about indigenous youth.
Other studies take on more traditional questions about youth “learning” through popular
culture, though in new ways (see, for example, Buckingham, 1996, 1998, 2000; Buckingham
and Sefton-Green, 1995; Goodman, 2003; Mahiri, 1998; Morrell, 2004, 2008; Sefton-Green,
1998, 1999). For example, Leif Gustavson’s (2007) important book Youth learning on their own
terms carefully traces the out-of-school creative practices of three youth in the US around the
urban East—Ian, Miguel, and Gil—immersing himself in their complex and multifaceted lifeworlds, teasing out how they understand the particulars of their crafts. In looking at these creative
practices through three very specific biographies, Gustavson highlights their deep and often
ignored cognitive components and dimensions. In each of these cases—Ian’s ‘zine writing and
slam poetry, Miguel’s graffiti writing, and Gil’s turntable work—we see creative minds at work,
making choices and decisions as they work through the intricacies of their media. We see, as
well, the particular, productive intersections between these practices and their specific raced
and classed backgrounds—not as determining but as constitutive of their material and aesthetic
lives.
This underscores the importance of new modes of distribution and circulation of popular
culture. This is a debate taken up, among other places, in “fandom” studies but it is one education
would do well to explore (Gray et al., 2007). Indeed, the global proliferation of contemporary
media forms has allowed young people around the world to tailor their own leisure practices
in very specific and particular ways. If the dominant media model used to be “broadcasting,”
today’s world of inexpensive cable and widespread Internet penetration is perhaps one of
“narrowcasting.” Young people around the world are carving out new, unpredictable, and
in some ways rhizomatic, forms of cultural identification in ways often invisible (and typically
inexplicable) to adults. Sometimes these are defined by taste. Sometimes these are defined by
race or ethnic identity. Sometimes—often—they are marked by both. Inextricably intertwined
with this are new articulations of technology, including the emergence of what Henry Jenkins
calls “convergence culture.” Here, Jenkins refers to
the flow of content across multiple media platforms, the cooperation between multiple
media industries, the search for new media financing that fall at the interstices between
old and new media, and the migratory behavior of media audiences who would go almost
anywhere in search of the kind of entertainment experiences they want.
(Jenkins, 2006: 282)
If the media landscape used to be divided fairly clearly between the “producers” and
“consumers” of popular culture, young people today occupy a new, middle ground. Using
largely inexpensive forms of technology, young people are creating their own self-styled cultural
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GREG DIMITRIADIS
texts across multiple platforms—as evidenced by the explosion of MySpace, YouTube,
Facebook, Blogger, and other such sites. These texts are both proliferating in their own specific
communities as well as “speaking back” to corporate culture in ways that can have constitutive
effects on the material production of culture.
Benefiting from the theoretical and methodological advances of the last decade, work on
contemporary youth culture is moving in several directions at once, opening up multiple and
complex notions of identity as it is lived in the everyday. In particular, this work looks towards
the ways in which young people are navigating their everyday lives using popular cultural texts
in complex and unpredictable ways. None of this work reduces the lives and experiences of
these youth to tight, subcultural boundaries. At its best, such work can force us closer and
closer to the lives of young people, showing us unexpected vistas for thought and reflection.
Indeed, much of the best work in popular culture and education has done exactly this—decentering the presumed and presumptive authority of the researcher and educator. Such work
allows us to see the affective investments young people have in the texts and practices most
salient in their lives. Such work can destabilize the ways in which educators choose to organize
and control knowledge.
Note
1
This chapter explores issues further elaborated upon in my book Studying urban youth culture (2008,
Peter Lang).
References
Apple, M.W. (2006) Educating the “right” way, 2nd edn, New York: Routledge.
–––– and Beane, J. (eds) (1995, 2007) Democratic schools, Alexandria, VA: Association for Supervision and
Curriculum Development.
Bernstein, B. (1973) Class, codes and control, Vol. 1, London: Routledge.
–––– (1977) Class, codes and control, Vol. 3, London: Routledge.
Bourdieu, P. (1984) Distinction: A social critique of the judgment of taste (trans. R. Nice), Cambridge, MA:
Harvard University Press.
–––– and Passeron, J. (1977) Reproduction in education, society, and culture, Thousand Oaks, CA: Sage.
–––– (1996) Moving images: understanding children’s emotional responses to television, Manchester: Manchester
University Press.
–––– (ed.) (1998) Teaching popular culture: beyond radical pedagogy, London: UCL Press.
–––– (2000) The making of citizens, London: Routledge.
–––– and Sefton-Green, J. (1995) Cultural studies goes to school: reading and teaching popular media, London:
Taylor & Francis.
Condry, I. (2006) Hip-hop Japan: rap and the paths of cultural globalization, Durham, NC: Duke University
Press.
Dimitriadis, G. (2001) Performing identity/performing culture: hip hop as text, pedagogy, and lived practice, New
York: Peter Lang.
Dolby, N. (2001) Constructing race: youth, identity, and popular culture in South Africa, Albany, NY: SUNY
Press.
–––– and Rizvi, F. (eds) (2008) Youth moves, New York: Routledge.
Giroux, H. (1996) Fugitive cultures: race, violence, and youth, New York: Routledge.
–––– (2000) Impure acts: the practical politics of cultural studies, New York: Routledge.
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Goodman, S. (2003) Teaching youth media: a critical guide to literacy, video production and social change, New
York: Teachers College Press.
Gray, J., Sandvoss, C. and Harrington, L. (eds) (2007) Fandom, New York: NYU Press.
Grossberg, L., Nelson, C. and Treichler, P. (1992) Cultural studies, New York: Routledge.
Gustavson, L. (2007) Youth learning on their own terms, New York: Routledge.
Hall, S. and Jefferson, T. (eds) (1976) Resistance through rituals: youth subcultures in post-war Britain,
Birmingham, UK: Open University Press.
–––– and Whannel, P. (1964) The popular arts, New York: Pantheon.
Harris, A. (ed.) (2008) Next wave cultures: feminisms, subcultures, activism, New York: Routledge.
Hebdige, D. (1979) Subculture: the meaning of style, London: Routledge.
Huq, R. (2006) Beyond subculture: pop, youth and identity in a postcolonial world, New York: Routledge.
Jenkins, H. (2006) Convergence culture: where old and new media collide, New York: NYU Press.
Jowett, G., Jarvie, I. and Fuller, K. (eds) (1996) Children and the movies: media influence and the Payne Fund
studies, Cambridge: Cambridge University Press.
Lashua, B. (2005) “Making music, re-making leisure in The Beat of Boyle Street,” unpublished Ph.D.
dissertation, University of Alberta, Canada.
Mahiri, J. (1998) Shooting for excellence: African American and youth culture in new century schools, Urbana, IL:
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Mitchell, T. (eds) (2001) Global noise: rap and hip-hop outside the USA, Middletown, CT: Wesleyan
University Press.
Morrell, E. (2004) Becoming critical researchers: literacy and empowerment for urban youth, New York: Peter
Lang.
–––– (2008) Critical literacy and urban youth: pedagogies of access, dissent, and liberation, New York: Routledge.
Sefton-Green, J. (ed.) (1998) Digital diversions: youth culture in the age of multimedia, New York: Routledge.
–––– (ed.) (1999) Young people, creativity and new technologies, New York: Routledge.
Tempelton, I. (2006) “What’s so German about it?: Race and cultural identity in Berlin’s hip hop
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Thrasher, F. (1927) The gang: a study of 1,316 gangs in Chicago, Chicago, IL: University of Chicago Press.
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18
Schooling the body in a
performative culture
John Evans, Brian Davies and Emma Rich
The body is a great intelligence, a plurality with one mind, a war and a peace, a flock
and a shepherd.
And thy little intelligence, my brother, which thou callest ‘spirit’ – is a tool of the
body, a little tool and a plaything of thy great intelligence.
I thou sayest, and art proud of the word. But a greater matter – which thy wilst not
believe – is thy body and its great intelligence. It saith not I, but it doeth I.
(Nietzsche, Thus Spake Zarathustra, Bozman, 1957)
I have always written with my whole body: I do not know what purely intellectual
problems are.
(Nietzsche, Thus Spake Zarathustra, Pascal, 1952)
In many respects, the sociology of education is quintessentially ‘of the body’, though it has not
always articulated its mission as such. Historically, it has sought to document how individuals
are fashioned and inscribed with social meaning, status and value through organizational and
pedagogical practices reflecting particular cultural and class interests and ideals. Much less
frequently, it has sought to understand how material flesh and blood, thinking, feeling, sentient
beings are written on to social and cultural landscapes utilizing attributes variously defined as
habits, aptitudes, abilities or intelligences, which may be recognized as of value in and outside
schools. But either we understand the social world as the intersection of embodied agency and
structure, critically as a dialectic of biology and culture (Evans et al., 2009; Grosz, 1995; Shilling,
2008a,b) or we fail to understand human existence and its reproduction at all.
The founding figures of sociology were, as Chris Shilling (2008a,b) has pointed out, keenly
interested in how ‘corporeal processes could be interpreted as actual indicators of social
reproduction and change’. He noted, for example, that both Durkheim (1995, originally 1912)
and Weber (1991, originally 1904–1905) sought explication of the social importance of what
he termed ‘the cultural body pedagogics characteristic of a society’ based on recognition that culture
is ‘not just a matter of cognitive or symbolic knowledge, but entails an education into socially
sanctioned bodily techniques, dispositions and sensory orientations to the world (Mauss, 1973,
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originally 1934)’ (Shilling, 2008a: viii). They explored those forms of ‘body pedagogics’ central
either to the inception and development of industrial society, or those minimal forms that could
be associated with the consolidation of any social group. However, as Shilling pointed out, it
was Heidegger (1993, originally 1954: 320, 329, 333) who provided the most relevant and
disturbing vision of ‘body pedagogics’ associated with the culture of advanced, technological
society in the West, the defining property of which was that ‘people themselves are regarded as
a standing-reserve for the demands of a system that prioritizes production over all else’ (Shilling,
2008a). Such a situation could go unrecognized by the majority of those subject to it, used to
regarding the world through the prism of rational instrumentalism, ‘failing to see that they have
become the object of this logic’ (Shilling, 2008a: x). In such a culture, our bodily selves are
increasingly subject to, not only the performative expectations of the labour market, but those
of consumer culture centred around visions of physical perfection, usually articulated as
slender body ideals (Evans et al., 2008b; Gordon, 2000; Grogan, 1999; Shilling, 2008a; Shilling
and Mellor, 2007; Wright and Harwood, 2009). The characteristic experience associated with
this instrumental orientation towards life is that:
the body becomes objectified as an absent-present raw material that we are responsible for
controlling in line with external standards (rather than as the vehicle of our sensuous and
creative being-in-the-world) . . . the embodied subject is either positioned as a ‘standing
reserve’ for the demands of productivity or is stigmatised and viewed as morally suspect.
(Shilling, 2008a: xi)
The precise manner in which this ‘enframing’ of the body proceeds varies across institutions
and is clearly exemplified in contemporary approaches to health.
Sociological interest in ‘the body’ is, then, nothing new, although most sociologists of
education have been less than universally eager to embrace it directly in their analyses. Yet,
long before the likes of Foucault, Bernstein, Elias, Bourdieu, Derrida, Douglas, Grosz, Butler
or their contemporary, school-focused apostles depicted it rather prosaically as a shadowy,
ghostly, disembodied figure in the educational machine, Wallard (1932) had already pointed
out in seminal detail that schools were complex social organizations comprising people in roles
and motion, living ‘an organismic interdependence’ (p. 6). It was not possible to affect them
in part without altering the shape of the whole; schools were manifestly social bodies, whose
inherently relational and contingent elements had ripple effects on others within and beyond
them. Within them, those in authority were set to work on others’ bodies, essentially to socialize,
skill, organize and differentiate them by age, ability, sex and potential occupational status.
Patently, they sorted ‘able’ from ‘less able’, boys from girls, one religious affiliation from another,
or none, and even black from white. Such corporeal categories were regularly writ large in
school names and signage above many a school door. Manipulating classrooms, corridors,
playgrounds and time-tabled time, schools variously sifted and sorted, segregated and
differentiated, ordered and classified, imposing geographies of the body, nurturing social
relations that celebrated either a sense of ‘similarity to’ or ‘difference from’, depending on the
philosophy, ideology and nature of the privileging educational code (Evans and Davies, 2004).
The body, then, has always been writ large in the organization of schooling, via its classifications
and framing of pedagogy, curriculum and assessment techniques, by virtue of their mission to
allocate position and privilege and distribute success, failure, status and value. In simultaneously
disciplining, punishing or privileging in terms of myriad rules and evaluations, schools inevitably
either affirm, damage or enhance individuals’ corporeality in place, space and time.
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Against a backdrop of near global economic, medical and technological change, of a kind
alluded to by Shilling, pace Heidegger, governments across affluent Western and westernized
societies have sought, not only to alter surface features of education so as to ensure the electoral
allegiance of the already privileged and aspirant, but also to reach into and manipulate its deeper
structures. In recent decades, there has been a significant step change in attention paid to the
body by purveyors of popular culture and burgeoning body/health industries, and central
governments have been increasingly tempted to claim control of its underlying ethics, codes
and principles, which regulate communication and embodied consciousness and their location.
Such inclinations have often been sanctified as being necessary in order to control and better
‘educate’ potentially volatile and, purportedly, increasingly unhealthy (overweight and obese)
populations. A new and pervasive form of ‘surveillance education’ has emerged in which
‘perfection codes’ (Evans and Davies, 2004) (which centre attention on one’s ‘relationship to
one’s embodied self ’) and ‘surveillance medicine and health’ (Armstrong, 1995), reaching way
beyond schools, feature prominently. Its narratives are neither arbitrary nor socially innocent.
Although couched in good intent, they serve, nonetheless, to fashion and alter individuals’
consciousness and relationships to their bodies in such a way that existing social hierarchies and
westernized, affluent, white, middle-class cultural values are celebrated within a particularly
narrow version of ‘being healthy’ (Azzarito and Solomon, 2006). In the process, the lifestyles,
cultures and embodied characteristics of many are ‘abjectified’ (Kenway et al., 2006), while
those of relatively few (slim, active, independent individuals) are privileged and portrayed as
corporeal exemplars of desirable aspirational ideals. It is hardly surprising, then, that we find in
countries across such societies a ubiquitous fear, especially among the middle classes, of being
defined as ‘overweight’, inactive and manifestly insufficiently thin.
‘Body pedagogics’ and the medicalization of our lives
In what some refer to as the medicalization of people’s lives (Furedi, 2005), the reclassification
of populations globally as ‘at risk’, in perpetual states of being ‘potentially unwell’, has no more
been accident than conspiracy on the part of science or health educators’ malicious intent. It
has owed as much to changing approaches in medicine to ‘health’ over the last forty years as
to the way in which nation-states have increasingly sought to exercise authority and control
over potentially recalcitrant populations, while simultaneously serving global capitalism’s
interests. Generating surplus value rests on increasing consumption, even when dieting. In late
twentieth-century medicine, the quest for cures for ill health gave way to a search for its causes
(see Le Fanu, 1999). This shift was driven by two very different specialties: ‘new genetics’ opened
up possibilities of identifying abnormal genes in social diseases; and ‘epidemiology’ insisted that
most common diseases, such as cancer, heart disease and diabetes, are caused by social factors
connected to unhealthy lifestyles and are preventable by changing behaviour, such as switching
diets, taking more exercise and reducing exposure to risk factors. Together, these approaches,
especially when recontextualized through the ideologies of neo-liberalism and free market
economics, generated policies that provided the basis for a radical shift from solving health
problems through therapeutic measures to intervention – the earlier the better – making the lives
of children and young people and their families and schools primary targets of health and
education policies. Though driven by genuinely altruistic desire to improve the health of
individuals and populations, when framed within an ideology of ‘liberal individualism’ and
‘performativity’ (see Ball, 2003, 2004) ‘health’ has taken on particularly narrow connotations
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around weight loss and slenderness, serving the interests not of education but surveillance and
new forms of social control.
At the same time, in Western (and westernized) societies, coercive means of manipulating
populations using explicit force and oppressive rule of law have given way to more subtle and
less certain means of control involving a combination of mass surveillance and self-regulation,
which Foucault (1978, 1979, 1980) called ‘disciplinary power’. Here, individuals and populations
are ascribed responsibility for regulating and looking after themselves, though often according
to criteria over which they have very little say or control, while, at the same time, being
more or less relentlessly monitored in their capacity to do so, in some respects from cradle to
grave (see Foresight Commission, 2007: 63). As nation-states have become ‘more concerned
about the management of life (biopower) and the governing of populations’ (Howson, 2004:
125), particularly in relation to health, disease, sexuality, welfare and education, individuals and
communities become objects of ‘surveillance, analysis, intervention and correction across space
and time’ (Nettleton, 1992, quoted in Howson, 2004). Biopower, however: ‘depends on
technologies through which the state and its agencies can manage “the politics of life to shape
the social to accord with the tasks and exigencies faced by the state”’ (Hewitt, 1983: 225, quoted
in Howson, 2004). Foucault’s reference ‘to the knowledges, practices and norms that have been
developed to regulate the quality of life of the population as bio-politics’ indicates that the
body becomes ‘the raw material for this undertaking’. Distinct physical spaces become locations
in which people are monitored by those in authority who may observe them with minimum
effort: ‘Relations within such spaces are based on the observation of the many by the watchful
eyes of the few, or on the “gaze” which judges as it observes and decides what fits – what is
normal – and what does not’ (Howson, 2004: 126).
One unfortunate legacy of the Foucauldian moment in the sociology of education, health
and physical education, however, is the tendency (not altogether mitigated in the concept of
biopower) to characterize the aforementioned processes dichotomously and somewhat
misleadingly as either external or internal forms of regulation of the body politic and the body’s
corporeality, rather than as the intersection of two mutually reinforcing modes of achieving
order and control. Societies are depicted as having shifted from exercising imposed, disciplinary
power to ‘technologies of the self ’, whereby individuals or populations are ‘encouraged’ to
regulate and continually work on their own bodies and ‘self regulate’. Calling on a variety of
government-provided expertise enjoined ‘to shape, guide, direct the conduct of others’ and
‘bridle the individual’s passions’, individuals are induced to control their own instincts; they
‘govern themselves’ (Rose, 1999: 3). This rather caricatures the way in which order and control
are pursued in advanced technological societies, obfuscating how different forms of embodiment
may be nurtured when external and internal forms of regulation work conjointly on the body
to ‘enframe’ subjectivity and embodied action, a process in which some bodies may achieve
‘authenticity’ and are compliant, while others are ‘abjectified’ and alienated and offer dissent.
But exercise of biopower neither assumes nor guarantees acceptance or internalization of its
normalizing roles, rules and codes, not least because it cannot foresee or regulate the unintended
consequence of policies, for example, with respect of individual or population failure to adopt
‘correct’ behaviours relating to weight, exercise and food. Pursuit of ‘self induced’ order always
occurs within frameworks of disciplinary control. Moreover, given that disciplinary power and
surveillance may vary across settings, individuals may experience corporeal ‘authenticity’ or
‘abjection’ across different sites of practice, depending on the proximity of their cultural values
to prevailing social (corporeal) norms and/or their willingness to ‘self regulate’ within given or
perceived zones of influence: psycho-social locations (communities of encoded practice) that
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are experienced somatically by individuals to have various levels of meaning, significance and/or
control over their behaviour and development (Walkerdine, 2009). For example, some young
people may experience ‘the family’ (or particular relations within it) or websites as having greater
influence than schools on their understanding of health, food and body issues. Others may
experience their peers as having greater influence on their developing corporeality than, say,
teachers (De Pian, 2008; McLeod and Yates, 2006).
How governments or other institutions respond to weaknesses or invoke changes in their
chosen or inherited modes of control should, therefore, reside high among the concerns of an
embodied sociology of education (Gard and Kirk, 2007). In ‘totally pedagogized societies’ (TPS)
(Bernstein, 2001) and totally pedagogized schools,1 there is contingent intersection rather than
shift or dislocation of external and internal forms of control in the interests of ensuring that
populations are both orderly and controlled. Hence, where the pursuit of internal regulation fails
(as surely it must if the majority population has little or no control over, or say in, the normalized, corporeal states they are expected to achieve), levels of surveillance and intervention can
be activated and intensified to ensure conformity to stated ideals. Indeed, in plural, secular societies,
such as the UK, where ‘inner regulation’ drawn either from theological or ethical codes is
sometime depicted as either weak, dissonant or absent, the failure of certain populations to embrace
state-manufactured, alternative ideologies, such as those of ‘liberal individualism’ and its guiding
rules (e.g. around diet, exercise and weight), has been accompanied by increasing levels of coercive
intervention and heightened levels of surveillance of populations in and outside schools.
It is in such contexts of heightened surveillance that new forms of normalizing practices
emerge and prevail in many sites of social practice through the exercise of body pedagogics (Shilling,
2005, 2007), bio-pedagogies (Wright and Harwood, 2008) and body pedagogies (Evans and Davies,
2004; Evans et al., 2008b), and their specific variants in schools. Such practices work as part of
the bio-politics of contemporary Western cultures, steeped in body centric (e.g. obesity)
discourse (see Campos, 2004; Gard and Wright, 2001, 2005; Halse et al., 2007; Rich and Evans,
2005). Bio-pedagogies shape and form the body pedagogies of popular culture and schools and
are infused with performance and perfection codes. How individuals interpret and
recontextualize the inherent meanings and principles of such discourse determine how the body
is schooled. We need ask: what forms of corporeality emerge, or rather, are induced and enacted
in such contexts? Are some bodies privileged (authenticated), while others are abjectified,
damaged or defiled (see Figure 18.1)? How are the possibilities for experiencing health and
other forms of fulfilment governed by different levels of surveillance and one’s value position
in relation to preferred social norms? How is the corporeal device (see below) enacted within
various zones of influence or ‘networks of intimacy’ (e.g. including relationships between parents
and siblings, friends and partners (Heath and Cleaver, 2003: 47; Heath and Johnson, 2006;
Paton, 2007a,b; De Pian, 2008)), mediating somatically their signs, meanings and message systems
and how is ‘proximal development’ (Vygotsky, 1978) embodied in such contexts? Again,
sociology of education, properly ‘embodied’, would begin to throw light on these concerns.
Where does work on the body occur?
Pedagogical activity thus occurs not only in formal education and schooling but in other sociopolitical and cultural sites, such as families, schools, churches, mosques and doctors’ surgeries,
in which work on the body occurs, and in emerging socio-technological landscapes of new
media such as the Internet. Lupton (1999), for example, has argued that, for many lay people,
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SCHOOLING THE BODY IN A PERFORMATIVE CULTURE
Site Selective Surveillance
Zones of Affirmation/Authenticity
(Compliance)
Zones of Abjection/Alienation
(Conflict/Dissonance)
Self Regulation +
(‘Chosen’)
Self Regulation –
(‘Imposed’)
Affirmation/Authenticity
(Congruity/Compliance – self and society)
Abjection/Anomie
(Immolation/Alienation – self and society)
Total Surveillance
(TPS)
Figure 18.1 Zones of proximal influence – psych-social locations (of encoded meanings, signs and
symbols) in which individuals somatically experience ‘authenticity’ or ‘abjection’
depending on the proximity of their cultural values (and other relevant dispositions) to
those prevailing and valued within the particular social setting. Where the value systems
are ubiquitous and inescapable such as in TPS, some individuals or populations may
experience a profound and potentially destructive sense of anomie or alienation from their
embodied selves as resentment or disaffection is turned inward toward the embodied self.
mass media now constitute the most important sources of information about health and medicine.
As Lyons (2000: 350) contends: ‘previously, medical practitioners dominated coverage of health
and illness information, whereas today there are a variety of voices to be heard, including dissident
doctors, alternative therapists, journalists, campaigners, academics and so on’. Miah and Rich
(2008) have shown that many young people access health information not just from traditional
medical sources but from newspapers, magazines, television and other electronic media.
Research continues to highlight the importance of ‘media representations of health and illness
in shaping people’s health beliefs and behaviors’ (Giles, 2003: 318), critiquing many for their
‘ability to mislead and misinform the public about health issues’ (Giles, 2003: 217). Furthermore,
Miah and Rich (2008) argue that, with the advent of a range of digital platforms that merge
entertainment with the regulation of the body, such as Internet-based nutrition games and the
use of games consoles such as the Nintendo Wii Fit, cyberspace may be providing a forum for
new forms of regulative practices concerning health. (Armstrong, 1995). Environments, for
example the Wii Fit, provide contexts that allow the individual to ‘virtualize’ his or her identity,
leading to a ‘prostheticisation of the body within cyberspace’, through which it is projected.
Cyberspace has thus extended the means through which body pedagogies and mechanisms of
self-surveillance of the body can be articulated. In so doing, these contexts invoke a particular
ontology of the body as materiality and flesh, but also as a prosthetic that represents itself in some
fixed capacity within cyberspaces (Rich and Miah, 2009).
Body-centred discourses (e.g. around obesity) do not, then, reach straightforwardly into the
lives of young people and certainly not only through formal educational practices, but circulate
globally through the media and websites as forms of ‘popular pedagogy’ before finding their
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way into schools, both through official policies and initiatives (Evans et al., 2008b). Health
discourse as popular pedagogy is formed as part of a relentless cycle of policy and spin, generating
initiatives that reach way beyond the school setting. In this context, formal education constitutes
a relatively small, yet extremely significant, element in the configuration of processes by which
the body is now schooled. It both refracts and helps forge global ‘healthscapes’, the ‘symbolic
universes’ and meaning systems that reconfigure people’s lives. As others have pointed out,
such scapes know no physical nor geographical boundaries, are almost always hierarchical and
linked to ‘global ideoscapes and mediscapes of abjection’, now commonly ‘associated with food,
waste and sexual difference’ (Kenway et al., 2006: 129, citing Kristeva, 1982). They also note
that, in popular culture, ‘the abject’ has ‘come to be associated with those bodily fluids, people,
objects and places that are depicted as unclean, impure, and even immoral’:
The ‘abject’ disturbs ‘identity, system, order’ (Kristeva, 1982: 4) and provokes the desire
to expel the unclean to an outside, to create boundaries in order to establish the certainty
of the self. It involves the erection of social taboos and individual defences. Insofar as the
abject challenges notions of identity it must be cast out. Abjection involves the processes
whereby that or those named unclean are reviled, repelled, and resisted.
(Kenway et al., 2006: 120)
Increasingly, ‘the abject’ in affluent cultures are those who either cannot or will not ascribe to
health discourse and its ‘slender body’ ideals, more often than not the working-class poor, or those
who, because of their ethnicity, culture or lifestyles (e.g. single-parent families), are blamed and
shamed for purportedly prohibiting their offspring to exercise regularly and eat the correct foods
at the correct time. Whether inadvertently or intentionally, such ‘scapes of abjection’ ‘justify
injustice, draw attention away from social suffering and thus deny the social reality of the marginalized . . . while constructing the poor as “the source of pollution and moral danger” (Sibley,
1995: 55)’ (Kenway et al., 2006: 120–121). Transmitted uncritically through the informal and
formal practices of communities and schools, contemporary health discourse may serve such social
functions, reproducing social hierarchies while damaging the identities of the most vulnerable.
The complexity of embodied social reproduction
Given that complex processes of socio-cultural reproduction involve multiple sites of practice,
multiple agencies and meaning systems and the need to avoid overdetermination in accounts
of how health discourse is reproduced as pedagogy, any sociology of education interested in
the body would need to explore how obesity and wider body-centred discourse are translated
into principles of communication. How are they recontextualized within particular social
settings, afforded different levels of influence, and how are prevailing meaning systems, rules
and resources within them either adopted, adapted, resisted or reshaped through individual
‘knower structures’ (Maton, 2006) given by culture and social class? In the flow and
recontextualization of discourse within and between sites of practice, such as translation of
government policies into school policy/initiatives, gaps open up, creating a space in which
‘ideology can play’ (Bernstein, 1996: 47). Individuals can read, interpret and recontextualize
received wisdom or ‘sacred’ health knowledge that schools and other sites of practice convey
through the cognitive filters of their culture and class. Research has persistently emphasized
that young people are neither cultural dopes nor dupes, recontextualizing health knowledge
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critically through their own ‘knower structures’, their personal, culturally encoded, affective
understandings of their own and others’ bodies and health, within the framework of the
imperatives of health education policy and the performative cultures of their schools.
The corporeal device
Used insensitively, a Foucauldian perspective may foster the notion that our individual
subjectivity is merely an epiphenomenon, a discursive production of multiple knowledge(s)
brought into play on the body by various ‘technologies of truth’. This is not altogether unhelpful,
enabling us to register differences between knowledge and ideology and to see that some
(‘health’) knowledge(s) may be considered ‘sacred’ (objective, detached, unambiguous, predictive
and reliable), others profane (contaminated by the subjectivities and immediacies and values
systems and ideologies of everyday life) and of little value in formal education. All such discourses,
however, are always, inevitably, mediated for individuals through their material, flesh and blood,
sentient, thinking and feeling bodies, their actions and those of their peers, parents/guardians
and other adults, usually within complex networks of relative intimacy that exercise various
levels of influence over them. As a way of articulating the materiality of the lived experiences
typically associated with acquiring the attributes required by obesity discourse and ‘the actual
embodied changes resulting form this process’ (Shilling, 2005: 13), we have been inclined,
pace Bernstein, to talk of the ‘corporeal device’, to focus on the body as not just a discursive representation and relay of messages and power relations external ‘to itself ’ but as a voice ‘of itself ’
(Evans et al., 2009). As a material/physical conduit it has an internal grammar and syntax given
by the intersection of biology, culture and the predilections of class, which regulate embodied
action and consciousness, including the ways in which discursive messages (and all other social
relations) are read and received. This concept, we suggest, privileges neither biology nor culture
and endorses Frank’s (2006: 433) view that neither ‘the experience of embodied health nor
the observation of signs of health circulating outside bodies has to trump the other as being
the real point of origin, rather, each is understood as “making the other possible”’. Others have
rediscovered Pragmatism (Shilling, 2008b) and the works of John Dewey (1997) (Quennerstedt,
Öhman and Ohman, 2010, forthcoming) to articulate similar concerns. How the corporeal
device finds expression as conscious and subconscious embodied action and is subjectified (given
shape, form and definition as ‘personality’) in and outside schools should be an enduring concern.
At one level, it signals a concern with how body-centric health knowledge(s) produced in the
primary field of knowledge production in science communities comes to be considered
‘the thinkable’ and ‘sacred’; that is to say, ‘official truth’ as to what we ought to believe about
the body and its capacity for health, fit to be purveyed in schools. At another level, it involves
an exploration of embodied subjectivity, tracing how health knowledge(s), recontextualized
within popular culture (through TV, websites and other media imagery), translate into
education/health policies directed at schools. Mediated by teachers’ and pupils’ class and cultures,
official health knowledge may become separated or dislocated from everyday health knowledge,
which may become reclassified and read as unhealthy or ‘profane’.
Conclusion
Across affluent Western and westernized worlds, young people are being both privileged and
marginalized by popular cultural practices and their education and schooling. Increasingly, they
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have to deal with the normalizing expectations and requirements of performative culture and
body-centred health (e.g. obesity) discourse. Understanding how they evade, accommodate or
recontextualize relentless and penetrating surveillance of their bodies in school time and space
requires us to press beyond analyses of the intrinsic content of body-centred health ‘messages’
to consider ‘the voice’ of education itself and how it is shaped by the pedagogic device.2
Contemporary health discourse nurtures a language, grammar and syntax with regulative and
instructional principles and codes that define thought and embodied action, a ‘meaning
potential’ for ‘health’, largely in terms of weight, size and shape, where the solution to ‘problems’
is a matter of weight loss through taking more exercise and eating less food. Its language relates
to global trends in policy and pedagogies on education and health that inadvertently endorse
actions which both sustain social hierarchies and may be damaging for some young people’s
education and health.
Globally, an increasing number of educational issues, conversations, programmes and
curricula are organized and operationalized on the basis of body-centred concerns with weight.
As a consequence, certain problems are arising in relation to the well-being of young people.
As Shilling (2008a) and others (e.g. Campos, 2004; Evans et al., 2008b; Grogan, 1999; Halse
et al., 2008) have noted, the first is that the emphasis on shape, weight and ‘fitness’ concerns
in school overlooks or marginalizes a whole series of other considerations that are important
to young people, which are not provided with a place in this schema. Second, the effects of
focusing on body and weight issues in school environments, already saturated by particular
expectations regarding educational achievement, can be potentially devastating. It is hardly
surprising that research is documenting young people increasingly constructing their identities
and subjectivities, health and illness, through the language of performativity and health
discourses that dominate contemporary culture in and outside schools. But they are not simply
duped, nor are their problems merely discursive reflections of pressures endemic in society and
schools. Young people neither simply read nor internalize these body-centric messages
uncritically or merely ‘cognitively’ through disembodied ‘knower structures’. They are mediated
somatically and within their sub-cultural location in a specific time and space. Research evidence
attests that young people tend to locate their difficulties viscerally and relationally in antecedent
experiences of their fast-changing, sometimes awkward, less than ‘perfect’ bodies, among their
families, teachers and peers. Within these networks of relative intimacy, their changing bodies
are inescapably subjected to their own and others’ evaluative gazes. For some, engaging in
‘deviant’ actions, for example, radical body modification involving excessive exercise and eating
little or no food, experiencing the joy of achieving the distinction of ‘thin’ beyond the slender
ideal, becomes a perfectly rational, morally acceptable goal that avoids the pain of being ‘othered’,
made to feel different, less worthy and excluded. The sociology of education has barely begun
to investigate and understand how these processes enter the lived experiences of children and
young people through popular and formal pedagogies that feature in and outside school.
The growing pressure wrought through contemporary body-centric policies and their
associated pedagogies to obtain ‘the right’ body size/shape is not, then, simply about being
healthy, but carries moral characterizations where the ‘obese’ or ‘overweight’ become lazy,
self-indulgent and greedy. Body-centric narratives, infused with performance and perfection
codes, sieve, separate, celebrate and vilify manifest body shape and form. They simultaneously
celebrate and abjectify particular lifestyles, people, positions and actions. Such a performative
culture, for example, induces individuals from a disturbingly young age to learn to fear and
loathe bodies that are not the correct shape or weight; control, virtue and goodness (hence,
‘acceptance’, employability and trainability) are to be found in slenderness and processes of
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becoming excessively thin. Responsibility falls upon individuals to accept that correct diet,
involvement in physical activity and the pursuit of ‘perfection’ academically are moral as well
as corporeal obligations. Given the social sanctions that accompany this discourse, including
bullying, stigma and labelling, particularly reported by young people defined by their peers as
‘fat’, it is hardly surprising that some not only take drastic action to lose weight but became
seriously depressed, as well as physically ill.
The sociology of education needs to engage with changing worlds in which health and other
body-centred discourses are configured. Further theoretical and empirical work on such issues
is badly needed, to engage with the paradox of rejecting the performative values that are driving
social change and current conceptions of health while accepting that there are immediate
problems to deal with in the form of poor diets, too few opportunities for play and exercise,
and ill health, having origins in the impoverished and inequitable social conditions of people’s
lives in a context of global capitalism. In Apple’s (2006) terms, unless we honestly confront
and think tactically about neo-liberal-inspired market proposals and neo-liberal purposes, we
will fail to create counter-hegemonic common sense about health or build counter-hegemonic
alliances. As Apple implores, our analyses have to be sufficiently connected to ways in which
conservative modernization has altered common sense and transformed material and ideological
conditions surrounding schooling, including those relating to the body and health. They also
have to be aware of, and draw on, alternative belief systems and conceptions of ‘health’ and
embodiment and strategies for disseminating them when contesting current health policy
orthodoxies and pedagogic modalities. Doing so would locate ‘the body’ and embodied
learning as central to sociology of education’s concerns.
Notes
1
2
In such contexts, concern for the shape and ‘health’ of ‘the body’ is no longer the preserve only of
those areas of the curriculum historically concerned with body issues, such as physical education,
health education or personal and social education, but is regarded as everyone’s concern in
classrooms, playgrounds, dining halls and corridors. No one and ‘no body’ escapes the evaluative
gaze. These changes, then, concern internal and external forms of regulation and the range and
reach of authority and control into the lives of individuals and populations (Evans et al., 2008b).
Bernstein (1990: 190) refers to the voice of pedagogy that is constituted by the pedagogic device: ‘a
grammar for producing specialized messages (and) realizations, a grammar which regulates what it
processes: a grammar which orders and positions and yet contains the potential of its own
transformation’. Body-centred discourses constructed outside schools help form pedagogic discourse,
foregrounding its instructional and regulative dimensions whose understanding needs to precede
our attempts to understand how body pedagogies nurtured inside schools are infused with competence,
performance and perfection codes, whose principles regulate but cannot ‘determine’ the embodied actions
and positions of individuals. The discursive intersection of instructional and moral imperatives forms
pedagogic discourse and provides principles that configure body pedagogies and implicit pedagogic
positions and identities that circulate in popular culture and schools’ health curricula and young
people’s responses to them.
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19
Tracking and inequality
New directions for research and practice
Adam Gamoran1
For more than a century, educators and researchers have debated the merits of separating students
for instruction into different tracks, classes, and groups, according to their purported interests
and abilities (for historical perspectives, see Loveless, 1998, 1999; Oakes, 2005; Oakes et al.,
1992; Powell et al., 1985). The practice, known as “tracking” and “ability grouping” in the
US and “streaming” and “setting” in the UK, is intended to create conditions in which teachers
can efficiently target instruction to students’ needs.2 Despite this intended benefit, tracking has
been widely criticized as inegalitarian, because students in high tracks tend to widen their
achievement advantages over their low-track peers, and because measures of school performance
commonly used to assign students to tracks typically coincide with the broader bases of social
disadvantage such as race/ethnicity and social class, leading to economically and/or ethnically
segregated classrooms. Yet tracking has been highly resistant to lasting change and remains in
wide use in various forms in the US, the UK, and in school systems around the world.
Although struggles over tracking involve instructional and political challenges that play out
in schools and classrooms, the persisting debate reflects not only local concerns but also broader
tensions inherent in education systems (Oakes et al., 1992). On the one hand, schools are charged
with providing all students with a common framework of cognitive and social skills essential
for full participation in the civic and economic activities of adult society. On the other hand,
schools are structured to sort and select students for different trajectories aligned with their
varied orientations and capacities. This ongoing tension between commonality and differentiation is at the heart of the tracking debate: Is the purpose of schooling to provide all students
with a common socialization? Or is it to differentiate students for varied futures? The former
aim is consistent with mixed-ability teaching, whereas the latter is consistent with tracking, and
the debate has no simple resolution because school systems embody both goals.
Building on past research, recent work on tracking has advanced in three areas that indicate
promising new directions for research and practice. First, new international scholarship has
extended knowledge about the consequences of tracking for student achievement to contexts
beyond the US and UK, where most prior research had been conducted. Second, recent studies
of attempts to reduce or eliminate tracking and ability grouping have yielded important insights
about why tracking is resistant to change and how some of the obstacles to detracking may be
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surmounted. Third, a new wave of research on classroom assignment and instruction has pointed
towards approaches that, while not resolving the tension between commonality and differentiation, may capture the benefits of differentiation for meeting students’ varied needs without
giving rise to the consequences for inequality that commonly accompany tracking and ability
grouping. These findings in turn call for new research and experimentation in practice.
Before turning to these latest findings, I summarize the earlier literature on the effects
of grouping and tracking on student achievement. This research has been well covered in
prior reviews (e.g. Gamoran, 2004; Gamoran and Berends, 1987; Hallam, 2002; Harlen and
Malcolm, 1997; Kulik and Kulik, 1982; Oakes et al., 1992; Slavin, 1987, 1990), but I begin
with it here because it sets the stage for the promising work of the present and the new directions
for the future. Thus, the remainder of this chapter is divided into four sections: a review of
findings about tracking and achievement that links work from the 1970s, 1980s, and 1990s
to updated studies in the same vein; a discussion of recent international research on
tracking, both between and within schools; an analysis of new studies of efforts to reduce or
eliminate tracking; and a conclusion calling for new research and practice based on the latest
findings.
Tracking and achievement: increased inequality without
benefits to productivity
Following Gamoran and Mare (1989), one may distinguish between two possible consequences
of tracking for achievement: it may affect productivity, that is, the overall level of achievement
in the school or class; and it may affect inequality, that is, the distribution of achievement across
the different tracks, classes, or groups. Although not all studies have reached the same
conclusions about these outcomes, the weight of the evidence indicates that tracking tends to
exacerbate inequality with little or no contribution to overall productivity. This occurs because
gains for high achievers are offset by losses for low achievers. A compelling example of this
pattern comes from Kerckhoff ’s (1986) study of ability grouping between and within schools
in England and Wales. Kerckhoff used data from the National Child Development Study, which
followed for more than thirty years all children born in the UK in the first week of March in
1958. He examined secondary school achievement in reading and mathematics among students
enrolled in schools for high achievers (grammar schools), low achievers (secondary modern
schools) and those of widely varying achievement levels (comprehensive schools). He also
compared students assigned to high, middle, low, and mixed-ability classes within the different
types of school. Comparisons between and within schools told a consistent story: There were
no overall benefits to average achievement in contexts that differentiated students for instruction
as compared with mixed-ability contexts. However, sorting students into selective schools and
classes was associated with increasing gaps between high and low achievers over time (see also
Kerckhoff, 1993). The comparison of tracking to mixed-ability teaching has received less
attention in the US because tracking has been nearly universal at the secondary level (Loveless,
1998), but comparisons of ability-grouped with mixed-ability classes in middle school
mathematics and science (Hoffer, 1992) and English (Gamoran and Nystrand, 1994) have yielded
the same pattern. National survey analyses in the US also demonstrated that, over the course
of high school, students assigned to high and low tracks grow farther and farther apart in
achievement (e.g. Heyns, 1974; Alexander, Cook and McDill, 1978; Gamoran, 1987a, 1992;
Gamoran and Mare, 1989; Lucas and Gamoran, 2002).
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Because track location is correlated with traditional bases of socio-economic disadvantage,
tracking not only widens achievement gaps but also reinforces social inequality (Lucas and
Berends, 2002; Oakes et al., 1992). In contrast to socio-economic status, which has direct effects
on track assignment, race and ethnicity affect track assignment indirectly: Minority students
whose test scores and socio-economic background match those of Whites are no less likely to
be placed in high tracks (Gamoran and Mare, 1989; Lucas and Gamoran, 2002; Tach and Farkas,
2006). However, because minority students tend to reach high school with lower test scores
and less advantaged socio-economic circumstances, tracking works to the disadvantage of
minority students and contributes to achievement gaps.
As the demographic make-up of US schools has changed, new patterns of inequality associated
with tracking have become more salient. With regard to language minority students, Callahan
(2005) argued that schools often conflate limited proficiency in English with limited ability to
master academic content. As a result, English language learners are tracked into classes with
modified curricula that are less rigorous than those of regular classes, which prevents these
students from gaining access to advanced instruction even as their language skills develop. While
Callahan supported these assertions with a study of a rural California school, Paul (2005) reached
a similar conclusion based on her study of five diverse urban schools. Paul noted that enrollment
in algebra 1, the gateway to the college-preparatory curriculum, was stratified by race and
ethnicity, with Asian American and White students enrolled in higher proportions, and African
American and Hispanic students enrolled in lower proportions. When English language learners
enrolled in the same levels of algebra as fluent English speakers, they had similar rates of collegepreparatory course work. Foreshadowing this work, Padilla and Gonzales (2001) argued that
one reason recent immigrants to the US from Mexico outperform second-generation students
is that the immigrants have spent less time in low tracks in US schools.
New forms of tracking in the US have exhibited patterns of inequality comparable with
those of earlier forms. Using high-school transcripts from a national sample of students, Lucas
(1999) showed that students were grouped on a subject-by-subject basis rather than by broad
curricular programs. Nevertheless, students’ course levels tended to correlate across subject areas,
and this more subtle version of tracking still resulted in achievement inequality. Mitchell and
Mitchell (2005) demonstrated that multi-track, year-round schools also tended to stratify students
by social origins. Both Lewis and Cheng (2006) and Mickelson and Everett (2008) found that
the transformation of vocational education into career and technical education, though
accompanied by greater emphasis on academic work within technical courses of study, still
resulted in stratified class enrollments.
Generally, elementary and middle schools have witnessed a pattern of increasing inequality
similar to that observed at the high school level (e.g. Gamoran et al., 1995; Hoffer, 1992; Rowan
and Miracle, 1983). Until recently, national data have been available only at the secondary level,
so it was not possible to examine the generalizability of patterns of inequality associated with
elementary school ability grouping. However, recent analyses of data from a national sample
of children who entered kindergarten in 1998 have confirmed the pattern of widening gaps
for within-class reading groups in kindergarten (Tach and Farkas, 2006). Using later waves of
the same data, Lleras and Rangel (2009) reported similar findings for between-class ability
grouping in Grades 1 and 3. Taking exception to the general pattern, Slavin (1987) reported,
based on a synthesis of research on elementary school grouping, that within-class grouping for
mathematics had positive effects for students in low-ranked as well as those in high-ranked
groups. Slavin also noted that, when students were regrouped for specific subjects, rather than
being tracked for the entire school day, ability grouping had positive effects for students at all
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achievement levels. On the basis of these findings, Slavin proposed that elementary school ability
grouping can have positive effects when assignment is based on criteria relevant to the subject,
when students can be moved from one group to another as appropriate to their progress, and
when curriculum and instruction are differentiated to meet the needs of students assigned to
the different groups.
Slavin’s conclusions have recently been reaffirmed by Connor and her colleagues (Connor
et al., 2007; Connor et al., 2009). Connor’s work shows that small reading groups can be used
effectively to tailor reading instruction to students’ needs. In a randomized comparison, Connor
et al. (2007) reported that students taught by teachers who arranged students into reading groups
according to carefully assessed student performance levels, and who aimed instruction at students’
specific needs, performed much better by the end of first grade than those taught by teachers
who did not have access to the systematic approach to assigning students and differentiating
instruction. Though based on less precise evidence, Tomlinson et al. (2003) advanced similar
claims about the value of within-class differentiation of instruction as a strategy for effective
teaching of students with varied interests and skills.
Challenges in measuring track effects
Two methodological challenges have confronted researchers studying the impact of tracking
and ability grouping on student achievement. One challenge has been to measure accurately
students’ group and track locations. At the secondary level, research from the 1970s and 1980s
often relied on students to report whether their curricular programs could best be described as
academic/college-preparatory, vocational, or general. This social-psychological measure of tracking
was useful as an indicator of students’ perceptions, but did not necessarily represent students’
actual learning opportunities. Lucas (1999) developed a structural measure of track location by
using students’ transcripts to identify tracks based on the courses students had taken. Lucas and
Gamoran (2002) showed that structural and social-psychological dimensions of tracking had
independent effects on student achievement, and both contributed to achievement gaps. Other
researchers have used network analysis techniques to identify tracks through the configuration
of courses in which students enroll (Friedkin and Thomas, 1997; Heck et al., 2004), reaching
similar conclusions about tracking and inequality. More recent studies have also uncovered
inequality using teacher reports to distinguish among ability groups at high, middle, and low
levels (Carbonaro, 2005; Tach and Farkas, 2006).
The second methodological challenge has been to distinguish the effects of track assignment
from the effects of pre-existing differences among students assigned to different tracks.
Obviously, students in high and low tracks are on different achievement trajectories to begin
with; that is how they came to be located in different tracks. All the analyses discussed here
have controlled for prior achievement and social background, but owing to unreliability and
measurement error, not all pre-existing conditions may have been captured by the controls,
and the potential for selectivity bias remains. Researchers have endeavored to respond to this
challenge in two ways. First, a few studies, mainly prior to 1970, used random assignment to
tracked or untracked settings to rule out selectivity bias (Slavin, 1987, 1990). These studies
yielded widely varying estimates of track effects that centered around zero. Because they provided
little information on what was going on inside the tracks, it is difficult to assess the generalizability
of these small and long-ago experiments. In at least some cases of zero effects, teachers
designed instruction and curriculum to be the same across tracks, in contrast to the real world
where tracking is typically accompanied by curricular and instructional differentiation. These
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findings led Gamoran (1987b) to argue that the effects of tracking depend on how it is
implemented, a conclusion later supported by both case study (Gamoran, 1993) and survey
analyses (Gamoran, 1992).
Second, researchers have used econometric techniques to mitigate selectivity bias. Gamoran
and Mare (1989) estimated endogenous switching regressions that model track assignment and
track effects simultaneously, allowing for correlated errors among unobserved predictors of
assignment and outcomes. Their results, which focused on mathematics achievement and high
school completion for the high school class of 1982, indicated that the pattern of increasing
inequality observed in standard regression analyses with rich controls was upheld in the more
complex technique. Lucas and Gamoran (2002) replicated these results for the high school class
of 1992, as well as the class of 1982, and with course-based as well as self-reported indicators
of track location. Again, the main findings were upheld. However, Betts and Shkolnik (2000),
who estimated both propensity models and two-stage least squares regression models of track
effects on mathematics achievement, concluded that the differential effects of tracking for
students in high and low tracks were much smaller than reported in earlier studies that relied
on simple regressions. Figlio and Page (2002) similarly called into question the inequality
consequences of tracking on secondary school math achievement, on the basis of two-stage
least squares regression models.3 While it is premature to conclude that tracking is not harmful
to low achievers, these studies, combined with the early experimental research, suggest the
effects may be smaller than is typically assumed. Since Gamoran and Mare focused on broad
curricular tracking, while Betts and Shkolnik and Figlio and Page examined between-class ability
grouping, the findings may also indicate that the latter are less consequential for inequality than
the former.
Mechanisms of track effects on achievement
With few exceptions, the evidence indicates that tracking tends to magnify inequality. Why is
that the case? Conceptually, researchers have identified mechanisms of social comparison as
well as differentiated instruction, but empirically it appears that instructional variation across
tracks and groups at different levels is the more prominent reason for increases in achievement
gaps between tracks. A number of studies have concluded that students in high tracks encounter
more challenging curricula, move at a faster pace, and are taught by more experienced teachers
with better reputations, while students in low tracks encounter more fragmented, worksheetoriented, and slower-paced instruction provided by teachers with less experience or clout (for
reviews, see Gamoran, 2004; Oakes et al., 1992). These findings have emerged at the elementary,
middle, and high school levels. Instructional differences reflect not only what teachers do in
classrooms, but also how students respond. A recent finding along these lines comes from the
work of Carbonaro (2005), who demonstrated that achievement diverges in part because hightrack students put forth more effort on their schoolwork than low-track students. While this
finding reflected, in part, low-track students’ responses to instruction that was less intellectually
stimulating than the instruction given to high-track classes, it also stemmed from differences
that students brought with them to class.
Other new examples of instructional mediation of track effects come from both hypothesistesting and interpretive research. In a study of sixty-four middle and high school English classes,
Applebee et al. (2003) reported greater use of discussion-based approaches to literature
instruction in high-ability than in low-ability classes, and this difference accounted for just over
one third of the effect of ability group assignment on writing performance. Discussion-based
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approaches included authentic questions and uptake (questions with no prespecified answer
and those that build on prior statements), open discussion, drawing in multiple perspectives
(envisionment-building), and conversations that connected different curricular topics. Watanabe
(2008) reported parallel instructional differences based on in-depth analyses of 68 hours of
classroom observation in two teachers’ language arts classes. In high-ability classes, she found
more engagement with challenging and meaningful curricula, more writing assignments in more
diverse genres, and more feedback from teachers, as contrasted with more emphasis on test
preparation in low tracks.
Findings that instructional differentiation accounts for much of the effect of tracking have
led some observers to conclude that tracking per se does not generate inequality, but rather
inequality has emerged because of the way in which tracking has been implemented (e.g.,
Hallinan, 1994). If instruction in low tracks could be effectively geared towards students’ needs,
this argument states, then tracking might mitigate rather than exacerbate inequality. While
reasonable in principle, this goal has proven difficult to accomplish in practice, and there are
few examples of effective instruction in low-track classes (for exceptions, see Gamoran, 1993,
and Gamoran & Weinstein, 1998). At the same time, it is important to acknowledge that most
studies of ability grouping and curriculum tracking have found that high-achieving students
tend to perform better when assigned to high-level groups than when taught in mixed-ability
settings. Proponents of tracking tend to emphasize the benefits of high-level classes for highachieving students, with little attention to implications for inequality, while critics tend to focus
on inequality without acknowledging the effects for high achievers. As a result, proponents
and critics are apt to talk past one another with little chance for resolution, and studentassignment policies often lurch from one system to another, without recognition of the
strengths and shortcomings of each (Boaler et al., 2000; Gamoran, 2002; Tsuneyoshi, 2004).
New international research on tracking and achievement
An emerging body of international work is largely consistent with the findings from the US
and the UK. Perhaps the most revealing results come from new cross-national studies of
international achievement data. Analyses from PISA 1999 (Program on International Student
Assessment), a study conducted in twenty-eight OECD countries, indicated that countries with
more differentiated school systems are characterized by greater inequality by social origins
in reading achievement (OECD, 2002). Hanushek and Woessmann (2006) reinforced this
conclusion by comparing twenty countries that participated in both PISA and PIRLS (Progress
in International Reading Literacy Study), showing that achievement inequality tends to increase
more between the primary and secondary grades in countries that practice early tracking than
in countries that do not. Similarly, research on twenty-four countries that participated in TIMSS
2003 (Trends in International Mathematics and Science Survey) at Grades 4 and 8 showed that
countries that rely on between-class ability grouping for mathematics exhibit more growth in
achievement inequality from Grades 4 to 8 than countries that make less use of ability grouping
(Huang, in press). These findings are consistent with numerous single-nation studies showing
that tracking tends to reinforce inequality.
A recurring theme in the international work is that grouping and tracking come in many
forms, a point that is easily missed when one focuses on a single nation. For example, countries
differ on whether tracking occurs largely between schools (e.g. Japan, Germany), within schools
(Australia, Belgium, Israel, US), or both (Taiwan, UK). In these different tracking systems, the
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scope of tracking may be wide (covering many subjects) or narrow (implemented on a subjectby-subject basis). Countries also differ on whether differentiation is introduced early or late, and
whether or not the system is flexible enough to allow mobility between tracks. These structural
differences were anticipated by Sørensen (1970), but have been greatly elaborated as international
differences have become evident (LeTendre et al., 2003). What is striking about the variation
in the forms of tracking, however, is that the results are broadly similar: where tracking systems
are present, achievement tends to diverge, and to reinforce initial differences by social class. New
studies from Japan (Ono, 2001), Korea (Park, 2009), South Africa (Hoadley, 2008), Israel
(Ayalon, 2006), Germany (Cheng et al., 2007), Belgium (Van de Gaer et al., 2006; Van Houtte,
2004), and the UK (Boaler et al., 2000; Ivinson and Duveen, 2005; Ireson et al., 2002) all identify
aspects of increasing inequality associated with grouping between or within schools. Moreover,
as ethnic minority groups increase in size, and ethnic inequality is increasingly recognized in
nations that were formerly relatively homogeneous (such as European countries with new
populations of guest workers), researchers are finding that tracking reinforces ethnic inequalities
(Cheng et al., 2007). Ivinson and Duveen (2005) in the UK and Ayalon (2006) in Israel also
demonstrated that horizontal differentiation (i.e. divisions between subjects) tend to stratify
students by social origins, just as does vertical differentiation (divisions between levels). Finally,
Van Houtte (2004) presented findings from Belgium that supported the conclusion from US
research that track effects are driven by instructional differences to an important degree.
Within this common framework, interesting differences also emerge. For example, in
countries with well-articulated standards tied to curriculum and assessment, the harmful effects
of tracking may be mitigated by incentives for success in lower level classes. Broaded (1997)
reported that high-stakes exams targeted at different achievement levels in Taiwan led all
students, including those in low tracks, to work hard at their studies, and, as a result, tracking
contributed to smaller achievement inequalities. Similarly in the case of Israel, Ayalon and
Gamoran (2000) found that schools with multiple ability levels within college-preparatory
mathematics programs tended to have less inequality by social origin than schools with only a
single level. They attributed this result to meaningful incentives attached to lower level
mathematics courses that, like higher level courses, led to high stakes assessments at the end of
high school. Likewise, a secondary curriculum reform in Scotland that raised standards for lower
level students resulted in declining inequality of achievement over time (Gamoran, 1996), and
in Australia, a reform in secondary English that reduced the number of tracks and simultaneously
raised standards in low tracks may have boosted test scores overall (Stanley and McCann, 2005).
In the US, a parallel finding is that Catholic schools, which place more academic demands on
students in lower tracks than public schools, tend to exhibit less achievement inequality between
tracks than public schools (Gamoran, 1992). These findings reinforce Broaded’s (1997)
conclusion that the impact of tracking is context-dependent and suggest that, in principle,
tracking’s pernicious effects on low achievers can be reduced or eliminated. Thus far, however,
attempts to use ability grouping to raise achievement in the context of high standards in US
public schools have met with limited success (Lewis and Cheng, 2006; Mickelson and Everett,
2008; Sandholtz et al., 2004).
New insights from US research on detracking
More than fifteen years ago, Oakes (1992) insightfully identified three challenges to detracking:
normative challenges, based on long-standing beliefs that young persons differ by ability and
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that schools should be structured to meet those differences; political challenges, reflecting the
difficulty of overcoming vested interests in tracking such as those held by parents of highachieving students and by teachers who enjoy teaching honors classes; and technical challenges,
reflecting the difficulty of instructing students of widely varying levels of performance, a task
for which few teachers are prepared. Most of the emphasis in Oakes’ subsequent work (see
especially the 2005 edition of her classic book, Keeping track) and that of her colleagues and
students (e.g. Oakes and Wells, 1998; Wells and Serna, 1996; Welner, 2001; Yonezawa et al.,
2002) has been on the normative and political challenges, reasoning that if these challenges
could be met, the technical difficulties could be overcome. Recent evidence, however, suggests
the opposite: failure to solve the technical problems of mixed-ability teaching is a major
impediment to addressing the normative and political challenges. While the technical challenges
have defied easy solution, recent work has identified conditions under which effective teaching
in mixed-ability contexts may be more successful than in the past.
Challenges of detracking
Loveless’s (1999) analysis of detracking reforms in California and Massachusetts revealed
substantial resistance from teachers who believed that they were not equipped to succeed
in instructing students at widely varying performance levels within the same classrooms.
Teachers’ attitudes towards detracking tended to differ by subject matter, with mathematics
and foreign language teachers more resistant than teachers in other subjects, owing to beliefs
about the sequential nature of knowledge in these disciplines (see also Ball, 1987; Gamoran
and Weinstein, 1998). Even in social studies, however, a subject area that might be viewed
as particularly conducive to mixed-ability teaching because of the potential for discussion
of topics from diverse viewpoints, detracking efforts have run into technical difficulties. One
case study found that teachers struggled to engage students in classes with widely varying
achievement levels: low-achieving students had difficulty with assignments, while highachieving students were bored (Rosenbaum, 1999). In another study, Rubin (2008) found
that detracking in social studies seemed to work well in a middle-class suburban school with
a relatively homogeneous population, as teachers emphasized active learning and differentiated assignments for students at different performance levels. However, detracked social
studies classes appeared less effective in a more diverse school, where teachers aimed more for
relevance than for high standards; and in an inner-city school with a low-income population,
detracking resulted in a highly routinized curriculum with little challenge for students. Rubin’s
observations in the inner-city school mirrored earlier findings by Gamoran and Weinstein
(1998) from an urban school in which tracking in mathematics was eliminated by diluting
the curriculum in mixed-ability classes to a level that all students could follow, with the result
that teachers complained students were not being prepared to move to more advanced
mathematics.
Ironically, findings from all three of these case studies (Gamoran and Weinstein, 1998;
Rosenbaum, 1999; Rubin, 2008) suggest that high-achieving minority students may have the
most to lose when detracking is unsuccessful. These students are often found in urban schools
where detracking has not resulted in challenging instruction in mixed-ability classes, and they
may lack the support outside of school to succeed in the absence of a challenging curriculum.
Rubin (2003) brought this problem to life based on interviews and observations of a highachieving minority student in a detracked school, who socialized with a small group consisting
of less academically oriented peers, to the detriment of her academic work.
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Some schools have attempted to reduce the use of tracking by allowing students to select
their own track assignments. Recent case studies suggest, however, that student choice is not
an effective detracking mechanism, because students tend to sort themselves into classes in much
the same way as a traditional tracking system, and with the corresponding results for social class
and race/ethnic divisions (Watanabe, 2007). Yonezawa et al. (2002) proposed that differential
access to information and varied aspirations among students contributed to this pattern. In
addition, they noted that minority students preferred classes in which they were not racially
isolated and in which their cultural backgrounds were valued. These findings reflect the familiar
tension between commonality and differentiation: while there may be benefits to students’
academic performance from pursuing a common curriculum, students are motivated by their
interests and social concerns, which may result in ethnic as well as academic divisions among
students.
Boaler and Staples (2008) uncovered mixed success in another detracking case study.
Initially, achievement gains appeared in one detracked school compared with two others that
did not detrack. However, the gains were not sustained over the three years of the study.
Moreover, the achievement benefits were not evident on the high stakes state standardized test,
and it is difficult at any rate to attribute achievement trends to any single reform in a sample
of three schools. Nonetheless, the study is enticing in its call for further examination of
instruction in detracked schools.
Addressing the technical challenge: differentiated instruction in
mixed-ability classes
Not all cases of mixed-ability teaching have met with frustration. In the same research project
that uncovered a case of diluted curriculum in a detracked school (discussed in the last section),
Gamoran and Weinstein (1998) also identified a successful instance of detracking in secondary
school mathematics. In this urban, east-coast high school, in which half the students were eligible
to receive free or reduced-price lunch, student performance on authentic assessments was the
highest of all the twenty-five highly restructured schools from which this case was drawn. In
this school, mathematics and science instruction were integrated in the same class, and student
work was project-oriented; for example, researchers observed students applying principles of
mathematics and physics in completing an assignment to design rides in an amusement park.
Students were assessed based on portfolios of work in a variety of subjects, and expectations
for students took into account their progress as well as the levels of excellence they had attained.
Moreover, students were expected to have mastered elementary mathematics, and, if they had
not, a Saturday tutoring program was available to help them along. Key elements that supported
a rigorous curriculum in a mixed-ability setting in this school were small classes (limited to
fifteen students), the supplemental tutoring program, a visionary leader who had selected a staff
with congruent attitudes, and the opportunity to interview students prior to students’ admission
to the school.
More recently, Burris and her colleagues (Burris et al., 2006, 2008) also identified cases of
high achievement in mathematics that resulted from a move to mixed-ability teaching. The
authors used an interrupted time series design to assess the impact of the reform, comparing
the achievement trajectories of schools before the reform with their trajectories afterwards, as
well as with the trajectories of other schools that did not undergo the reform over the same
time period. At the middle school level in this New York school district (Burris et al., 2006),
teachers implemented an accelerated curriculum for all students paired with a supplemental
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workshop to support students who had trouble keeping up. They also introduced common
preparation time for teachers and increased the use of calculators in class. At the high school
level, the low-track non-Regents class was eliminated, and all students were placed in
mathematics classes that led to the Regents diploma. Students who struggled with this class had
available to them a supplementary class that met three times each week. At both levels, student
achievement rose following the introduction of the reform. Achievement gaps narrowed as
low achievers gained more than high achievers, but there was no evidence that high achievers
suffered in their performance as a result of the reform. Achievement gains did not reflect
increasing high-school dropout rates; on the contrary, dropout rates declined over the period
of the reform. It should be noted that this case involved an economically advantaged school
district with relatively few high-needs students compared with other New York school districts.
The supplemental class also provided about 50 percent more mathematics instruction to lowachieving students.
The new research by Burris and colleagues is extremely important because it demonstrates
that detracking can result in gains for low achievers without the losses for high achievers observed
in earlier attempts. As in the case study reported by Gamoran and Weinstein (1998), however,
success was based in part on favorable circumstances, particularly the resources that enabled the
school to offer extra mathematics instruction for struggling students. This accomplishment calls
for replication in other contexts to assess its broader viability.
Conclusion: new directions for research and practice
While definitive solutions remain elusive, the present time is witness to exciting new prospects
for balancing the aims of commonality and differentiation in arranging students for instruction.
Recent findings lend support to two approaches that merit further experimentation in research
and practice: raising standards for low achievers in differentiated classrooms; and providing
differentiated learning opportunities in mixed-ability classrooms. The key to evaluating both
approaches will be careful monitoring of the nature and quality of instruction and the relation
between instruction and achievement, however students are arranged for class.
Raising standards for low-achieving students
The practical conclusion from years of tracking research that low-level, dead-end courses should
be eliminated is no longer seriously debated. High-school courses such as general math and
business English do not prepare students for post-secondary opportunities and are less effective
than regular courses such as algebra and college-preparatory English, even for students with
low skill levels in these areas. This conclusion still leaves open the possibility, however, that
meaningful instruction at all skill levels could make differentiated classes an effective way to
organize students for learning.
Critics of tracking such as Oakes (2005) argue that, because tracking is inherently stratifying,
it is just not possible to offer effective instruction to low-achieving students in ability-grouped
classes. Indeed, examples of high-quality instruction in low-ability classes are rare. Yet recent
international research shows that differentiated class settings for low achievers can be effective
when they are tied to meaningful outcomes, such as assessments that are aligned to the
curriculum, and provide access to jobs and further education. Studies from Taiwan (Broaded,
1997) and Israel (Ayalon and Gamoran, 2000) demonstrated that differentiation within academic
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programs in which meaningful instruction and valued incentives are present at all ability levels
can result in less inequality than systems of fewer levels in which low-achieving students lack
access to meaningful incentives. Other research from Scotland (Gamoran, 1996) and Australia
(Stanley and McCann, 2005) observed that the negative effects of tracking for low achievers
diminished when the degree of tracking was reduced and when academic standards in the lower
level classes were elevated. The common ingredient in all four cases was a meaningful assessment
that had value for students in lower-level as well as higher-level classes.
Do these findings have any bearing on the US, where classes for low achievers typically lack
meaningful incentives for effort or performance? The finding that Catholic schools obtain smaller
achievement gaps between tracks than public schools by providing more rigorous instruction
in low tracks, and cases of successful low-track instruction in Catholic schools (Gamoran, 1993)
and restructured public schools (Gamoran and Weinstein, 1998) merely show that exceptions
are possible, not that making low-track instruction more effective by raising standards overall
is a viable reform strategy for the US. The current emphasis on test-based accountability in the
US might, in principle, lead schools to create effective low-ability classes in order to meet
accountability requirements. However, the evidence so far suggests that accountability-driven
tracking is no more effective for low achievers than other forms of tracking (Sandholtz et al.,
2004). Based on insights from the international work, one can identify at least three elements
that would need to change to make low-track classes more effective: First, the assessments
towards which students were striving would need to be tied to futures that were more visibly
meaningful to students than is currently the case. At present, students are prodded to perform
on multiple-choice tests whose underlying standards are not evident to students and which
demand fragmented knowledge rather than coherent mastery of subject matter that has
relevance beyond the test itself. Second, the assessments would need to offer incentives for
students as well as schools; at present, schools are held accountable for student performance,
but the students themselves are not. Positive incentives such as access to jobs and/or postsecondary education would need to be offered, not merely negative sanctions such as denial of
a high school diploma. Third, the alignment between the course curriculum and the assessment
would need to be tighter than has typically been the case in the US.
Differentiating instruction in mixed-ability settings
Although detracking remains a challenging solution, with more examples of failure than success,
the findings of recent studies are positive enough to warrant further efforts. An examination of
reports of effective instruction in mixed-ability classes yields several common ingredients. First,
the success stories all recognize that students differ in the skills and interests they bring with them
to class. Successful cases reported by Burris, Gamoran, and Connor and their colleagues are not
instances in which teachers acted as if students were all alike. Instead, teachers responded to
variation among students in their teaching. Second, and correspondingly, all the successful cases
involved differentiated instruction within the mixed-ability setting. In the secondary school cases
reported by Burris, Gamoran, and their colleagues, differentiation involved supplemental instruction that was available for students who struggled with class materials. In Connor’s elementary
school research, differentiation meant carefully analyzing students’ skill levels, matching skills to
particular instructional strategies, and arranging students for instruction within classes in such a
way as to match the skill levels with instructional approaches. Third, teachers in each of these
cases had access to important resources that allowed them to supplement instruction and tailor
it to students’ needs. Future efforts would do well to keep these elements in mind.
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ADAM GAMORAN
Combining research on tracking with research on teaching
After a century of research on tracking and ability grouping, one might expect to see a definitive
answer to the question of how best to organize students for instruction. Yet the dilemma persists,
because the goals of commonality and differentiation lie in uneasy proximity to one another,
because every approach has disadvantages as well as advantages, and because the consequences
of different solutions vary by context. Research in the last decade has made important progress,
however, by focusing on the instruction provided to students assigned to class in different ways.
Ultimately, how students are arranged matters less than the instruction they encounter, so
bringing together research on tracking with research on teaching offers the most useful way
to continue to shed light on this topic of continuing interest.
Notes
1
2
3
The author is grateful for helpful research assistance from Michelle Robinson and exceptional editing
from Cathy Loeb.
US writers often use the terms “tracking” and “ability grouping” interchangeably. For brevity I use
the single term “tracking” to capture all the various forms of structural differentiation for instruction.
When distinguishing among different forms, I use the term “tracking” to refer to the practice of
dividing students into separate classes (or clusters of classes) for all of their academic subjects, and
the term “ability grouping” to mean the division of students into classes on a subject-by-subject
basis. This use parallels the different meanings of the terms “streaming” and “setting” used in the
UK. I use the terms “within-class ability grouping” to refer to the use of instructional groups within
class for a particular subject, and “between-school grouping” to refer to systems in which students
are assigned to separate schools targeted to different futures on the basis of varied academic
performance.
Models estimated by Betts and Shkolnik (2000) and Figlio and Page (2002) rely on very strong
assumptions, so their results should be interpreted with particular caution. Betts and Shkolnik’s
conclusions rest on comparisons of classes at similar ability levels as reported by teachers but located
in schools that differed on whether the principal reported that tracking was used for mathematics.
Yet teacher reports of class ability levels may reflect between-class ability grouping irrespective of
the principal’s report. Figlio and Page (2002) used as instruments for track assignment indicators
that, on the face of it, seem far-fetched: two- and three-way interactions between the number of
courses required for graduation, the number of schools in the county, and the fraction of voters in
the county who voted for President Reagan in 1984. Weak instruments would undermine the
estimates of track effects and could bias them towards zero.
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228
20
Economic globalisation, skill formation and
the consequences for higher education
Phillip Brown and Hugh Lauder
Introduction
There are striking parallels between the stories that were told to justify economic policy over
the past decade in Britain and America and the stories that have been told about the benefits
of globalisation and the knowledge economy. Just as we have been told that the business cycle
could be abolished – the end to boom and bust – so the advent of the ‘knowledge’ economy
was accompanied by claims that, for those who invested in education, the rewards would be
great. The management guru Peter Drucker (1993) argued that we were in a new stage of
capitalist development that would lead to a fundamental shift in power from the owners and
managers of capital to knowledge workers. Not only would they assume power, but with it
would come greater autonomy, creativity and rewards.
This is a story that politicians and policy makers have sold to the public and it has placed
education at the centre of questions of economic competitiveness and social justice. In this
scenario, Drucker’s thinking echoes the pioneering work of Bell (1973), who predicted that
the growing importance of ‘knowledge’ work, reflected in the historical shift from blue-collar
to white-collar work, would significantly raise the demand for educated workers and give them
greater autonomy in paid work.
The fundamental problem with this beguiling vision is that it does not take into account
the power relations and imperatives of capitalist economies. There is little doubt that there
have been significant changes in the division of labour and the nature of work in developed
capitalist economies, in which issues relating to the control of knowledge work have been linked
to economic globalisation. But rather than these changes leading to greater creativity and
autonomy for the majority of knowledge workers, only a minority has benefitted, while the
majority is being confronted by routinisation created by intense global competitive pressures
and a resulting labour market for high-skilled, low-waged work. Routinisation has been
developed through the process of digital Taylorism, which we describe below, while the labour
market for high-skilled, low-waged work has created a global auction in which high-skilled work
goes to those who offer the lowest price. These processes challenge existing theories of the
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PHILLIP BROWN AND HUGH LAUDER
education–economy relationship. In turn, a fundamental recasting of existing theories is
required. However, the argument made here is particularly relevant to the West, while, in the
economies of India and China, the picture is different, as these same trends have resulted in a
growing middle class alongside a new class of the super rich.
Education and capitalism
We can identify two theoretical approaches to the education–economy relationship, those of
consensus and conflict. Drucker’s (1993) view is representative of the consensus approach, which
assumes that the knowledge economy represents the pinnacle of a historical process in which,
as new technologies have been developed, so education has played an increasingly central role
in economic development and social justice. This is because it is assumed that, as technologies
become more complex, so a more highly educated workforce is required. In turn, this leads
to greater opportunities for upward social mobility and a reduction in poverty as more people
gain the education required for higher paid work. For Drucker, the advent of what he considers
to be the knowledge economy also changes the power relationships between the highly educated
and capital, since the latter now depends on the expertise of the former. The consensus approach
has a long pedigree, dating back at least to the work of Kerr et al. (1973), and has been embraced
by policy makers because it represents a ‘win–win’ approach to economic development and
social justice. Underlying these views is the theory of human capital and its contemporary variant,
skill bias theory.
Human capital theory makes the claim that if individuals invest in education they will be
suitably rewarded in the labour market, because their education will reflect their enhanced
capacity for productivity, and it is on this basis that they will earn high wages (Baker, 2009;
Becker, 2006).
Skill bias theory (Acemoglu, 2002) can be seen as a more sophisticated variant of human
capital theory. It has become popular because it sees new technology as the driver of the demand
for educated labour: it recognises that some uses of technology can be skill-replacing, that is,
workers are deskilled, either as technologies make their jobs simpler through routinisation,
or as they are simply replaced by machines. However, skill bias theorists have argued that, as
a matter of fact, the introduction of new technologies has increased the demand for educated
labour, for the reasons that human capital theory predicts. Here, then, is a range of sophisticated
theories that all view the education–economy relationship as crucial to social and economic
progress.
In contrast to the consensus approach, conflict theorists have argued that education should
be considered a site of struggle between groups, in which not only are economic development
and social justice divorced, but the links between education and economic development are
far more complex than consensus theorists assume. Perhaps for these reasons, most conflict
theorists have focused on the inequalities in education in relation to social class, patriarchy
and racist structures, and to state policies, rather than on the economic processes underlying
them.
If we turn first to the issue of social justice, there is broad agreement across the two major
conflict traditions, neo-Marxist and neo-Weberian, that education is a site of struggle, although
the nature of the struggle is conceived in different ways. For the former, as represented most
starkly in the correspondence principle of Bowles and Gintis (1976), education serves to
discipline and socialise future workers into capitalist work and their social class station in life.
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ECONOMIC GLOBALISATION
In doing so, it also reproduces the inequalities in life chances between working-class students
and their wealthier counterparts from the executive and managerial ruling class. There is,
therefore, a correspondence between the nature of a socially classed education system and the
demands of capitalist work.
Neo-Weberian and related theorists have viewed education as a struggle for credentials
between competing groups. They point to a range of strategies, intended and unintended, by
which professional and managerial elites have loaded the competition for credentials in their
favour (see, for example, Ball, 2003; Bourdieu and Passeron, 1977). But they can also explain
why the connection between credentials and the labour market is also problematic in a way
that consensus theorists cannot. For a start, they argue that any kind of direct relationship
between education, productivity and economic growth is implausible because of the key role
of credentials in linking education to the labour market. Credentials may not reflect the
understandings and skills that workers have and they may not reflect the kinds of skill necessary
for the workplace: they are a rather blunt instrument for the selection and sorting of workers
(Livingstone, 1998). Most significantly, however, credentials are a positional good, which means
that their value is socially determined (Brown, 2006; Hirsch, 1976). When there is an oversupply
of a particular educational qualification, say a bachelor’s degree, then it will lose its value in
the marketplace, and students will have to gain a higher degree in order to restore their value
as skilled workers; inevitably it is those students with access to the resources to pursue their
studies that will gain, for example, those from professional middle-class backgrounds. Studies
that have been undertaken of the degree to which the demand for a particular credential is
driven by the associated inflation with positional competition, as opposed to the upskilling of
jobs, suggest that both play a significant role in the level of credential that employers demand
(Collins, 1979; Weedon, 2002).
Finally, we should note that these key elements in the relationship between education and
nation-state capitalism are likely to be contradictory (Dale, 1989). In what follows, we will
show how new forms of contradiction are clearly visible in the West, as capitalism has moved
from being centred on the nation-state to economic globalisation. However, before examining
the source of these contradictions, some comments on the limitations of both consensus and
conflict approaches in the light of economic globalisation are appropriate.
One of the strengths of the consensus approach is that it has a theory of how education
contributes to economic development through the impetus given by new and more sophisticated
forms of technology. But it is a theory confined either to national boundaries (Baker, 2009;
Goldin and Katz, 2008b; Heckman, 2008) or to a view of economic globalisation in which
the superior education systems of America and Britain will enable graduates to win in the
competition for high-skilled work (Reich, 1991; Rosecrance, 1999). However, the account
of the global restructuring of work and the labour processes we present here suggests inadequacies
in both consensus and conflict theories. While existing conflict theories have clear strengths in
explaining why education gives advantage to professional and managerial elites at the expense
of working-class students (the social justice question), they have little or no theoretical resources
to explain the impact of economic globalisation on national education systems and job markets.
Changes in the global division of labour
In order to show why economic globalisation challenges both consensus and conflict theorists
and to identify the trends that have led to the contradictions between higher education and
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PHILLIP BROWN AND HUGH LAUDER
the labour market in the West, we shall turn to an exposition of a study of the skill formation
strategies of transnational companies (TNCs), because they have been at the heart of the changes
in the global demand for skilled workers (Brown et al., 2009; Lauder et al., 2008).
There are three elements to the new phase of economic globalisation that we would identify
from our study that challenge both consensus and conflict theories of the education–economy
relationship, particularly in relation to higher education. These are: first, the advent of a global
auction for high-skilled work, which in part has been made possible by large numbers of highquality graduates from emerging economies, especially in the East; second, the development
of digital Taylorism, which has the potential to routinise much of what was once considered
knowledge work; and, third, the consequent new divisions within managerial and technical
jobs. In turn, these changes have threatened many middle-class jobs while intensifying the
positional competition for entry to elite universities, creating a significant mismatch between
higher education and demand for ‘knowledge’ workers.
Higher education and the global auction for high-skilled jobs
The pace of expansion of higher education in China, India and Russia has contributed to the
rapid increase in the global supply of high-skilled workers. Based on our analysis of enrolment
figures for ninety-eight emerging and developed countries, we found that tertiary-level
enrolments (undergraduate and postgraduate) virtually doubled within a decade, from 33.4
million in 1995 to 62.9 million in 2005.1
Figure 20.1 shows that, in 2006, China had almost six million more students than the United
States and ten times as many students as Britain. But perhaps the most extraordinary statistic
on education in China was enrolment to senior secondary schools, which has increased from
26 per cent to almost 60 per cent since 1990. To achieve this expansion, over 250 new teachertraining colleges were established, and qualified graduate teachers were offered better housing,
remuneration and healthcare by the Ministry of Education.2 Equally, participation in higher
25000
20000
15000
10000
5000
0
United States
France
United
Kingdom
1970
1980
India
1990
Brazil
2000
China
Russian
Federation
2006
Figure 20.1 The expansion of tertiary education in selected emerging and developed economies
(enrolments) (in thousands).
Source: Brown et al. (2008).
232
ECONOMIC GLOBALISATION
education increased from a little over 3 per cent in 1990 to 22 per cent in 2006.3 These figures
reflect a broader strategy presented in an official policy statement on employment prospects to
2020, which recognized the need to ‘make efforts in improving education quality, so as to train
millions of high-caliber workers, thousands of special talents and a large number of outstanding
innovative talents for the socialist modernization drive’.4
While these data should be treated as indicative, and remembering that enrolment figures
do not tell us how many actually enter the global job market on an annual basis, owing to high
levels of drop-out in some countries, it is nevertheless salutory to consider that the expansion
of higher education has not been limited to OECD member states or the BRIC nations of
Brazil, Russia, India and China. Ukraine and Mexico have more people enrolled in higher
education than the United Kingdom, with Poland and Turkey gaining rapid ground, doubling
their participation rates between 1995 and 2005.
When we look at the subjects being studied, we can see a marked increase in numbers in
Asia taking sciences and engineering (see Figure 20.2).
This supply of educated labour has enabled TNCs to create a new spatial division of labour
for high-skilled activities, including research, innovation and product development. Whereas
once it was assumed that the ‘brain’ work would be done in the West, especially the United
States because of the high quality of higher education, while the ‘body’ work would be done
in East Asia (Reich, 1991; Rosecrance, 1999), it is clear from the skill strategies of TNCs that
this is no longer the case. In turn, this has led to the possibility of a global auction in which
the same quality high-skilled work can be undertaken in East Asia for a fraction of the price
of labour charged in the West. For example, a chip designer costs $300,000 per year in the
United States, as against $28,000 in Shanghai (UNCTAD, 2005). This global auction, in which
TNCs can choose where to locate high-skilled work, knowing that the quality of the work
will be the same, whether it is performed in Shanghai, Los Angeles or Stuttgart, has profound
implications for middle-class aspirations in America and Western Europe: middle-class students
in these countries are no longer guaranteed the kind of work described by Drucker in which
800
700
600
500
400
300
200
100
0
Asia
Europe
North and Central America
Engineering
Physical/biological/agricultural sciences
Mathematics/computer sciences
Social/behavioral sciences
Figure 20.2 First university degrees in science and engineering fields in Asia, Europe and North
America, by field: 2004 or more recent years (in thousands).
Note: Natural sciences include physical, biological, earth, atmospheric and ocean sciences.
Source: Science and Engineering Indicators 2008. Available online at www.nsf.gov/statistics/seind08/c2/fig02-34.xls.
233
PHILLIP BROWN AND HUGH LAUDER
graduates could expect high-paying, high-status jobs with a high degree of autonomy. But there
are other processes at work that also undermine such expectations.
Digital Taylorism
One of the fundamental problems with the standard account of the knowledge economy and
knowledge workers is that it is a-historical (Brint, 2001). Bursts of creativity are followed by
the routinisation of work to enable profits to be made. In today’s global competitive
environment, knowledge workers are too expensive and difficult to control, so various attempts
are now being made to codify, standardise and translate knowledge work into working knowledge. Rather than knowledge being locked into one person’s head for which he/she can charge
a premium, working knowledge is available to corporations in the form of software programmes
and prescripts that can be utilised by lower-skilled workers. We call the routinisation of production platforms and processes in both offices and factories digital Taylorism, because innovations
can be translated into sets of routines that might require some degree of education but not the
kind of creativity and independence of judgement that is often associated with the rhetoric of
the knowledge economy: the technical revolution in software that can translate knowledge work
into working knowledge has been crucial to this process (Brown et al., forthcoming).
Hence, when knowledge work has been standardised by software protocols, it is then possible
for TNCs to ship work across the globe to where routinised knowledge work is cheapest. Where
it once seemed impossible for high-skilled work to be codified, it is clear that even highly skilled
jobs are being targeted in much the same way that craft knowledge was captured by companies
in the development of Fordist assembly-line production. For example, law firms now send an
increasing amount of their preparatory case work to places such as Manila.
This routinisation of knowledge work has contributed to a fundamental division within what
were once considered high-skilled, middle-class jobs. But there are further sources of fracture
within the middle classes created by the ideology of the ‘war for talent’.
Divisions within managerial and technical occupations
Within the processes we have described above, the nature of skills and reward is fundamentally
changing, creating significant divisions in what were once considered middle-class careers for
graduates. Instead of a career ladder, it is clear that corporations are distinguishing between
those they consider the ‘talented’, who are, typically, fast-tracked into senior managerial
positions, and those who are considered worthy, loyal and committed, but who do not have
the key ingredients for leadership positions. Beneath them are the workers who engage in routine
knowledge work. The ideology of the ‘war for talent’ asserts that, despite mass higher education,
there are only a few especially talented graduates who can take on leadership roles in large
companies. It is claimed that global corporations now need a range of skills in leadership positions
that were not in demand when companies were embedded in national economies (Brown and
Hesketh, 2004). These new skill sets, which only the small minority of ‘talented’ are deemed
to have, are therefore highly rewarded. In turn, this is exacerbating the positional competition
for entry to elite universities around the globe.
Leading TNCs gravitate towards the global elite of universities because they are believed to
have the best and brightest students. This view is actively promoted by universities, as higher
234
ECONOMIC GLOBALISATION
education has become a global business. The branding of universities and faculty members is
integral to the organisation of academic enquiry. Claims to world-class standards depend on
attracting ‘the best’ academics and forming alliances with elite universities elsewhere in the world,
while recruiting the ‘right’ kinds of student. Universities play the same reputational games as
companies, because it is a logical consequence of global market competition between universities.
Social class and the intensification of positional competition
Both British and American higher education is differentiated by institution and social class. The
advent of the global auction for high-skilled jobs has the effect of intensifying the competition
for access to elite universities, because it is only those who gain entry to them (the ‘talented’)
who can avoid a reverse (Dutch) auction for knowledge work. Recent figures for the socioeconomic profile of British universities show that those from the upper end of the socioeconomic scale dominate elite universities. For example, the university with the highest
percentage of students from top socio-economic backgrounds (bands 1, 2 and 3) in 2006–2007
was Oxford, with 90.2 per cent, followed by Cambridge with 88.5 per cent (HESA, 2008).
A similar story applies in America. Bowen et al. (2005) have documented the inequalities
in participation in higher education in the United States. There are several reasons for this, but
they include the preferential treatment given to alumni of the elite universities, along with high
costs. In 2000, the cost of a year at the big three universities, Harvard, Yale and Princeton, had
reached $35,000, an amount that less than 10 per cent of American families could afford. By
2004, this had risen to $40,000. And while there was some assistance for less well-off students,
the majority paid full fees. Even then, better-off families seemed to have captured the
scholarships available. At Harvard, the majority of scholarship recipients had a family income
of over $70,000, with a quarter having an income of over $100,000.5 When this is translated
into the share of family income that goes on tuition fees, even though there is a reduction for
low-income families, the latter pay an estimated 49 per cent of family income. In contrast, the
proportion of family income paid in tuition fees for unaided students, those that come from
wealthy families, is 21 per cent.6
Not surprisingly, among the dominant classes in America there is over-representation in
terms of degrees, especially from the elite universities. David Rothkopf (2008), writing of the
new super-class, notes that, among the CEOs of America’s leading corporations, 30 per cent
attended one of only twenty elite universities, led by Stanford, Harvard and Chicago. He
estimates that 91 per cent have an undergraduate degree, and 47 per cent a postgraduate degree,
which makes them far better educated than the general population. He shows how these elite
universities provide the basis for forging networks between students and alumni, listing the
number of high-profile CEOs that graduated from the Harvard Business School Class of 1979.
Given that TNCs are seeking the most ‘talented’ from the elite universities, there is a clear
difference in wages between those who have attended elite universities and those who have
attended less prestigious institutions. In Britain, Hussain et al. (2008) calculate that those from
elite universities earn double the wages of those from lower-ranked institutions, while in America
Goldin and Katz (2008a) report that graduates from Harvard attract a massive premium with
those, for example, entering finance occupations earning 195 per cent above other occupations.
Just as there are differences in the earnings of those attending elite universities when compared
with those who do not, so not all graduates will have the same life chances in the labour market,
nor will they have the same experience at university. Rather, it can be argued that there is a
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PHILLIP BROWN AND HUGH LAUDER
loose correspondence between social-class background, the type of university attended,
extracurricula networking and labour market opportunities.
Naidoo and Jamieson have sought to examine the impact of consumerism on higher
education, exploring both the field of higher education in Bourdieuian terms (Naidoo and
Jamieson, 2006) and the impact on teaching and learning of where an institution is positioned
within the higher-education field. They argue that lower-ranked universities are more likely
to engage in pre-packaged learning materials, for example through e-learning type strategies,
and forms of assessment and pedagogy that narrow the tasks that students need to accomplish.
In turn, the knowledge that is ‘transmitted’ will be pre-packaged and divided into modular
form. In other words, there appears to be a correspondence between the type of pedagogy and
curriculum that lower-ranked universities offer and the creation of digital Taylorist work,
because much of the latter is based on pre-packaged modular routines.
The opportunity trap
The analysis developed above suggests a scenario where the polarisation in professional middleclass jobs leads to an intensification of positional competition for access to universities. The
consequence is that students will have to pay more in fees for less return in the labour market.
This is a trap because, if students do not enter the higher-education game, they have even less
chance of securing good work and reasonable pay (Brown, 2006). In the United States, male
college graduates have seen a decline in their wages from the mid 1970s through to now, for
all except those at the 90th percentile. Women have fared a little better, but their wages still
lag behind those of men, as shown in Table 20.1 below (Mishel et al., 2007).
While graduates in the United States have not fared as well as the knowledge economy
rhetoric suggests, the wages of non-college graduates have declined dramatically over the same
forty-year period, so that, even if the wages of university graduates fall, they will still earn a
premium over non-university or college graduates, which is why those who have the possibility
of going to university are trapped.
In Britain, a similar story can be told: graduate wages flat-lined for all groups through
1991–2000, while the hours worked increased by half a day a week (Lauder et al., 2005). A
more recent study has shown that a third of graduates, who started university in England at the
Table 20.1 Hourly wages for low, median and high earning college graduates: 1979–2005
1979
1989
1995
2000
2005
Men
High
Median
Low
38
21
11
39
21
10
41
21
10
45
23
11
48
23
11
Women
High
Median
Low
23
14
8
28
16
8
31
17
8
35
18
9
36
18
9
Source: Mishel et al. (2007), Table 3.2, p. 160.
236
ECONOMIC GLOBALISATION
same time as student fees were introduced in 1998, are, by 2008, not repaying their fees.7 In
England, graduates only start to pay back their state-backed loans when they earn £15,000 or
above before tax. This is not surprising, given the data on graduate incomes.
Moreover, the present economic crisis is unlikely to bring any respite to the majority of
graduates. We are undergoing a financial crisis that will impact on the higher-education sector.
In turn, there is a question as to whether the present participation target of 50 per cent of an
age cohort attending university in the UK can be met. It may be that some universities will
be closed because public debt is so high. In this case, positional competition will further intensify.
On top of this, fees are likely to rise, especially in the elite universities. Even without the
economic crisis, this will act as a deterrent to many middle-class, far less working-class students.
Finally, governments will always support the elite universities, because their research is seen as
a source of global competitive advantage, so again the positional competition to gain entry to
elite universities will intensify.
The theoretical implications for changes in education and the
global division of labour
The developments we have described in this paper raise fundamental problems for both
consensus and conflict theorists. We identified a number of strands to the consensus theory
tradition: Drucker’s claim that knowledge workers would move to the centre of power; human
capital theory, which assumes that graduate returns to education will be highly rewarded because
of higher productivity; and skill bias theory, which has claimed that new technology is
complementary to skills upgrading, because more highly skilled workers are required, especially
in relation to ICT, to operate the new technology. But we can see immediately that the processes
we have described have not given power to knowledge workers, quite the opposite: the
fracturing of the middle classes has meant that the returns on an investment in higher education
are variable and, with the loss of middle-class jobs overseas, are likely to fall. The process of
digital Taylorism is what skill bias theorists call skill replacing, because much the knowledge
and capability for independent decision-making and initiative have been taken away. Finally,
when we look at recent research by human capital and skill bias theorists, it is clear that there
has been no acknowledgement of the way the global division of labour for knowledge workers
has impacted on national, in this case American, graduate prospects (Goldin and Katz, 2008;
Heckman, 2008).
Turning to the conflict tradition, the focus has been on the social justice agenda, and, in
particular, on the inequalities of resources, financial and cultural, that are created through social
class, patriarchal and racist structures and that impact on children’s education. Equally, on the
way that the interests of the professional and managerial social classes interact with state policies
(Apple, 2006; Ball, 2003) to produce the well-documented inequalities in life chances
(Goldthorpe and Jackson, 2008).
One motivation for this agenda has been to mobilise debate about educational inequalities
within nations and how they might be addressed. However, we would make two points in
relation to the arguments presented here: first, social classes are structured through the labour
market in interaction with nation-state policies, therefore, unless we understand the changing
nature of the labour market, we cannot comprehend the changing relationship between class
and education. Second, changes in the global division of labour are having a fundamental impact
on the nature of the class struggle for credentials and, hence, on the issues of social justice,
237
PHILLIP BROWN AND HUGH LAUDER
which raise questions about the role of the nation-state and the focus of conflict theorists in
seeking to redress inequalities in education.
Conclusion
We have had two aims in writing this paper: to argue that existing theories of the education–
society relationship have been challenged by economic globalisation and to explain why this
is so through an account of recent changes in the global division of labour. Here, we showed
that these developments would lead to tensions, if not outright contradictions, between higher
education and capitalism. There are two, related tensions that we have highlighted. The first
concerns the opportunity trap: here, middle-class families will invest more heavily in higher
education for less return in the labour market for their children. The second relates to the wages,
lifestyles and opportunities that those in Britain and America can expect. A majority of
Americans no longer believes that a good education and hard work are enough to find good
jobs and financial security (Kusnet et al., 2006). In turn, this breaks the basic contract between
citizens and the state by which Americans, and arguably Britons, over the past thirty years have
seen education as the key to opportunity and prosperity: a contract in which the state provided
the educational opportunities to enable workers to become employable, so long as they were
highly motivated and invested in their education. It is hard to tell precisely, at this time of
economic depression, what the consequences of the breaking of this contract will be, but we
believe they will be profound.
Notes
1
2
3
4
5
6
7
For details see Brown et al. (2008).
This represented a 41 per cent increase in the number of full-time teachers in secondary education
since 1988. See China Education and Research Network (CERNET), available online at
www.edu.cn/english_1369/index.shtml.
See Jack Chang (2008).
See Government White Paper (2004).
See Jerome Karabel (2005).
See Hill et al. (2003).
The Guardian, ‘1 in 3 graduates not repaying student loans’, 3 October 2008.
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21
Education and the right to the city
The intersection of urban policies,
education, and poverty
Pauline Lipman
In this chapter, I discuss the relationship of urban education and urban political economy.
I focus on the intersection of education policy and globalized neoliberal political and economic
processes that are reshaping cities. After a general overview of urban restructuring, I turn to a
specific case. This case illustrates that education policy is not only shaped by neoliberal
urbanism but may be productive of the intensified economic, social, and spatial inequalities
that characterize cities in the global economy.
Neoliberal globalization and urban restructuring
Neoliberalism is the defining political and economic paradigm of our age (Apple, 2006). The
neoliberal agenda extends the logic of the market to all corners of the earth and all spheres of
social life, liberalizes trade, drives down the price of labor, and employs financialization as a
principle strategy of capital accumulation. The result is a massive transfer of wealth upward,
concentrated in the hands of a tiny global elite, and increased economic inequality on a world
scale (Harvey, 2005; Jomo and Bodot, 2007). Cities across a range of economic contexts are
concentrated expressions of these inequalities, with new geographies of centrality and marginality
(Sassen, 2006). In economically “developing” countries, structural adjustment policies mandated
by the World Bank and International Monetary Fund in the 1980s and the deregulation of
international commodity markets have destabilized peasantry and further impoverished rural
areas. As a result, cities have become meccas for millions of dispossessed and impoverished
farmers and workers (Davis, 2006; Harvey, 2005).
As economic activity is reterritorialized at all spatial scales (Robertson and Dale, 2006), cities
and large urbanized areas have become fundamental geographical units in the spatial
reorganization of the new international division of labor and sites of a range of diverse political,
economic, and cultural global connections. On one hand, “global cities,” such as New York,
London, Tokyo, and São Paulo, are command centers of the global economy, key nodes in
global circuits of finance and production (Sassen, 2006). From this perspective, global cities are
the pinnacle of an urban hierarchy that includes global niche cities, such as Miami; international
241
PAULINE LIPMAN
cultural meccas such as Bilbao; small cities defined by capital accumulation typical of global
cities; and declining, post-industrial cities such as Adelaide. On the other hand, post-colonial
theorists (King, 1990; Rizvi, 2007; Robinson 2002; Smith, 2001) foreground transnational
connections among “ordinary cities” in formerly colonized countries. They draw attention to
multiple global urban functions, such as Manilla’s role as hub of global circuits of low-paid
migrant labor (Robinson, 2002). Extended urban areas in the global South have also emerged
as the “production hearths” of the global economy (Smith, 2002). Global economic and political
processes also intersect, in specific ways, with local and national institutions, ideologies, and
relations of power, as well as with specific histories of colonialism, imperialism, post-colonialism,
and socialism.
Yet there are common trends, with significant implications for those who live in cities and
for urban education. In the following sections, I turn to some of these trends and their
relationship to education in one kind of urban context—a “global city” in North America. My
discussion is meant to be illustrative of an approach to understanding intersections of education
and neoliberal urbanism.
Urbanization and inequality
The world is experiencing an unprecedented level of urbanization. Writing in 2006, Mike Davis
noted that, for the first time, the urban population of the world would soon exceed the rural.
(At the time of writing, in 2008, this milestone has probably been passed.) Virtually all the world’s
population increase will occur in cities, and 95 percent of the increase will be in urban areas of
(economically) “developing” countries. Urban areas are also being reshaped as megacities of over
8 million (e.g. Jakarta and Delhi); extended hypercities of over 20 million (e.g. Mexico City
and New York); conurbations of urban areas (e.g. the West African Gulf of Guinea, with Lagos
as its center); extended urban networks and metropolitan regions (e.g. the Rio/São Paulo
extended metropolitan region); and many more mid-sized cities are emerging (China is a key
example) (Davis, 2006; Pastor et al., 2000; Scott et al., 2002; Simmonds and Hack, 2000).
Urban areas are concentrated expressions of the dynamics of extreme inequality, marginality,
and centrality that characterize the global economy as a whole. While the new world order
has spawned increased wealth and advantage for cities in the USA, its Western allies, and some
Eastern Europe and Asian countries, most former European colonies have lost ground. Davis
(2006) notes that, unlike urbanization fed by the growth of capitalism in Europe in the
nineteenth century, cities in the developing world are low-wage labor intensive, rather than
capital intensive. However, inequality has increased in both rich and poor states (Jomo and
Baudot, 2007), with enclaves of hyper-affluence, transnational knowledge workers, and global
elites juxtaposed with concentrations of low-wage and informal workers living in extreme
poverty (Amin, 1997). This pattern is evident in cities as diverse as Mumbai, São Paulo, Beijing,
and Los Angeles. In short, cities in the global North and global South are characterized by:
accelerating urbanization; new patterns of social and spatial exclusion; increased inequalities
and degradation of the quality of life for those living in poverty, which in many cities are the
vast majority; informalization of labor and housing; and cultural mixes and transnational
identities produced by migrations of labor and displacement of peasantry (Davis, 2006; Marcuse
and Van Kempen, 2000; Sassen, 2006; Valle and Torres, 2000).
Urban education systems tend also to inequalities in educational provision, access, outcomes,
and valorized languages, cultures, and identities (see Pink and Noblit 2008). Schools are certainly
242
EDUCATION AND THE RIGHT TO THE CITY
impacted by the economic and political processes and policies that are reshaping their contexts
(Anyon, 1997; Thompson, 2002). But educational policies are also constitutive of these
contexts as well as important sites of resistance.
The political economy of urban education
In Social justice and the city, Harvey (1973) argues the urban is “a vantage point from which to
capture some salient features operating in society as a whole—it becomes as it were a mirror
in which other aspects of society can be reflected” (p. 16). In particular, (Western) metropolitan
cities are “the locus of the accumulated contradictions of a society.” They concentrate major
cultural, financial, social, and political institutions in close proximity with concentrations of
low-income and marginalized populations that are excluded from these institutions (p. 203).
This observation is even more prescient at the beginning of the twenty-first century, in the
present social conjuncture of neoliberalism and resistance (Gill, 2003). In urban areas, this
dialectic is unfolding in economic, political, and cultural struggles over what Henri Lefebvre
(1996) famously framed as “the right to the city.” Education is integral to these struggles.
In a germinal book on the critical study of urban education, Gerald Grace (1984) argued
against the prevailing “policy science” approach to the study of urban education problems in
the USA and UK. Drawing on C. Wright Mills’ critique of “abstracted empiricism” in sociology,
Grace rejected “technical and immediately realizable,” within-the-system solutions to urban
education problems abstracted from the urban context (p. 32). He called for “critical policy
scholarship” that situates urban education theoretically and socially in the larger framework of
the social, economic, political, and cultural contexts of society. Critical policy scholarship
illuminates the material and cultural struggles in which schooling is located and is generative of
social action towards social justice (p. 41). An underlying assumption is that policy is an expression
of values arising out of specific interests and relations of power. Grace notes that this requires a
multidisciplinary approach that draws on urban studies as well as urban sociology. In a somewhat
analogous critique, Rury and Mirel (1997) argued that “educational researchers [in the USA]
too often accept the urban environment as a given natural setting, rather than one that has itself
been determined by larger economic and political processes” (p. 85). They proposed a political
economy of US urban education that places at the center of the urban research agenda questions
of power, particularly the role of capital and race in structuring urban space.
Building on these insights and extending Grace’s multidisciplinary method, I bring in
scholarship in urban studies, critical geography, and urban sociology to shed light on the role
of education in restructuring urban space, materially and culturally, along multiple dimensions
of power. The spatial restructuring of urban education and its relationship to urban development
is illuminated by the work of critical geographers who see space as a constitutive aspect of
capitalist accumulation (Harvey, 2005; Smith, 1996). This dynamic is located in what Harvey
(2001) calls the “spatial fix.” The territorial organization of capital—the physical location of
production facilities, the built environment of cities, places of consumption—is destroyed and
rebuilt elsewhere in order to establish a “new locational grid” for the accumulation of capital.
Investment and disinvestment in schools, class and race-based school funding inequities, and
policies that engineer student social mix are all implicated in this process. Cultural geographers
also attend to ways power is reproduced (and contested) and daily life is regulated through
socially produced meanings about specific places (Keith and Pile, 1993; Soja, 1999). Again,
contested representations of urban schools are implicated in claims on the city.
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PAULINE LIPMAN
Neoliberal urbanism
Beginning with the economic crisis of the 1970s, social democratic urban policies in the USA
and UK were systematically eliminated. In ensuing decades, across a range of cities globally,
capital employed neoliberal policies to ensure capital accumulation (Smith, 2002). “In this
context, cities—including their suburban peripheries—have become increasingly important
geographical targets and institutional laboratories for a variety of neoliberal policy experiments
. . .” (Brenner and Theodore, 2002: 368). Despite neoliberal theory of reduced government,
actually existing neoliberalism involves the intervention of the state on the side of capital, first
to destroy existing institutional arrangements, and then to create a new infrastructure for capital
accumulation. Discursively, urban governance has shifted from equity and redistribution to
markets and entrepreneurship. In the global competition for investment, tourism, highly skilled
“creative” workers, and production facilities, including the business services that drive
globalization (Sassen, 2006), cities from Madrid to Beijing are engaged in place marketing.
Neoliberal urban initiatives include:
•
•
•
•
•
•
•
downtown mega-developments, “theme parks,” and spectacles;
gentrification of disinvested urban areas and working-class communities;
demolition/renovation of public (social) housing and displacement of residents;
privatization of public institutions and spaces;
public–private partnerships and state subsidies to developers and corporations;
governance by experts and corporate boards, with democratic “participation” relegated to
citizen advisory groups;
surveillance and policing of marginalized, racialized communities.
The role of education in these urban policy initiatives and the implications for equity and
justice in the city are the subjects of the remainder of this chapter. I focus primarily on US
urban policy, with Chicago as illustration.
Education and neoliberal urbanism
Urban school systems have been in the forefront of neoliberal education policy shifts in the
USA. As in much of the world, public school policy is dominated by accountability, markets,
and privatization in the service of “effectiveness” and global competition (Hursh, 2008). Under
the banner of school choice, there is a turn towards greater differentiation and stratification of
educational experiences and to militarization of schools serving low-income students of color
(Lipman, 2004). Although contested, these policies and practices facilitate the production of
neoliberal subjects through education (Demerath et al., 2008). What is less examined is their
relationship to the neoliberal restructuring of cities.
Chicago exemplifies this relationship. Over the past three decades it has morphed from
industrial hub to center for global business services and finance, international tourism, downtown
development, and gentrification. A contender for first-tier global city, Chicago has achieved
this transformation largely through neoliberal policies, including a rich menu of incentives to
real estate developers and corporate and banking interests, privatization of public institutions,
marketing to the middle class and investors, and intensified policing and surveillance of
communities of color (Lipman, 2004).
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EDUCATION AND THE RIGHT TO THE CITY
Chicago is also in the forefront of neoliberal education initiatives (Lipman, 2004; Lipman
and Haines, 2007). Chicago’s education accountability policies, begun with the “reform” of
1995, were a prototype for national policy. Accountability was coupled with a stratified system
of school choice, with new selective enrolment speciality schools alongside public military
schools, vocational high schools, and basic skills schools. In 2004, Chicago initiated Renaissance
2010, a plan to close “failing” public schools and replace them with schools of choice, most
privately run but publicly financed charter and contract schools. Under the Obama administration, Chicago is a national model to be copied by other urban school systems. Although these
initiatives reflect national and global trends, they also have specific consequences for the city.
The importance of education to interurban competitiveness can be gauged by the
involvement of corporate and financial elites in urban school policy. Chicago is an exemplar.
The Commercial Club of Chicago (CCC), an organization of leading CEOs and civic elites,
takes a direct hand in school policy. Over the past twenty years, the CCC has issued a series
of reports laying out an education agenda geared to global competitiveness. A 2003 report was
the blueprint for Renaissance 2010 school closings, charter schools, and choice. The mayor
announced the plan a year later at a CCC event. The CCC also created the Renaissance Schools
Fund, a partnership with the public school system to oversee major aspects of the reform. There
is also direct corporate governance though a mayoral appointed school board and administration
comprised of corporate leaders, including a former vice president of Bank One and CEO of
the Chicago Board of Trade, who took an unpaid position as chief administrative officer,
overseeing seven departments. Mayoral control is now a national agenda.
Education policy and gentrification
In the neoliberal rollback of the early 1980s, the US federal government reduced funding for
cities while devolving greater responsibility to city governments. To make up for shortfalls and
driven by market ideologies, city governments adopted entrepreneurial measures. To address
budgetary shortfalls, they looked to public–private ventures, privatization of public services,
and revenue from real estate taxes repackaged as municipal bonds. As they became far more
reliant on debt to finance public projects and ongoing functions, city bond ratings became more
significant in determining policy than in the Keynesian period of more generous federal funding
(Hackworth, 2007). In the USA, reliance on property tax revenues makes cities more dependent
on, and active subsidizers of, the private real estate market, with developers benefiting from
public giveaways of land through urban tax initiatives (Weber 2002). In turn, real estate
development is a key form of speculative activity, with real estate properties essentially operating
as financial instruments. This is a critical factor in the production of spatial inequality,
displacement, homelessness, and racial containment. Facilitated by municipal governments,
gentrification has become a pivotal sector in urban economies generally.
Gentrification as a process has rapidly descended the urban hierarchy; it is evident not
only in the largest cities but in more unlikely centers such as the previously industrial
cities of Cleveland and Glasgow, smaller cities like Malmö or Grenada, and even small
market towns such as Lancaster, Pennsylvania or Čveské Krumlov in the Czech Republic.
At the same time, the process has diffused geographically as well, with reports of
gentrification from Tokyo to Tenerife, São Paulo to Puebla, Mexico, Cape Town to the
Caribbean, Shanghai to Seoul.
(Smith, 2002: 439)
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PAULINE LIPMAN
In this period, gentrification merges local, national, and transnational capital, lubricated by
local government through re-zoning, diversion of tax dollars to infrastructure improvements,
and the construction of public amenities such as parks, transit, and libraries (Smith, 2002).
Moving beyond city centers, it transforms whole neighborhoods into gentrification “complexes”
of consumption, recreation, cultural venues, and schools, as well as housing. In turn, increases
in property taxes push out low-income and working-class renters and homeowners.
Selective public schools and choice are integral to this process. Good schools and choice
within the public school system are important to market the city to middle-class home buyers
and knowledge workers. They are also essential to attract investors to potential sites of
gentrification and to subsequently market gentrified and gentrifying areas to new middle- and
upper-middle-class residents. For the middle class, education is central to class formation and
reproduction (Butler with Robson, 2003). Like new libraries, police stations, and streetscapes,
new schools are infrastructure improvements, enhancing the real estate value of specific areas.
“Education markets are now rivalling those in housing and employments as determinants of
the nature, extent and stability of middle class gentrification of inner city localities” (Butler
with Robson: 157). In Chicago, new selective schools opened through the 1995 and 2004
school reforms map onto patterns of gentrified and gentrifying neighborhoods, while basic skills,
military, and vocational schools are all located in low-income communities of color (Greenlee
et al., 2008; Lipman and Haines, 2007). The school district has closed schools in low-income
African American and Latino communities undergoing gentrification and replaced them with
selective public schools or charter schools, marketed to middle- and upper-middle-class families,
which neighborhood children often cannot attend. Cucciara (2008) describes a similar strategy
in Philadelphia.
In the USA, central cities experienced decades of public and private disinvestment (Anyon,
1997), opening them up as “soft spots” of neoliberal experimentation (Hackworth, 2007). The
failure to adequately fund and support schools in these low-income African American and
immigrant areas further devalued them and made them prime targets for a new round of
investment. Education accountability served to index the schools as failures, then close and
reopen them for the middle class or outsource them to private operators as charter schools.
Closing schools and transferring students outside their neighborhoods, as has happened in
Chicago, further contributes to the displacement of families, facilitating gentrification.
Thus, the policy serves capital accumulation and increases educational inequality. But it is
also an intervention in the race- and class-inflected meaning of urban space (Leonardo and
Hunter, 2008). Labeling “failing” schools in marginalized communities (e.g. low-income African
American and Latino in the USA, Aboriginal in Sydney, Gulson, 2008) contributes to defining
the communities as “dysfunctional” and “dangerous.” Yet for those who live there, schools
can be centers of historically rooted, culturally centered communities of sustenance and
resistance against race and class oppression (Leonardo and Hunter, 2008). Dismantling them is
part of dismantling the communities as a whole, materially and symbolically (Lipman and Haines,
2007). Conversely, reopening schools with middle-class inflected identities is part of symbolically
reconstituting the city for the middle and upper-middle classes.
School policy and dismantling public housing
Throughout much of the English-speaking world, national and local governments have
responded to the problem of neglected public (social) housing by demolishing or remodelling
it as “mixed-income” developments, with considerable displacement of low-income tenants
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EDUCATION AND THE RIGHT TO THE CITY
(Lees, 2008). In the USA, the 1992 HOPE VI national housing law called for the demolition
of distressed public housing units and their replacement with privately developed, mixed-income
housing or vouchers for rentals in the private housing market. HOPE VI is a high-level,
public–private partnership that provides millions of public dollars in subsidies to developers.
A 1995 revision eliminated the one-to-one replacement requirement. At the same time, strict
eligibility requirements exclude many public housing tenants from new developments, and only
a fraction of the units are reserved for them. In Chicago, miles of dense, hi-rise public housing
on the city’s South Side have been razed and are being replaced by low-density mixed income
developments, with fewer than one third of the units for public housing. This parallels other
cities where the majority of original residents have been unable to return (e.g. Oakley et al., 2008).
In the USA, most urban public housing residents are people of color—in Chicago, almost
entirely African Americans. Public housing restructuring serves capital accumulation, while it
is also a form of racialized exclusion. US cities have begun to resemble those in Western Europe,
with the center claimed by the middle and upper classes (particularly whites), ringed by lowincome suburbs (mainly people of colour). One cause is the state’s failure to maintain public
housing until it became uninhabitable, justifying its demolition and dispersal of the residents,
some out of the city altogether. Chicago, where transformation of public housing and closing
schools under Renaissance 2010 are coordinated, provides an example of the role education
policy plays in the displacement of African American public housing residents through mixedincome development.
In Chicago and other US cities, razed public housing is being replaced by privately
developed, mixed-income developments. (See also social mix strategies in the UK: Lupton and
Turnstall, 2008). The strategic role of new, purposely designed, mixed-income schools with a
middle-class majority was made explicit by the MacArthur Foundation, a major player in
Chicago’s transformation of public housing: “The city has made a commitment to improving
the local schools, without which the success of the new mixed-income communities would
be at great risk” (2005). Underlying this strategy is the deconcentration thesis: concentrations
of poverty supposedly breed social isolation and social pathologies, which reproduce a cycle of
poverty. Dismantling hi-rise public housing and creating socially mixed schools supposedly give
low-income people access to middle-class values and resources to lift themselves out of poverty
and improve academic achievement (Imbroscio, 2008; Kahlenberg 2001). This strategy has been
critiqued for its normative assumptions that middle-class lifestyles are superior and lifestyles of
low-income people of color are pathological. Moreover, mixed-income schools and housing
exclude the majority of displaced residents, as redevelopment is primarily for the middle and
upper-middle classes. In Chicago, about 20 percent of former public housing tenants are
expected to relocate to the new developments (Wilen and Nyak, 2006).
Social mix is nonetheless a hegemonic legitimating discourse. Drawing on the neoliberal
shift to individual responsibility and personal behavior as explanations for inequality, mixedincome solutions erase the structural roots of disinvestment in urban schools and inner-city
communities and the state’s responsibility to improve schools for the low-income students of
color who live there. They also instantiate the idea that low-income people of color need cultural
and social renovation, negating wider social processes of cultural differentiation and exclusion
and ignoring strengths of public housing communities (Bauder, 2002). Public housing is iconic
for racialized and pathologized representations of urban African Americans in particular. Mixedincome schools, like mixed-income housing solutions contribute to these representations and
support the systematic displacement of public housing, even when initial gentrifiers are African
American, as in Chicago’s Midsouth (Smith and Stovall, 2008).
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PAULINE LIPMAN
New urban governance—public–private partnerships, democratic
deficits, and education markets
Quasi-private bodies that supersede the authority of elected government and democratic
processes are a distinguishing feature of neoliberal urban governance. Large-scale European
development projects have been used to establish new urbanist governance regimes defined
by public–private partnerships, collaborations among networks of elites, lack of public
accountability, and exclusion of real public participation. These regimes run “the public sector
like a business,” with the goal of enhancing the competitive advantage of cities and furthering
neoliberal economic and social priorities (Swyngedouw et al., 2004). Similar arrangements in
the USA govern the planning and oversight of urban development projects, public housing,
schools, and other public services (Bennett et al., 2006; Lipman and Haines, 2007). HOPE VI,
for example, creates partnerships of developers and public housing authorities to build and
manage public housing and mixed-income projects with little genuine public voice (Bennett
et al., 2006). Typically, new urbanist governance disenfranchises public-housing residents,
parents, workers, and community residents, reducing their civic participation to appointed
advisory boards with no authority to make decisions.
Chicago’s Renaissance 2010 is a high-level partnership of the Commercial Club and the
public schools. The CCC’s Renaissance Schools Fund typifies the increased corporate role in
urban governance. Simultaneously, Renaissance 2010 eliminates democratically elected local
school councils (LSCs) in all new Renaissance schools. LSCs, comprised primarily of parents
and community residents with authority to select principals and approve the school improvement
plan and budget, are the most radical democratic form of local school governance in the USA.
Their elimination disenfranchises the mostly low-income parents of color whose children
comprise 90 percent of public school students. Neoliberal governance also blurs lines between
public and private goods, as municipal governments, strapped for funds and propelled by the
logic of public inefficiency, sell off public assets and turn over public institutions to corporate
management, e.g. sale or lease of bridges, highways, and airports to be run for profit. Marketoriented school policies—choice and quasi-privatization through charter schools—encourage
the growth of an education industry and set a precedent for the marketization of urban public
services generally. Charter and contract schools are run by private boards, and many are
franchised out to corporate education management organizations. In Chicago, fifty-one of
seventy-five schools created under Renaissance 2010, as of fall 2008, were charter or contract
schools. Privatization of schools in New Orleans after the devastation of Hurricane Katrina in
2005 is the leading edge of neoliberal restructuring in that city. An influential report by the
Urban Institute (Hill and Hannaway, 2006) hailed New Orleans as an opportunity for a grand
experiment to decentralize and privatize the school system through vouchers and charter schools.
Less than a month after Hurricane Katrina devastated New Orleans, the US Department of
Education gave the state of Louisiana $20.9 million to reopen existing charter schools and open
new ones, and nine months later the Department gave the state an additional $23.9 million for
new charter schools, most in New Orleans. Prior to Katrina, there were only five charter schools
in New Orleans. Of the fifty-five schools open in New Orleans in 2006–2007, thirty-one were
public charter schools (Alexander, 2007).
Market-oriented school policies intensify polarization (Reay, 2007) and advance the middleclass conquest of the city (Smith, 2002). School choice provides an opportunity, not available
through regular public school provision, for middle-class parents to strategically deploy multiple
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EDUCATION AND THE RIGHT TO THE CITY
forms of capital to gain educational advantages for their children (Ball et al., 1995; Butler with
Robson, 2003). Thus choice, particularly options that appeal to the middle class, is a policy
tool to attract the middle-class school consumer and home buyer. Governance of charter schools
by private boards also advantages middle-class parents. Their political and economic power
potentially gives them access and influence not enjoyed by working-class parents, who might
otherwise hold public officials accountable and exercise collective influence through democratic
processes such as elected LSCs in Chicago.
The Punitive State
Neoliberalism requires a strong enforcement state to suppress actual and potential dissent in the
face of the disciplining of labor, growing inequality and impoverishment, and the redundancy
of fractions of the working class (Gill, 2003) Thus, in Western Europe and the USA, there is
a turn to increased state surveillance, constriction of civil liberties, and policing and incarceration
of immigrants and, in the USA, African Americans and Latinos in particular (Wacquant, 2001).
Aggressive urban policing to make the city “safe” for the middle class, made famous by New
York Mayor Giuliani in the 1990s, has been exported globally (Fyfe, 2004). In the USA, the
politics of race are central to the workings of the enforcement state, and schools are a strategic
site. This logic is evident in the militarization of schooling in African American and Latino
areas, where schools are characterized by lockdown conditions, electronic surveillance, metal
detectors and police stations inside school buildings, and military programs. In this way, schools
are implicated in racialized policies of containment and discipline as an aspect of political and
cultural control of urban space.
Conclusion
Neoliberal economic and social policies are reshaping cities globally, producing greater social
polarization and inequality and new urban geographies of exclusion and marginalization. It is
impossible to fully examine the sociology of urban education without accounting for these
global processes and their localization in specific cities. Taking this a step farther, education is
also implicated in solidifying the neoliberal urban agenda, materially and discursively, through
policies that support displacement and gentrification, privatization, democratic deficits, and the
pathologization and policing of economically and racially marginalized inhabitants. Neoliberal
education policies have important implications for the future of the city—politically,
economically, culturally, and spatially. This makes it clear that education is an important site
of contestation over the right to the city, that is, the need to restructure the power relations
that underlie the production of urban space, fundamentally shifting control away from capital
and the neoliberal state and towards the vast majority of urban inhabitants. It also makes clear
the importance of multidisciplinary analyses that merge the insights of critical sociology of
education with political and cultural geography, urban sociology, and urban studies. We also
need a critical scholarship that documents and theorizes forms of urban resistance that connect
struggles for equitable education with struggles for housing, jobs, cultural recognition, access
to urban resources, and democratic participation.
249
PAULINE LIPMAN
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22
A revisited theme – middle
classes and the school
Maria Alice Nogueira
In the early 1990s, I wrote an article about “Middle-class families and the school,” humbly
subtitled “Preliminary bases for an object in construction” (Nogueira, 1995). Two principles
grounded that prudent gesture: (a) the heterodoxical nature of the object, which in a scientific
context (international and national)—for acceptable, although sociologically insufficient
reasons—prioritized (it still does today) the study of less favored social environments; and (b)
the risks of stepping on uncertain terrain, beginning with the definition of “middle class,” which
is always controversial owing to its place on the social ladder and the heterogeneous nature of
its internal composition. The first two sections showed my hesitation in going straight to the
subject without first seeking the answers to two preliminary questions: “why study the middle
class?” and “what is the ‘middle class’”? These questions, idiosyncrasies aside, expressed the
state of knowledge at the time.
Today, almost two decades later, I see this situation as partially altered. This is what this
essay aims to outline, in general terms, namely, the change this issue has undergone in our day
due to both new social dynamics and advances in the sociological mindset.
I will start by addressing the first question formulated initially (the “why”) and argue that,
today, it is certainly easier to defend a topic that has become more legitimate and carries lessnegative connotations in terms of relevance.
As contemporary education sociologists admit, among the processes of theoretical–
methodological reorientation the discipline has undergone from the 1980s onward to date, one
stands out: the one that “shifts the glance of social disadvantage to the privileged” (Sirota, 2000:
166). Influenced by this movement, studies have appeared in different countries whose interests
lie in investigating new modes of elite formation (Almeida and Nogueira, 2002; Fonseca, 2003;
Wagner, 1998),1 as well as the educational conduct of the middle class (Ball, 2003; Crozier
et al., 2008; Lareau, 2003; Power et al., 2003; van Zanten, 2002, 2007). 2 I suppose this boom—
and its fruitful results—weakened the suspicions of scientific futility around attempts to study
the educational practices and strategies of these favored social groups.
Yet, this does not mean that this topic has completely lost its marginal status. In England,
Power (2001) detects the continuing gap that Ball (2003) abhors when arguing for the
fundamental role played by the middle class in the process of the permanent reconstitution of
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the inequalities in schools. In France, van Zanten (2002) encounters the same lacuna and suggests
epistemological reasons as explanations:
In fact, among the reasons suggested to explain the small number of studies on middle
classes is the recurrent aversion of sociologists to carry out a self-analysis, since great is
the proximity they have with the social strata they belong to.
(van Zanten, 2002: 40)
As to the second question (what is the middle class?), it is worth keeping in mind that a
definition remains problematic, even arbitrary, at least when it comes to the literature in Brazil,
which could be compared to an arch going from the material to the symbolic pole, starting
with the economist—who focuses on income level and consumption potential—then the
anthropologist—who zooms in on the group’s life styles and worldviews—and sociologists who
give special attention to the group’s place in the socio-occupational structure and access to
material goods such as education, health, housing, etc. These are very different perspectives
indeed.
However, it is worth noting that the reduction of any social group to a statistical income
category may dissimulate important differences in lifestyle and patterns of thought, even
when, in dealing with this population segment, both dimensions—the material and the
symbolic—are strongly articulated. As Brazilian economists warn us, if the association of the
middle class and consumption is so common in Brazilian literature, it is because this consumption above popular standards is key in the formation of identity of this class (Guerra et al.,
2006: 17).
Finally, as far as the internal heterogeneity of the middle class is concerned, everything
indicates that the usual distinction established by social theory between the traditional fraction,
composed of small owners and professionals (petite bourgeoisie), and the “new” middle class,
composed of salary workers, makes even less sense for current educational research then it
did in the time Bourdieu developed his analyses of the reproduction strategies of this group.
Keep in mind that, for the French sociologist, the examination of the middle class–school
relation should be carried out in the three levels into which he believed this group was divided:
the petite bourgeoisie traditionnelle (in decline), the petite bourgeoisie d’exécution, and the petite
bourgeoisie nouvelle, each one of them presenting certain attitudes towards culture and school.3
In contrast, more recent research resorts to forms of differentiation considered more efficient
to deal with the complex system of relations established amongst the different segments within
the middle class and the education of children in the present. For Power et al. (2003), guidelines
and family attitudes towards school become more intelligible when three criteria (related to
“employment sector,” “field of production,” and “parents’ occupational resource basis”) are
taken into account:
1
the one that separates parents who work in the public sector and those who work in the
private sector:
The relevance of sector of employment is attributed to whether economic and
ideological support is derived from the state or the market, competition between
them for resources and legitimacy in the provision of services producing different
positionings for those working in each.
(p. 32)
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MIDDLE CLASSES AND THE SCHOOL
2
the one (already present in Bernstein’s classical analyses) that distinguishes parents whose
occupation involves the production of material goods and those engaged in the production
of symbolic goods:
We have also analyzed our evidence in terms of the distinction between the ‘old’
middle class employed in the production and distribution of material goods and
services, and the ‘new’ and rapidly expanding middle class engaged in the
production, exploitation and distribution of symbolic knowledge.
(p. 32)
3
the one that differentiates families according to the types of activity the parents are engaged
in, classified by the authors as “professional,” “managerial,” and “entrepreneurial”:
The divide between managerial and professional occupations is seen as especially
significant because it is those working in the latter who are likely to rely most on
capital cultural to secure or enhance their children’s social position.
(p. 31)
Partially siding with the English authors, van Zanten (2007) makes the sector of employment
the main divide among French middle-class families:
The most important diversions are those occurring between parents who work in the
public sector and have at their disposal a relatively high cultural capital . . . and the parents
working in the private sector who have more economic capital.
(p. 258)
According to her, significant distinctions between these two segments take place both at the
level of the parents’ views on the internal practices of schools and their attitudes towards the
choice of educational institutions for the children. While parents in the private sector prioritize
family interests (i.e. school competitiveness and the children’s well-being), those in the public
sector—although not without conflict—place more importance in the state and are prone to
regard the school as a socially oriented institution.
The massification of education and its consequences
In general, researchers consider the contemporary changes—economical, political, ideological—
as foundations for the current transformations at the educational level. They argue that
economic restructuralization—derived from the globalization of the economy—raised
uncertainties and risks in the marketplace, especially the instability and vulnerability of skilled
jobs offer. They affirm that the political reforms in the 1980s and 1990s, which originated in
the deregularization and shrinking of the state, led to reforms in the public services based
on the market and free choice by the users. Furthermore, combined with these factors, changes
in mentality exacerbated individualism by placing personal interests over collective values.
In the educational sphere, researchers highlight the phenomenon—triggered at the end of
World War II—of elevation of general instruction level, which affected all social class groups,
although not indistinctly.4 The result of this process—they all agree—is the increase of
competition in education and the contemporary demand for a longer educational trajectory.
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As Dubet remarks (2007), school competition increases simply because there are more
competitors, thereby bringing
two important consequences teachers condemn, but which resulted from the very
massification they supported: the formation of an education market on the very bosom
of the public school, and the development of utilitarianism . . . with families seeking better
school results.
(pp. 54–55)
Here, Dubet is referring to the fact that, in a context of massification of the school system,
families will “legitimately” demand for their children the type of education, the teaching
premises, and, many times, the classrooms thought to be more efficient. The result is the
formation of an education market at the very center of public school systems,5 which become
vulnerable to social demand and lose the power to impose norms on parents more and more
transformed into “rational” users in search of the most profitable asset.
If Dubet calls our attention to the fact that, in all social class groups, the investment in
education increases, other authors will deal, in particular, with its impact on the middle class
by stressing how they have further intensified and refined their educational strategies to take
advantage of the resources (cultural and economic) they have in favor of their children’s
education:
I suggest a number of ways in which the context of class competition in education has
changed and intensified in the past twenty years and the class perspectives and strategies
of the middle classes have changed with them . . . The response of the middle classes to
the increase in insecurity and risk involved in their established strategies of reproduction
has been an intensification of positional competition.
(Ball, 2003: 18–20)
These remarks echo Dubet’s and Martuccelli’s (1996: 119) earliest findings that “it is in the
middle classes, more than in the upper ones, that the school is strongly integrated in a strategy
of social reproduction.”6
Yet, it is van Zanten (2007) who best outlines the scenario of the recent changes that
produced a more empowered class—conceptually and strategically—to face these new social and
educational risks. In fact, bearing in mind the middle class’s intermediary situation (which allows
it to move up or down the social ladder), its inner heterogeneity, and “close” relation to
knowledge (highlighted by a greater openness to the divulgation and vulgarization by the media
of scientific knowledge emerged mainly from education sociology and psychology) the author
affirms that middle-class parents tend, more than others, to imagine themselves as
masters of their own destiny, capable of fighting against social pressure and altering the
course of their individual experiences. In the field of education, this results in stronger
and more sophisticated educational involvement when preparing and following up their
children’s education, and, in general, in a process of planning, rationalization, and
growing individuation of the child’s cultural experience with the important intervention
of knowledge produced by psychology and sociology.
(van Zanten, 2007: 250–251)
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In sum, after reaping the benefits—qualitatively—of the process of democratization of education, the middle class saw its “strategic capacity” increase, which resulted in the “sophistication”
(that is, intensification and diversification) of its educational investments.
When it comes to intensification of investments, sociologists continue stressing “activism,”
“interventionism,” and preventive attitudes; that is, “the enormous amounts of time and energy
devoted to ensuring social reproduction. For the middle-class privilege requires continuous and
intensive work” (Ball, 2003: 95).
This mobilization is manifested today at different levels. Here, I mention what scholars have
discussed the most:
•
•
•
practices of intense monitoring of school activities (including the activities of education
professionals); help with homework; participation in the school’s administration (Ball, 2008;
Crozier et al., 2008);
attitudes when choosing schools that involve a variety of skills such as: access to information
about the school system (including evaluation results and rankings); capacity to differentiate
and interpret different educational establishments; power to deal with sectorization laws,
be it to “colonize” public institutions with “mixed” clientele or influence recruiting and
streaming policies, curriculum content, etc. (Power et al., 2003; van Zanten, 2007);
actions aiming to stimulate the cognitive development of their children. For this purpose,
parents set up an intense schedule to structure out-of-class time (sports, arts class, foreign
languages, etc.), which becomes an integral part in the logic of childrearing, called by Lareau
(2003) concerted cultivation.
As for diversification of investments, the new trend seems to be the growing appeal of
strategies of internationalization of children’s education, even if with variations depending on
the class segment and country of origin. If this is not a new phenomenon,7 it presents, at least
today, differences as to:
•
•
•
•
change of scale, with a strong quantitative increase of mobility;
extension to a new public, for it is no longer the privilege of upper-class youth;
the range, which today encompasses all school levels. Although college level is still the most
internationalized, there exists today early strategies of internationalization involving choice of
pre-school, bilingualor multilingual primary and secondary school (Darchy-Koechlin, 2008);
diversification of country of destiny, although a “tropism” towards developed Englishspeaking countries prevails (van Zanten and Darchy-Koechlin, 2005a).
This seems to be the reply of middle-class families to the demands of the globalization of different
social spheres (economic, political, and cultural), so as to produce individuals with specific skills
and international competence. Yet, this internationalization is not homogeneous for all countries
and social class groups. It is stronger in less developed countries (culturally and economically)
and in wealthier social groups.
However, even in countries whose dominant position, culturally and linguistically, make
them more resistant to the advantages of internationalization, sociologists have noticed that in
the middle class:
The parents are also trying to fashion new identities for their children as citizen of the
multiethnic and multicultural twenty-first century, without which they fear they will not
be able to cope adequately.
(Crozier et al., 2008: 11)
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Although the literature on this subject is still scarce, a few studies have already suggested
the hypothesis that it is the process of accumulation or updating of capital, expressed in the
idea that today “cosmopolitanism (cosmopolitan capital) is a form of social and cultural capital”
(Weeninck, 2005) or that “multiculturalism is increasingly a source of cultural and social
capital” (Reay et al., 2007). The latter observe:
The white middle-class interest in difference and otherness can thus be also understood
as describing a project of cultural capital through which these white middle-class families
seek to display their liberal credentials and secure their class position . . . The ability to
move in and out of spaces marked as “other” became part of the process through which
this particular fraction of the white middle-classes comes to know themselves as both
privileged and dominant.
(Reay et al., 2007: 1046–1047)
In Brazil, researchers have noticed a growing expansion in the demand for this educational
asset on the part of the middle class, which sees the international dimension of cultural capital
as an indispensable component to expand and validate their cultural assets (Nogueira and Aguiar,
2008). Surveys on the impact of education abroad on students’ educational trajectory as well
as parents’ expectations and motivations have revealed both instrumental goals, as a way to
increase competitiveness, and identity objectives, targeting their children’s enhancement and
personal achievement. They try to develop in their offspring a group of attitudes (openness,
autonomy, mobility willingness, tolerance to alterity, etc.), besides providing them with cultural
(linguistic competence, general and specialized culture) and social (international contacts) capitals.
Not to mention the fact that these strategies of internationalization also set a distinction between
those who benefit from international capital and those who limit themselves to national resources
(Nogueira et al., 2008: 371).
From meritocracy to parentocracy: a new problem arises
All of these groups of investments mentioned before illustrate, according to some sociologists,
a contemporary transitional trend from meritocracy to a parentocracy (Ball, 2003, 2008; van
Zanten and Darchy-Koechlin, 2005a).
To support such a claim, sociologists rely on P. Brown’s (1990) article “The third wave:
education and the ideology of parentocracy.” In this text, Brown argues that the British school
would be moving to a third “wave,” after a first in the nineteenth century, characterized by
the universalization of primary school (strongly permeated by social and gender factors), and a
second that encompassed most of the twentieth century and placed individual merit as the main
classification principle.8 For him, the last decades of the twentieth century, thanks to neoliberal
reforms—with free-market principles and parental choice—ended up weakening meritocracy by
allowing
the rise of the educational “parentocracy,” where a child’s education is increasingly
dependent upon the wealth and wishes of parents, rather than the ability and efforts of
pupils.
(Brown, 1999: 66)
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MIDDLE CLASSES AND THE SCHOOL
But Brown does not limit his rationale to the United Kingdom. He extends it to other
Anglo-Saxon countries such as the United States, Australia, and New Zealand. In turn, van
Zanten and Darchy-Koechlin (2005b) also believe in the pertinence of the model for countries
as diverse as France, Japan, and Brazil. Elaborating on Brown’s rationale, both authors affirm
that two phenomena threaten meritocracy today: policies of positive discrimination, which
suppress financial, institutional, and pedagogical barriers, and, with greater weight, the logic of markets
to which families are subjected.
In sum, for these thinkers, a student’s school results would be more and more dependent
on his parents’ financial resources and strategic capacity, and less and less on his or her own
school merits:
Parents try to re-direct the future determined by school results (through private lessons,
for instance) and subject themselves less and less to the logics of the educational institution
(they do their best to make sure their children attend the best school). This is parentocracy.
It means the school competes with parents’ strategies.
(van Zanten and Darchy-Koechlin, 2005b: 18)
This multiplication of parental strategies to provide their children with the best opportunities
for access and success in the noblest sectors of the school system has been Glasman’s object of
study (1994, 2005, 2008). He states that, in the last twenty-five years, a “school out of the
school” has developed, namely, a current expansion of support mechanisms to provide aid to
school actions, so as to prepare the student to face obstacles encountered in school. It is an
arsenal constituted of para-school materials and outsourcing domestic help: private classes,
psychopedagogy offices, specialized companies to follow up homework activities, etc. In a
recently published article, the author summarizes:
When we see these support devices flourishing in the school periphery, it seems something
else besides the school is necessary for success. It seems that, more than ever, students
and parents find it indispensable—to have better chances of success in an increasingly
competitive school environment—to resort to external support as a complement to carry
out activities or training.
(Glasman, 2008: 631)
In sum, this new reality has led researchers to question whether the privilege of the cultural
elite would not be undergoing erosion or, in other words, if their cultural advantages would
not be losing power. If this hypothesis is taken, caution is necessary not to underestimate the
importance of the cultural component, as a number of important sociological studies have
demonstrated that families’ cultural competences play a significant role when it comes to taking
advantage of cultural investments. The studies of Gewirtz et al. (1995) stand out, in this sense,
for drawing our attention to the power of intellectualized families when it comes to school
choice, as they are capable of telling the difference between schools and the characteristics of
each child, thereby allowing them to make adjustments and choose the “right” school for their
children.
New sociological sensibilities: the individual’s point-of-view
Among the transformations—originated in the very way of doing sociology—seen in recent
literature on the relation between middle classes and school, one change stands out. If former
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MARIA ALICE NOGUEIRA
studies placed the emphasis on family practices and insisted on describing typical group patterns
of investment behavior in school life, more recent studies have examined the phenomenon
from another perspective: the meaning the actors place on these behaviors and how they live
up to those ideas. By doing this, sociologists have done nothing more than echo the evolution
taking place in sociology, namely, the question of individualization at the center of contemporary
societies.
That is why van Zanten (2007), not disregarding “structural determinant” parental actions,
is concerned with—inspired by authors such as A. Giddens and U. Beck—the reflexive capacity
of parents, namely, their ability to employ the results divulged by scientific research (their
perspectives being, evidently, different from those of the researcher) to analyze their current
educational reality9 and ponder the consequences of their acts (in particular, the choice of an
educational institution):
By reflexivity we understand the capacity of subjects to recognize, demonstrate and make
visible the rational nature of their concrete practices, without implying an awareness or
permanent attention to this dimension or, in Gidden’s terms, the capacity of individuals
as well as institutions and social systems to carry out continuous self-regulation through
critical distance.
(van Zanten, 2007: 247)
In sum, the author notices that the “middle and upper classes,” more than the “bourgeoisie
or low class,” present a greater tendency to adopt a “distanced, informed, strategic and
politically conscious position regarding their social experience” (p. 249). Yet, she will insist on
the fact that all this strategic capacity produces, along with it, an “opposite effect,” as these
families are also more vulnerable to doubts and anxieties:
These social class groups are also subject, more than the others, to doubts as to what is
the best way of acting and their consequences—for example, what is the best school for
each child. This leads to a great amount of anxiety and triggers an intense search of
information which, in turn, increases anxiety.
(van Zanten, 2007: 251)
Feeling, most of the time, ambivalent between prioritizing the child’s interest or the
collective good, or, in other words, between being a “good parent” or a “good citizen,” these
actors become victims of tension that will lead them to reason and act, as the author suggests,
according to a logic of “cognitive dissonance,” as, for instance:
the cognitive dissonance these social classes experience between “social mixing” values,
to which they adhere in different degrees, and their practices of avoiding socially
heterogeneous schools.
(van Zanten, 2002: 48)
In the Anglo-Saxon world, we find the same tendency to relativize the advantages of the
middle class by focusing on the negative side represented by the “risks, uncertainties and fears”
these families experience. Ball (2003) calls our attention to the fact that:
The absence of complacency and the constant activity of distinction and status maintenance
is the best and the worst of the middle class. They are in a sense their own worst enemies.
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The commitment to individualism and “putting the family first,” the defense of borders
and strategies of social closure undermine both security and moral vision and encourage
fearfulness.
(p. 179)
Reay et al. (2007)—in a study about White middle-class families that chose public schools
with a high contingent of immigrant students, aiming to make them more tolerant and open
to difference—noticed that these parents “feared” in particular: the pernicious influence of
classmates from lower social class on their children; and the negative impact, on the children’s
school performance, of peers who do not value academic success.
Crozier et al. (2008), likewise, on investigating English White middle-class families that,
despite possessing the financial means to afford a private school, opt—for ideological reasons—
for a comprehensive-school, show that these parents
are thus caught in a web of moral ambiguity, dilemmas and ambivalence, trying to perform
“the good/ethical self ” while ensuring the “best” for their children.
(Crozier et al., 2008: 261)
In my opinion, these authors have made the most progress in this matter, as they incorporate
in their analysis the way parents deal with the anxiety they feel at placing their children along
with “the Other,” with those “not like us.” Their texts account for the way families compensate
for the supposed evils of a school environment seen as unsatisfactory from some perspectives.
Through the use of several resources, they work to reduce the risks of a frustrating school
experience by monitoring school activities, participating in the school administration, and
incentivating out-of-school activities, trips, etc.
Final remarks
Based on a partial review of current sociological literature on middle-class family relations and
the school system, this essay aimed at capturing the evolutionary trends social and educational
reality have suffered and the theoretical-methodological treatment they have been given in recent
decades. In this sense, the essay sees an effective renewal of the problem.
Bourdieu’s analysis, which insisted on ascetic dispositions and attitudes of cultural goodwill
to which middle-class families would tend to ascribe so as to compensate for their lack of capital,
seems to give room now to an analytical emphasis on utilitarianism and the strategic capacity
of the actors to utilize, for their own interest, their resources in favor of privileged school
destinies.
However, in this final part of the essay, I would like to raise an issue that originates from
the data and interpretation presented here, which, in my opinion, has not been properly
researched yet. I refer to the growing protagonism of contemporary families—through choices
and educational strategies—in the production and functioning of the school systems themselves.
This means that focusing only on the state and limiting the analysis of educational policies are
not sufficient to understand how the school system works. That is what the middle-class case
teaches us.
While we perceive the family as a mere passive user suffering from the actions of the state,
we will prevent ourselves from seeing its role as co-producer of educational reality and—
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MARIA ALICE NOGUEIRA
indirectly—of public educational policies. It is up to the sociologist to sharpen the data and
arguments to show that families today represent “key actors in the course of educational acts”
(van Zanten, 2002).
Notes
1
2
3
4
5
6
7
8
9
In French, the Revue Internationale d’Éducation (no. 39, September 2005) presents the dossier “La
formation des élites;” and the periodical Éducation et Sociétés (no. 21, 2008/1) brings the dossier “Former
des élites dans un monde incertain.”
The book La montée de la parentocratie. Le choix éducatifs des classes moyennes (Paris: PUF), by van
Zanten, is in print.
I dealt with the middle class–school relations in Bourdieu’s work, in Nogueira (1997).
van Zanten (2007: 250) distinguished between a process of “massification,” which she defines as
the “quantitative expansion” of access to high education on the part of working classes, and a true
“democratization” reserved to middle and upper classes who have benefited from a “qualitative”
increasing, that is, a “real and more extensive access to high levels of knowledge.”
Scholars talk today of a “quasi-market” to account for the differences existing among public schools
when referring to reputation and dispute for vacancies by families.
At this point, it is important to acknowledge that Bourdieu continues to be the conceptual reference
to think about the middle class–education relationship. His thesis remains irrefutable that, if this
social category is the one that most invests in school values, it is not only because it sees the diploma
as the beginning of social success, but also because of the objective possibilities of success and mobility
that are reasonable through it.
Student mobility around the globe has taken place since medieval Europe.
Brown (1990) reminds us, however, that the meritocracy never promised equality, only that
inequalities would be distributed more fairly.
The author gives as an example “‘short surveys’ parents from middle and upper classes claim to
make about the quality of schools near their homes, which the ‘sectoring’ system in France obliges
them to sent their children to; also, the analysis they make of supposed cause of bad quality of some
of these schools and the positive and negative consequences of the strategies they adopt to avoid
them” (p. 249).
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–––– and –––– (2005b) “Parentocratie et marche contre meritocratie,” Le Monde de l’Éducation: 340.
Wagner, A.C. (1998) Les nouvelles élites de la mondialisation, Paris: PUF.
Weenink, D. (2005) “Upper Dutch elite schools in an age of globalisation,” unpublished thesis, School
for Social Science Research, Amsterdam.
263
23
Governing without governing
The formation of a European
educational space
António Nóvoa
Europe must be seen as a problematic entity. The concepts of European construction
or integration cannot be taken for granted. The same applies for the European educational
space. No member state will abdicate its right to govern its education. The very notion of
‘Europeanization of education’ causes concern in most countries, raising fears of homogenization
and of loss of national identity. But, at the same time, it is undeniable that the European Union
is increasingly intervening in the educational field, leading to orientations and guidelines that
tend to organize a European educational space and even to configure a European educational
policy.
The title of this chapter, ‘Governing without governing’, tries to address these tensions and
ambiguities. At a formal level, there is no EU policy on education, but only cooperation and
inter-governmental policy coordination. But after the Maastricht Treaty (1992), and especially
after the Lisbon Strategy (2000), it is hard to understand the resistance to look at these
coordination efforts as one of the most effective European policies.
The chapter is split into three sections:
•
•
•
In the first section I present a brief historical overview of the changes that have occurred
in the Community action in education, since the Treaty of Rome that established the
European Economic Community in 1957.
In the second section I focus especially on the current situation that is defined by an umbrella
programme, called Education and Training 2010, which sets up the educational agenda of
the European Union for the first decade of the twenty-first century.
In the third section I will explain the process of governing without governing, that is, of
elaborating sophisticated ways of producing policies, in each member state and at the
European level, but always pretending that no policy is being implemented.
My intention is to provide a critical perspective of the formation of a European education
space that is, at the same time, a process of fabricating a European educational policy (Nóvoa
and Lawn, 2002). It is obvious that this process is interconnected with globalization issues as
well as with national policies. But the purpose of this chapter is to illuminate a layer of analysis
– the role of the European Union – that is often neglected in the analysis of educational policies.1
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THE FORMATION OF A EUROPEAN EDUCATIONAL SPACE
Historical overview of the European educational policies
(1957–2010)
Since its beginnings, in 1957, the European Economic Community has been reluctant to accept
intervention regarding educational affairs at Community level. The fragile architecture of powers
in the European space required that there were domains that remained under the exclusive
responsibility of each member state. Even nowadays, after hundreds of EU texts and programmes
that have led to profound changes in all the national education systems, the official discourse
remains unchanged: ‘Responsibility for education and training policy lies with Member States.
Europe’s role is to support the improvement of national systems trough complementary
EU-level tools, mutual learning and exchange of good practice’ (Commission of the European
Communities (CEC), 2008a: 3).
The unionization process in the educational field cannot be viewed through the lens of
traditional politics (Nóvoa and DeJong-Lambert, 2003). Of course, education has been one
of the most contested arenas in Europe, not only owing to its symbolic value in national
imaginaries but also because of public resistance to a ‘common policy’. Yet, it is not difficult
to establish the main phases of EU policy making in education, taking as turning points the
Maastricht Treaty (1992) and the Lisbon Strategy (2000).
Some of the most emblematic programmes, such as Erasmus, launched in the 1980s, were
characterized by a certain voluntarism and the need to abolish borders in Europe, between
states and between people. At the same time, extending the concept of vocational training, it
has been possible to include virtually all forms of education in the Community action. It led
to a kind of vocational bias in the way educational policies were overcharged by a discourse
related with human resources and workforce qualifications.
Quality as a pretext for a common educational policy (1992–2000)
An important turning point took place in 1992, with the inscription in the Maastricht Treaty
of articles 126 and 127, creating the political and legal conditions for a more overt action of
European entities in education and vocational training. Throughout the 1990s, a large body
of literature was produced opening a space for future policies: ‘Green Paper on the European
dimension of education’ (1993); ‘White Paper on Growth, competitiveness, employment’
(1993); ‘Teaching and learning: towards the learning society’ (1995); ‘Accomplishing Europe
through education and training’ (1997); ‘Towards a Europe of knowledge’ (1997); ‘Learning
for active citizenship’ (1998), etc.
It is possible to distinguish two different approaches, both contributing to build a European
educational space. First, the emphasis on lifelong learning that is not only invoked with reference
to education and schooling, but also to the problems of unemployment and preparation for the
job market. Second, the idea of developing ‘quality education’, leading to the organization of
data and statistics at European level. The invention of comparable indicators is not only an
operation to describe reality; it is also a powerful way of constructing new ideas and practices
in education.
The Lisbon Strategy as a turning point in the construction of a
European educational space (2000–2010)
Since the very beginning of European cooperation in the field of education, ministers of
education have underlined the diversity of their systems of education (Ertl, 2006). The Lisbon
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ANTÓNIO NÓVOA
European Council, in 2000, broke with this by asking the ministers to concentrate their reflection on what is common (European Council, 2000). The definition of a European educational
space began to be clearly outlined, and, at its core, the educational policies influenced the set
of national policies. It is difficult to imagine a member state that will not ‘freely adhere’ to this
game, which is defined by lifelong learning as its overriding principle and by quality as its implementation method (i.e. appraising the performances of each member state).
The report from the Commission, The concrete future objectives of the education systems (CEC,
2001), expresses this shift. Throughout the document we are presented with a series of
common concerns, methods for policy implementation and evaluation indicators. In 2002, the
Barcelona European Council agreed upon the Education and Training 2010 work programme,
which serves as the basis for the European Union’s political action in the field of education in
the first decade of the twenty-first century (European Commission, 2009).
Education and Training 2010: the formation of a European
educational space
The Education and Training 2010 work programme clearly establishes a European educational
space, taking into account ‘that the development of education and training systems in a lifelong
learning and in a worldwide perspective has increasingly been acknowledged as a crucial factor
for the future of Europe in the knowledge era’ (Council of the European Union (CEU), 2002:
4). The main purpose of the programme is to organize EU educational standards into a ‘single
comprehensive strategy’.
The document defines three strategic objectives, broken down into thirteen associated
objectives:
•
•
•
improving the quality and effectiveness of education and training systems in the EU;
facilitating the access of all to education and training systems;
opening up education and training systems to the wider world.
To pursue these objectives, the EU implemented the ‘open method of coordination’, that is a
process of policy making based upon ‘the identification of shared concerns and objectives, the
spreading of good practice and the measurement of progress through agreed instruments,
comparing achievements both between European countries and with the rest of the world’
(CEU, 2002: 3).
Three strategic objectives: quality, access, openness
The Education and Training 2010 work programme always comes back to the same topics,
building a narrative that is intentionally circular and redundant. Two terms appear repeatedly,
defined and redefined according to context: quality and lifelong learning. On the one hand,
they define a strong tendency towards logics of evaluation, leading to rankings and classifications
that consecrate as ‘inevitable’ a particular way of conceiving education and schooling. On the
other hand, they introduce a new approach to educational matters, at both the personal and
the social level.
‘Improving quality and effectiveness’ is the first strategic objective. The work programme
focuses on key competencies for the so-called knowledge society. The attention is directed
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towards three key competencies: ‘Learning to learn’, an old pedagogical concept that is
redefined by constructivism, but also by the economic world, in terms of lifelong learning;
‘social skills’, which relates to personal relations and networks, as well as to principles of selfresponsibility and citizenship; and ‘entrepreneurship’, which underlines the importance of
initiative, management and risk.
The intention to ensure and to monitor quality education leads to the evaluation of progress
and achievement through comparable benchmarks and indicators. The intention is to move
towards a more knowledge-based policy and practice, providing policymakers with reference
points based on indicators and standards that are ‘commonly’ defined and ‘freely’ accepted.
These benchmarks are governing principles that construct an educational policy lying in specific
forms of knowledge and expertise.
The formulation of the second strategic objective – ‘facilitating access for all’ – intentionally
emphasizes issues related to lifelong learning. On the one hand, it redefines ‘employment’ as
a learning problem that should be solved by each individual. On the other hand, it creates the
illusion that the ‘crisis of schooling’ will be solved if individuals simply continue to expose
themselves to education and training throughout their entire lifetime. The Lisbon Strategy did
invent the concept of employability in order to link employment to education, and to interpret
unemployment as a problem of ‘uneducated’ people (CEU, 2008).
Active citizenship, entrepreneurial culture and lifelong learning are part of a process of
reconfiguring the self. Thus, the responsibility for solving the crisis of the welfare state (and/or
the European social model) shifts to citizens who are invited to become responsible for
‘constantly updating their knowledge’ in order to enhance employability and consolidate the
process of unionization.
The goal of the third strategic objective – ‘opening up education and training systems to
the wider world’ – is to create an open ‘European area for education’ and to promote the
‘European dimension of teaching and training’. Mobility within the European space is described
as not simply movement, but rather as a process that develops awareness of what it means to
be a citizen of Europe.
The idea of experiencing Europe is concurrent with programmes of mobility and the project
of reinforcing European citizenship. The politics of identity is formulated in terms of qualification
and disqualification. Such a policy in effect exiles all those not endowed with the requisite
attributes, as well as those simply unable to acquire them, producing at once new forms and
new impediments to mobility.
Education and Training 2010 work programme: analysis and
progresses
Between the Lisbon European Council (March 2000) and the Brussels European Council (March
2009), hundreds of documents have been issued by different European bodies. They all reveal
a double meaning: on the one hand, the need to make up for lost time and improve education
and training in Europe, as a whole; on the other hand, the need to accelerate ‘the pace of
reforms of education and training systems’, whereby the European programmes ‘should be duly
taken into account in the formulation of national policies’ (CEU, 2004: 6).
Adopting different structures and perspectives, these documents tend to focus on three main
points. First, the need to concentrate reforms and investment on the key areas. There is a
persistent call to channel more resources to the area of education, taking into account that ‘most
governments seem to recognize that the necessary reforms cannot be accomplished within the
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ANTÓNIO NÓVOA
current levels and patterns of investment’ (CEU, 2006: 2). Over the years, there has been a
level of disappointment with the progress made in this field. At the end of 2008, it was pointed
out that ‘the current focus on the economic crisis must not divert attention from setting the
right long-term, strategic education and training policies’, because ‘Europe has to address a
number of educational shortfalls if it is to avoid falling behind globally’ (CEC, 2008a: 16).
Second, the need to make lifelong learning a concrete reality. The intention is to equip ‘all
citizens with the key competencies they need’. The approval in 2007 of a very important
document entitled New skills for new jobs again placed the issue in terms of employment and the
job market (CEU, 2009). But also, here, there has been a degree of disappointment. The Council
says that progress has been achieved in defining lifelong learning strategies, but implementation
is far from being achieved satisfactorily (CEU, 2006: 3).
Third, the need finally to establish a Europe of education and training (Antunes, 2008). The
Council of the European Union recognizes that many countries are establishing their own
policies in relation ‘to the reference levels of average European performance for education and
training’ (CEU, 2006: 2). But the European Commission explains, in a 2008 communication,
that despite the impressive range of innovation and excellent policy practice in many countries,
it is too often still locked behind national borders, and that is why ‘Member States should
cooperate to capitalise better on it’ (CEC, 2008b: 12).
Progress towards the Lisbon objectives
The Commission publishes a detailed report annually analysing the progress made on an agreed
set of statistical indicators and benchmarks in the framework of the Education and Training 2010
work programme. It is impossible to analyse these lengthy reports in detail, which are justified
due to the fact that ‘educational policies and practices require a stronger evidence base’ (CEC,
2007: 3).
Despite the frequent changes, a substantial proportion of the reports are based on five EUlevel benchmarks set for 2010. By the end of 2008, it is obvious that most of these benchmarks
will not be reached:
The EU set itself the overall ambition of achieving 5 benchmarks by 2010, on literacy,
reduction of early school-leaving, upper secondary attainment, maths, science and
technology graduates and participation in adult learning. Only the benchmark on
mathematics, science and technology graduates is likely to be exceeded. Indeed, low
performance in reading literacy, which was benchmarked to decline by 20% by 2010,
has actually increased by more than 10% between 2000 and 2006 and has reached 24.1%.
(CEC, 2008c: 9)
The Commission’s appraisal is especially critical with regard to the fact that too little progress
has been made on those benchmarks related most closely to social inclusion. It is an important
reference, when it becomes obvious that there is a need for a new generation of policies to
respond to the economic and social crisis. The only indicator in which real progress has been
made is in science and technology, an area that was given a big boost with the Lisbon Strategy.
This perspective is coherent with the proposal for ‘Energising Europe’s knowledge triangle of
research, education and innovation’, which is finding its place into European policies.
The knowledge triangle is a strategy to attract more funds to research and innovation and
to enhance the competitiveness of the economy. But the 2008/2009 economic crisis tends to
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THE FORMATION OF A EUROPEAN EDUCATIONAL SPACE
lead people to underline the third dimension of the triangle: education. In March 2009, the
Brussels European Council called for an improvement of member states’ cooperation and an
advancement in the member states’ and the Union’s methodological, analytical and mutual
learning capacities for jobs and skills anticipation.
As the last year of the Education and Training 2010 work programme approaches, one can
note a critical feeling concerning its results. The response is, obviously, to strengthen European
cooperation and take another step forwards towards concerted policies at European level: ‘These
challenges should be addressed in a joined-up policy across the systems as a whole (schools,
higher education, vocational education and training and adult learning). Lifelong learning is
therefore a fundamental perspective underpinning all the above challenges’ (CEC, 2008a: 6).
The main objectives for the next phase (2010–2020) are not very different from the ones
defined for the current decade, 2000–2010, even if they are defined with a new focus: (i) make
lifelong learning and learner mobility a reality; (ii) improve the quality and efficiency of provision
and outcomes; (iii) promote equity and active citizenship; (iv) enhance innovation and
creativity, including entrepreneurship, at all levels of education and training (CEC, 2008a: 6).
The way to achieve these aims is to deepen European cooperation, driving forward the dynamics
of joint work: ‘there is, more than ever, a need for an effective open method of coordination
supporting the improvement of education and training policies’ (CEC, 2008a: 16).
Governing without governing: fabricating educational policies
at the European Union
The processes that we have just described are not specific to the European context. They are
part of broader developments, which have been popularized by the imperfect concept of
‘globalization’. But, inside the European Union, they are strengthened by a historic project
that tends to integrate national states into a political union. And this fact gives them a different
status, opening up new political possibilities. This is the main reason why this ‘unidentified
political object’ known as the European Union is such an interesting object of study, both for
comparative politics and for the socio-historical analysis of educational policies (Dale and
Robertson, 2009).
The Education and Training 2010 work programme emphasizes four verbs: identify, spread,
measure and compare. To identify means to agree on shared objectives and guidelines for
educational policies. To spread refers to the diffusion and transfer of the most successful practices
from one country to another. To measure is to establish precise benchmarks and to evaluate
the performance of each education system. To compare means to organize a way of assessing
the progress made by each country. The goal of this process is described as ‘to help Member
States to develop their own policies progressively’ (CEU, 2002: 5), but always in accordance
with the objectives defined at European level.
To achieve this goal, an open method of coordination has been implemented in the framework
of the Lisbon Strategy (Lange and Alexiadou, 2007). This method is built on the use of tools
‘such as indicators and benchmarks as well as comparing best practice, periodic monitoring,
evaluation and peer review etc. organized as mutual learning processes’ (CEU, 2002: 5).
Cohesion and configuration of policy are not achieved through sanctions, but through a much
more sophisticated approach. Voluntary participation by each member state serves to legitimize
these arguments. Yet it is hard to imagine how a member state could stand outside of this
‘playing field’.
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ANTÓNIO NÓVOA
Comparison as a mode of governance
The issues that are being raised at the European Union do not direct our attention to a deepening
of democratic decisions, but instead to a reinforcement of ‘new means’ (governance,
benchmarking, good practices etc.) and ‘new powers’ (networks, informal groups, mass media
etc.). The current approach to European affairs clearly reveals a strategy to shift the discussion
away from matters of government (inhabited by citizens, elections, representation etc.) and place
it in the more diffused level of governance (inhabited by networks, peer review, agreements etc.).
Policy is constructed through a logic of perpetual comparison, which is legitimized and put
into action through ‘new means’ that are intended to find the most beneficial or efficient
solutions. Benchmarking – and, for that matter, comparability – is seen as a solution that will
become the policy. The last documents issued at European level are very precise in underlining
the ‘challenge of data and comparability’:
Mutual learning is a central element of the open method of coordination in education
and training. It provides input for European policy initiatives and support to national
policy development . . . For the future, the aim should be to strengthen peer learning in
order to ensure that it fully respects the priority challenges identified above and to increase
its impact at the political level.
(CEC, 2008a: 12)
Thus, comparison can be understood as a mechanism to legitimize EU interference in national
educational issues. The logic of comparison produces a vocabulary consisting of positive terms
such as ‘exchange’, ‘joint reflection’ and ‘agreement’. What is presented as a strategy to improve
education should be understood as a mode of governance (Nóvoa and Yariv-Mashal, 2003).
Governing by data
Benchmarking practices are tied in with data and quality assurance. They are not only a
technique or a method, but also one of the most successful tools for implementing governance
policies. Therefore, it is obvious that these kinds of policy need data that can allow the
establishment of aims and the monitoring of progress. It is not simply a matter of collecting
and organizing data; rather, it is a process that constructs educational realities as much as it
describes them. Through the arrangement of categories and classifications, a definition of the
‘best system’ is proposed. Each member state will act in accordance with these goals and ideals.
By the end of 2007, a very important working document asked for a stronger knowledge
base for developing policy and practice at national and EU levels in order to improve the quality
and governance of education systems: ‘Member States and the EU institutions need to use
evidence-based policy and practice, including robust evaluations instruments, to identify which
reforms and practice are the most effective, and to implement them most successfully’ (CEC,
2007: 3).
It is a very interesting document, based upon the idea that ‘educational research currently
appears to have a lower impact on policy and practice than research in other policy fields, such
as social care or employment policy’ (CEC, 2007: 25). The challenge of data and comparability
has now been reworked from the point of view of knowledge and research (Ozga, 2008).
The new modes of governance are based on logics of contracting and networks, heavily
backed up by data, assessments, impacts, benchmarking, best practices and mutual learning.
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Research was the missing link for redefining policy formulation in the European Union. The
reasoning is clear: on the one hand, the EU needs policies that are strongly oriented by research
and knowledge; on the other hand, ‘education and training are a prerequisite for a fully
functioning knowledge triangle (education – research – innovation)’ (CEC, 2007: 3). Along
with this line of thought, one finds the rationale for the new phase of European education
policies, in the 2010–2020 period.
Concluding comments
My argument is that Europe functions like a regulatory ideal that tends to influence, if not organize,
national policies. It is obvious that no ‘homogenization’ will occur. Talk of the diversity of
national education systems is almost a tautology. And, meanwhile, we continue to witness the
development of tendencies towards defining common goals, similar strategies and, therefore,
identical policies.
The example of the Bologna Process is extremely enlightening. On the one hand, it is a
process that involves countries that do not belong to the European Union, and it is a process
that cross-references trends that are expressed worldwide. But, on the other hand, it has gained
an extremely relevant role in the EU policies, restructuring higher education and research. There
is no legal obligation to take part in the Bologna Process, but it is unthinkable for any country
to stay outside its dynamics, networks and connections, which are at the core of the modernization agenda of the universities. If one permits me the paradox, I would say that it is a
‘compulsory option’.
The complexity of the debate calls for more theoretical tools and critical approaches. It is
useless to reproduce distinctions and dichotomies that cannot raise new understandings. We
must not look at this debate as a conflict between ‘national states’ and ‘European institutions’.
This is not a zero-sum game, where giving more power to ‘Europe’ will automatically lead to
a weakening of the ‘nation-state’, or vice versa. An arithmetical conception of power is totally
inaccurate.
New ways of governing without governing have proven to be extremely attractive. They
are very sophisticated in naturalizing policies, in raising a sense of inevitability. It is as if they
‘only’ construct data, or identify good practices, or compare best methods, whereas, in truth,
these data, practices and methods are in themselves powerful tools in the formation of a European
educational space.
European policies should be understood as part of an expert discourse that is redefining
educational issues globally. This movement of experts creates and circulates concepts and ideas
without structural roots or social locations. We are faced with a strange ‘worldwide bible’ whose
vocabulary, of unknown origin, is on the tip of every tongue. In this sense, the process of
‘learning from one another’ is a way of thinking and acting that establishes an educational policy
without specifically formulating it.
The European educational space defines its own borders in the framework of this ‘mutual
learning’, which brings, at the same time, a sense of increased competition on a global scale.
The European Union seeks to attract students and academics from other world regions, aimed
at turning European educational institutions into ‘recognised worldwide centres of excellence’
(CEU, 2002: 16). This objective is formulated against a background in which the United States
of America and Asian countries are regarded as the main competitors in the world education
market.
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ANTÓNIO NÓVOA
One of the main political undertakings of the European educational space is to build an
internal identity among citizens and countries. According to the main driving force of the
European construction, it is without surprise that employment and social cohesion are at the
core of educational policies. That is why the European Union first adopted orientations strongly
inspired by human capital theories and vocationalism, subsequently shifting to employability
and lifelong learning.
The restructuring of the European educational space is related both to a new conception of
the responsible citizen and the role of education for a new organization of the labour market.
The former dictates that individuals should be able to ‘manage their learning with selfdiscipline, working autonomously and collaboratively’ (CEC, 2008b: 5). As regards the new
organization of the labour market, this even involves a new way of looking at jobs, as well as
personal and professional lives.
Notes
1
The European Union publishes hundreds of documents, every year, about education and training.
Most of these documents have several versions, according to their status in the process of taking
decisions at EU level. For this reason, I limited myself to documents issued by the Commission of
the European Communities (CEC) and by the Council of the European Union (CEU) (See also
Council of the European Communities, 1987–1993). The European Union provides extended
versions of all documents online. I recommend the consultation of two sites:
• ‘European strategy and cooperation in education and training’, available online at http://
ec.europa.eu/education/lifelong-learning-policy/doc28_en.htm;
• ‘Education and Training 2010 – Main policy initiatives in education and training since the year
2000’, available at http://ec.europa.eu/education/policies/2010/doc/compendium05_en.pdf.
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CEC (2001) The concrete future objectives of education systems – Report from the Commission, Brussels: document
COM(2001) 59 final.
–––– (2007) Towards more knowledge-based policy and practice in education and training – Commission staff working
document, Brussels: document SEC(2007) 1098.
–––– (2008a) An updated strategic framework for European cooperation in education and training – Communication
from the Commission to the European Parliament, the Council, the European Economic and Social Committee
and the Committee of the Regions, Brussels: document COM(2008) 865 final.
–––– (2008b) Improving competencies for the 21st century: An agenda for European cooperation on schools –
Communication from the Commission to the European Parliament, the Council, the European Economic and
Social Committee and the Committee of the Regions, Brussels: document COM(2008) 425 final.
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CEU (2002) Detailed work programme on the follow-up of the objectives of Education and training systems in Europe,
Brussels: document 2002/C 142/01.
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interim report of the Council and the Commission on the implementation of the detailed work programme on
the follow-up of the objectives of education and training systems in Europe, Brussels: document 6905/04.
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–––– (2006) Modernising education and training: a vital contribution to prosperity and social cohesion in Europe –
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the Council and the Commission on the implementation of the ‘Education & Training 2010 Work Programme’,
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needs, Brussels: 2930th Employment, Social Policy, Health and Consumer Affairs Council meeting.
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Office for Official Publications of the European Communities, 3 vols.
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Books.
Ertl, H. (2006) ‘European Union policies in education and training: the Lisbon agenda as a turning point?’,
Comparative Education 42(1): 5–27.
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24
The university in the twenty-first century
Toward a democratic and emancipatory
university reform1
Boaventura de Sousa Santos
In an essay published fifteen years ago,2 I identified three crises facing the university (Santos,
1994). First, the crisis of hegemony was the result of contradictions between the traditional
functions of the university and those that had come to be attributed to it throughout the
twentieth century. When it stopped being the only institution of higher education and research
production, the university entered a crisis of hegemony. The second crisis was a crisis of legitimacy, provoked by the fact that the university ceased to be a consensual institution, in view of
the contradiction between the hierarchization of specialized knowledge through restrictions of
access and credentialing of competencies, on the one hand, and the social and political demands
for a democratized university and equal opportunity for the children of the working class, on
the other. Finally, the institutional crisis was the result of the contradiction between the demand
for autonomy in the definition of the university’s values and objectives and the growing pressure
to hold it to the same criteria of efficiency, productivity, and social responsibility that private
enterprises face.
What has happened since I wrote that essay? How can we characterize the situation in which
we find ourselves? What are possible responses to the problems that the university faces today?
In this chapter, I will try to provide answers to these three questions. In the first part, I will
undertake an analysis of recent transformations in the system of higher education and their impact
on the public university. In the second part, I will identify and justify some of the basic principles
of a democratic and emancipatory reform of the public university, that is, a reform that allows
the public university to respond creatively and efficiently to the challenges it faces at the outset
of the twenty-first century.
Transformations in higher education
The last fifteen years
The predictions I made fifteen years ago have come to pass, beyond my expectations. Despite
the fact that the three crises were intimately connected and could only be confronted jointly
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and by means of vast reform programs, generated both inside and outside the university,
I predicted (and feared) that the institutional crisis would come to monopolize reformist agendas
and proposals. This is in fact what happened. I also predicted that concentrating on the
institutional crisis could lead to the false resolution of the two other crises, a resolution by default:
the crisis of hegemony, by the university’s increasing loss of specificity; the crisis of legitimacy,
by the growing segmentation of the university system and the growing devaluation of university
diplomas, in general. This has also happened.
Concentrating on the institutional crisis was fatal for the university and was due to a number
of factors, some already evident at the beginning of the 1990s, while others gained enormous
weight as the decade advanced. The institutional crisis is and has been, for at least two centuries,
the weakest link of the public university, since its scientific and pedagogical autonomy is based
on its financial dependency on the state. While the university and its services were an unequivocal
public good that was up to the state to ensure, this dependency was not problematic, any more
than that of the judicial system, for example, in which the independence of the courts is not
lessened by the fact they are being financed by the state. However, contrary to the judicial system,
the moment the state decided to reduce its political commitment to the universities and to
education in general, converting education into a collective good that, however public, does
not have to be exclusively supported by the state, an institutional crisis of the public university
automatically followed. If it already existed, it deepened. It can be said that, for the last thirty
years, the university’s institutional crisis, in the great majority of countries, was provoked or
induced by the loss of priority of the university as a public good and by the consequent financial
drought and disinvestment in public universities. The causes and their sequence vary from country
to country. In countries that lived under dictatorships for the previous four decades, there were
two reasons for the onset of the institutional crisis: to reduce the university’s autonomy to the
level necessary for the elimination of the free production and diffusion of critical knowledge;
and to put the university at the service of modernizing, authoritarian projects, opening the production of the university-as-public-good to the private sector and forcing the public university
to compete under conditions of unfair competition in the emerging market for university services.
In the democratic countries, the onset of the crisis was related to this latter reason, especially
beginning in the 1980s, when neoliberalism was imposed as the global model of capitalism. In
countries that made the transition from dictatorship to democracy in this period, the elimination
of the former reason (political control of autonomy) was frequently invoked to justify the goodness of the latter (creation of a market for university services). In these countries, the affirmation
of the universities’ autonomy was on a par with the privatization of higher education and the
deepening of the public universities’ financial crisis. It was a precarious and deceiving autonomy,
because it forced the universities to seek new dependencies much more burdensome than dependence on the state, and because the concession of autonomy was subject to remote controls finely
calibrated by the ministries of finance and education. Consequently, in the passage from dictatorship to democracy, unsuspected continuities ran beneath the evident ruptures.
The onset of the institutional crisis by way of the financial crisis, accentuated in the last twenty
years, is a structural phenomenon accompanying the public university’s loss of priority among
the public goods produced by the state. The fact that the financial crisis was the immediate motive
of the institutional crisis does not mean that the causes of the latter can be reduced to the financial
crisis. The analysis of the structural causes will reveal that the prevalence of the institutional crisis
was the result of the impact upon it of the two other unsolved crises, the crises of hegemony
and of legitimacy. And in this domain, there have been, in the last fifteen years, new developments in relation to the picture I described at the beginning of the 1990s.
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The public university’s loss of priority in the state’s public policies was, first of all, the result
of the general loss of priority of social policies (education, health, social security) induced by
the model of economic development known as neoliberalism or neoliberal globalization, which
was internationally imposed beginning in the 1980s. In the public university, it meant that its
identified institutional weaknesses—and they were many—instead of serving as justification for
a vast political-pedagogical reform program, were declared insurmountable and used to justify
the generalized opening of the university-as-public-good to commercial exploitation. Despite
political declarations to the contrary and some reformist gestures, underlying this first collision
of the university with neoliberalism is the idea that the public university is not reformable (any
more than the state) and that the true alternative lies in the creation of the university market.
The savage and deregulated way in which this market emerged and was developed is proof
that there was a deep option in its favor. And the same option explained the disinvestment
in the public university and massive transferences of human resources that, at times, looked
like a “primitive accumulation” on the part of the private university sector at the cost of the
public sector.
The two defining processes of the decade—the state’s disinvestment in the public university
and the mercantile globalization of the university—are two sides of the same coin. They are
the two pillars of a huge global project of university politics destined to profoundly change the
way the university-as-a-public-good has been produced, transforming it into a vast and vastly
profitable ground for educational capitalism. This mid- to long-range project includes different
levels and forms of the mercantilization of the university. As for the levels, it is possible to
distinguish two. The primary level consists in inducing the public university to overcome the
financial crisis by generating its own resources, namely through partnerships with industrial
capital. On this level, the public university maintains its autonomy and its institutional
specificity, privatizing part of the services it renders. The second level consists of the biased
elimination of the distinction between public and private universities, transforming the university
as a whole into a business, an entity that not only produces for the market but which is itself
produced as a market, as a market of university services as diverse as administration, teaching
programs and materials, certification of degrees, teacher training, and teacher and student
evaluation. If it will still make sense to speak of the university as a public good when this second
level is attained is a rhetorical question.
The disinvestment of the public university
The crisis of the public university as a consequence of disinvestment is a global phenomenon,
although its consequences are significantly different at the core, the periphery, and the semiperiphery of the world system. In the central countries, the situation is differentiated. In Europe,
where, with the exception of England, the university system is almost totally public, the public
university has had the power to reduce the extent of the disinvestment at the same time that
it has developed the ability to generate its own income through the market. The success of
this strategy depends in good measure on the power of the public university and its political
allies to block the significant emergence of the private university market. For instance, in Spain,
this strategy has so far been more successful than in Portugal. However, it is important to bear
in mind that, throughout the decade, a private, non-university sector emerged in almost every
European country, aimed at the professional job market. This fact led the universities to respond
by structurally modifying their programs and by increasing their variety. In the United States,
where private universities occupy the top of the hierarchy, public universities were motivated
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to seek alternative funding from foundations, in the market, and by raising tuition fees. Today,
in some North American public universities, the state funding is no more than 50 percent of
the total budget.
On the periphery, where the search for alternative income in the market is virtually
impossible, the crisis attains catastrophic proportions. Obviously, the ills are long-standing, but
they have been seriously aggravated in the past decade by the state’s financial crisis and the
structural adjustment programs. A UNESCO report from 1997 about the majority of African
universities drew a dramatic picture of all sorts of shortages: the collapse of infrastructures, almost
total lack of equipment, miserably remunerated, unmotivated, and easily corruptible teaching
personnel, and little or no research investment. The World Bank diagnosed the situation in a
similar way and, characteristically, declared it irreparable. Unable to include in its calculations the importance of the university in the building of national projects and the creation of
long-term critical thinking, the Bank concluded that African universities do not generate
sufficient “return” on their investment. As a consequence, the African countries were asked to
stop investing in universities, concentrating their few resources on primary and secondary
education and allowing the global market of higher education to resolve the problem of the
university for them. This decision had a devastating effect on the universities of the African
countries.
This is a global process and it is on this scale that it should be analyzed. The development
of university instruction in the central countries, in the thirty or forty years after World War
II, was based, on the one hand, on the successes of the social struggles for the right to education,
translated into the demand for a more democratic access to the university and, on the other
hand, on the imperatives of an economy that required a more highly qualified workforce in
key industrial sectors. The situation changed significantly, starting with the economic crisis that
peaked in the mid 1970s. Since then, there has been a growing contradiction between the
reduction of public investment in higher education and the intensification of the international
economic competition based on the search for technological innovation and, hence, on the
techno-scientific knowledge that makes it possible, as well as on the training of a highly qualified
workforce.
As for the demand of a qualified workforce, the 1990s revealed another contradiction: the
growth of the qualified workforce required by an economy based on knowledge coexisted with
the explosive growth of very low-skilled jobs. The neoliberal globalization of the economy has
deepened the segmentation of the labor markets between countries and within countries. At
the same time, it has allowed both the qualified worker and the unqualified worker pools to be
recruited globally—the former, predominately through brain drain and outsourcing of technically
advanced services, the latter, predominately through businesses delocalizing across the globe
and (often clandestine) immigration. The global availability of skilled labor permits the central
countries to lower the priority of their investment in public universities, making funding more
dependent on market needs. Actually, there is another contradiction in this domain between
the rigidity of university training and the volatility of the qualifications required by the market.
This contradiction was shaped, on one hand, by the creation of modular, non-university, tertiary
training systems and, on the other, by shortening the periods of university training and making
the latter more flexible. Despite ad hoc solutions, these contradictions became enormously acute
in the 1990s and had a disconcerting impact on higher education: the university was gradually
transformed from a generator of conditions for competition and success in the market into an
object of competition, that is, into a market of university services.
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From university knowledge to pluriversity knowledge
The developments of the past decade presented the university with very demanding challenges,
especially the public university. The situation is near collapse in many countries on the periphery,
and it is difficult in the semi-peripheral countries. Although the expansion and transnationalization of the market for university services has contributed decisively to this situation in recent
years, they are not the only cause. Something more profound occurred, and only this explains
why the university, while still the institution par excellence of scientific knowledge, has lost
its hegemony and has been transformed into an easy target for social criticism. I think that, in
the past decade, the relations between knowledge and society began to change significantly,
and these alterations promise to be profound to the point of transforming the way we conceive
of knowledge and of society. As I said, the commercialization of scientific knowledge is the
most visible side of these alterations. However, and despite their enormity, they are the tip of
the iceberg, and the transformations now in progress have contradictory meanings and multiple
implications, some of them epistemological.
University knowledge—that is, the scientific knowledge produced in universities, or
institutions separate from the universities but that retain a similar university ethos—was, for the
whole of the twentieth century, a predominantly disciplinary knowledge whose autonomy imposed a relatively decontextualized process of production in relation to the day-to-day pressures
of the societies. According to the logic of this process, the researchers are the ones who determine
what scientific problems to solve, define their relevance, and establish the methodologies and
rhythms of research. It is a homogeneous and hierarchically organized knowledge insofar as the
agents who participate in its production share the same goals of producing knowledge, have
the same training and the same scientific culture, and do what they do according to well-defined
organizational hierarchies. It is a knowledge based on the distinction between scientific research
and technological development, and the autonomy of the researcher is translated as a kind of
social irresponsibility as far as the results of the application of knowledge are concerned.
Moreover, in the logic of this process of the production of university knowledge, the distinction between scientific knowledge and other kinds of knowledge is absolute, as is the relation
between science and society. The university produces knowledge that the society does or does
not apply, an alternative that, although socially relevant, is indifferent or irrelevant to the
knowledge produced.
The university’s organization and ethos were created by this kind of knowledge. It happens
that, throughout the past decade, there were alterations that destabilized this model of
knowledge and pointed to the emergence of another model. I designate this transition, which
Gibbons et al. (1994) described as a transition from “type1 knowledge” to “type 2 knowledge,”
as the passage from university knowledge to pluriversity knowledge.
Contrary to the university knowledge described above, pluriversity knowledge is a contextual
knowledge insofar as the organizing principle of its construction is its application. As this
application is extramural, the initiative for formulating the problems to be solved and the
determination of their criteria of relevance are the result of sharing among researchers and users.
It is a transdisciplinary knowledge that, by its very contextualization, demands a dialogue or
confrontation with other kinds of knowledge, which makes it more heterogeneous internally
and allows it to be more adequately produced in less perennial and more open systems, organized
less rigidly and hierarchically. All the distinctions upon which university knowledge is based
are put in question by pluriversity knowledge but, most basically, it is the relation between
science and society that is in question. Society ceases to be an object of scientific questioning
and becomes itself a subject that questions science.
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The tension between these two models of knowledge highlights the extremes of two ideal
types. In reality, the kinds of knowledge produced occupy different places along the continuum
between the two poles, some closer to the university model, others closer to the pluriversity
model. This heterogeneity not only destabilizes the current institutional specificity of the
university, it also questions its hegemony and legitimacy in such a way as to force it to evaluate
itself by self-contradictory criteria.
Pluriversity knowledge has had its most consistent realization in university–industry
partnerships in the form of mercantile knowledge. But, especially in the central and semiperipheral countries, the context of application has been non-mercantile as well—cooperative
and dependent on the solidarity created by partnerships among researchers and labor unions,
NGOs, social movements, particularly vulnerable social groups (women, illegal immigrants,
the unemployed, people with chronic illnesses, senior citizens, those afflicted with HIV/AIDS,
etc.), working-class communities, and groups of critical and active citizens. There is a growing
sector of civil society developing a new and more intense relationship with science and technology, demanding greater participation in their production and in the evaluation of their impact.
In multi-ethnic and multinational countries, pluriversity knowledge begins to emerge from inside
the university itself, when incoming students from ethnic and other minority groups understand
that their inclusion is a form of exclusion. They are confronted with the tabula rasa that is made
of their cultures and of the traditional knowledge of their communities. All of this leads scientific
knowledge to confront other kinds of knowledge and demands a higher level of social
responsibility from the institutions that produce it and, consequently, from the universities. As
science becomes more ingrained in the society, the society becomes more a part of science.
The university was created according to a model of unilateral relations with society, and it is
this model that underlies its current institutionalism. Pluriversity knowledge supplants this
unilateral notion with interactivity and interdependence, both processes enormously invigorated
by the technological revolution of information and communication.
Democratic and emancipatory reform of the public university
What is to be done?
In the second part, I will try to identify some of the master-ideas that should preside over a
creative, democratic, and emancipatory reform of the public university. Perhaps the first step
is to identify the subjects of the actions that need to be undertaken efficiently to confront
the challenges that face the public university. In the meantime, in order to identify the subjects,
it is first necessary to define the political meaning of the response to such challenges. In light
of the precedent, it becomes clear that, despite the fact that there are multiple causes of the
university crisis and some of them are long standing, they are currently being reconfigured by
neoliberal globalization, and the way they affect today’s university reflects that project’s
intentions. As I have suggested for other areas of social life (Santos, 2004, 2005, 2006, 2007),
I think the only efficient and emancipatory way to confront neoliberal globalization is to oppose
it with an alternative, counter-hegemonic globalization. Counter-hegemonic globalization of
the university-as-public-good means that the national reforms of the public university must
reflect a country project centered on policy choices that consider the country’s insertion in
increasingly transnational contexts of knowledge production and distribution. These will
become increasingly polarized between two contradictory processes of globalization: neoliberal
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globalization and counter-hegemonic globalization. This country project has to be the result
of a broad political and social pact, consisting of different sectoral pacts, among them an
educational pact in the terms of which the public university is conceived of as a collective good.
The reform must be focused on responding positively to the social demands for the radical
democratizing of the university, putting an end to the history of exclusion of social groups and
their knowledges, for which the university has been responsible for a long time, starting long
before the current phase of capitalist globalization. From now on, the national and transnational
scales of the reform interpenetrate. Without global articulation, a national solution is impossible.
The current global context is strongly dominated by neoliberal globalization but is not
reduced to it. There is space for national and global articulations based on reciprocity and on
the mutual benefit that, in the case of the university, will reconstitute and broaden long-lasting
forms of internationalism. Such articulations should be cooperative even when they contain
mercantile components; that is, they should be constructed outside the regimes of international
trade policy. This alternative transnationalization is made possible by the new information and
communication technologies and is based on the establishment of national and global networks,
within which new pedagogies, new processes of construction and diffusion of scientific and
other knowledges, as well as new social (local, national, and global) commitments circulate.
The goal is to resituate the role of the public university in the collective definition and resolution
of social problems that are now insoluble unless considered globally. The new university pact
starts from the premise that the university has a crucial role in the construction of its country’s
place in a world polarized by contradictory globalizations.
The counter-hegemonic globalization of the university-as-public-good is, thus, a demanding
political project that, in order to be credible, must overcome two contradictory but equally
rooted prejudices: on the one hand, that the university can only be reformed by the university
community and, on the other, that the university will never reform itself. These are very
powerful prejudices. A brief examination of the social forces potentially committed to confront
them is in place. The first social force is the public university community itself; that is, those
within it interested in an alternative globalization of the university. The public university today
is a very fractured social field within which contradictory sectors and interests fight each other.
In many countries, especially peripheral and semi-peripheral ones, such contradictions are
still latent. Defensive positions that maintain the status quo and reject globalization, whether
neoliberal or alternative, predominate. This is a conservative position, not just because it
advocates the maintenance of the status quo, but mainly because, deprived of realistic alternatives,
it will sooner or later surrender to plans for the neoliberal globalization of the university.
University personnel who denounce this conservative position and, at the same time, reject
the idea that there is no alternative to neoliberal globalization will be the protagonists of the
progressive reform that I am proposing.
The second social force of such reform is the state itself, whenever it is successfully pressed
to opt for the university’s alternative globalization. Without this option, the national state ends
up adopting, more or less unconditionally, or succumbing, more or less reluctantly, to the
pressures of neoliberal globalization and, in either case, transforming itself into the enemy of
the public university, regardless of any proclamation to the contrary. Given the close, love–hate
relationship that the State carried on with the university for the whole of the twentieth century,
the options tend to be dramatized.
Finally, the third social force to carry out the reform are citizens collectively organized in
social groups, labor unions, social movements, non-governmental organizations and their
networks, and local progressive governments interested in forming cooperative relationships
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between the university and the social interests they represent. In contrast to the state, this third
social force has had a historically distant and, at times, even hostile relationship with the
university, precisely because of the latter’s elitism and the distance it cultivated for a long time
in relation to the so-called “uncultured” sectors of society. This is a social force that has to be
won through a response to the question of legitimacy, that is, via non-classist, non-racist, nonsexist, and non-ethnocentric access to the university, and by a whole set of initiatives that deepen
the university’s social responsibility in line with the pluriversity knowledge mentioned above
(more on this below).
Beyond these three social forces there is, in the semi-peripheral and peripheral countries, a
fourth entity that may be loosely called national capitalism. Certainly, the most dynamic sectors
of national capital are transnationalized and, consequently, part of the neoliberal globalization
hostile to the emancipatory reform of the university. However, in peripheral and semiperipheral countries, the process of transnational integration of these sectors is filled with tensions.
Under certain conditions, such tensions may lead these sectors to see an interest in defending
the project of the public university as a public good, especially in cases where there are no realistic
alternatives to the public university for the production of the kind of technological knowledge
needed to strengthen their insertion in the global economy.
Conclusion
The university in the twenty-first century will certainly be less hegemonic but no less necessary
than it was in previous centuries. Its specificity as a public good resides in its being the institution
that links the present to the medium and long term, through the kinds of knowledge and training
it produces and by the privileged public space it establishes, dedicated to open and critical
discussion. For these two reasons, it is a collective good without strong allies. Many people are
not interested in the long term, and others have sufficient power to be wary of those who dare
to suspect them or criticize their interests.
The public university is, thus, a permanently threatened public good, which is not to say
that the threat comes only from the outside; it comes from the inside as well (I emphasized
this aspect in previous work).
The conjunction between factors of internal threat and factors of external threat is quite
obvious in evaluating the university’s capacity for long-term thinking, perhaps its most
distinctive characteristic. Those who work in today’s university know that university tasks are
predominately short term, dictated by budget emergencies, interdepartmental competition,
professorial tenure, and so forth. The management of such emergencies allows for the flourishing
of types of conduct and professional that would have little merit or relevance were it possible
and urgent to focus on long-term questions. This emergency-ridden state of affairs, which is
surely due to a plurality of factors, must also be seen as a sign that powerful outside social actors
are influencing the university.
The proposal I have presented in this chapter is antipodal to this global and external logic
and seeks to create conditions to prevent it from finding a welcoming plot for its local and
internal appropriation. The university is a public good intimately connected to the country’s
project. The political and cultural meaning of this project and its viability depend on a nation’s
ability to negotiate, in a qualified way, its universities’ insertion into the new transnational fields.
In the case of the university and of education in general, this qualification is the condition
necessary for not making the negotiation an act of surrender and thus marking the end of the
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university as we know it. The only way to avoid surrender is to create conditions for a
cooperative university in solidarity with its own global role.
Notes
1
2
This chapter has been translated by Peter Lownds of the University of California, Los Angeles
(UCLA). The first version of this text was presented in Brasilia, on April 5, 2004, in the context
of the official calendar of debates about university reform organized by the Brazilian minister of
education, Tarso Genro. A much larger version of this text was published in: Rhoads, R. and Torres,
C.A. (eds) (2006) The university, state and markets – the political economy of globalization in the Americas,
Stanford: Stanford University Press.
A chapter in the book Pela Mão de Alice (1994) Oporto: Afrontamento.
References
Gibbons, M., Limoges, C., Nowotny, H., Schwartzman, S., Scott, P. and Trow, M. (1994) The new
production of knowledge, London: Sage.
Santos, Boaventura S. (1994) Pela Mão de Alice, Oporto: Afrontamento.
–––– (2004) “A critique of lazy reason: against the waste of experience,” in I. Wallerstein (ed.) The modern
world-system in the Longue Durée, London: Paradigm Publishers, pp. 157–197.
–––– (ed.) (2005) Democratizing democracy. Beyond the liberal democratic canon, London: Verso.
–––– (ed.) (2006) Another production is possible. Beyond the capitalist canon, London: Verso.
–––– (ed.) (2007) Another knowledge is possible. Beyond northern epistemologies, London: Verso.
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Part 3
Inequalities and resistances
25
The Indian middle classes and
educational advantage
Family strategies and practices
Geetha B. Nambissan
Introduction
Disadvantage based on structural location, cultural marginalisation and institutional neglect is
one side of the story of educational inequality in India that has received considerable scholarly
attention. There is another, however, that is rarely brought centre stage in research and policy
discourse. That is of social class and educational advantage. Few would contest that the middle
class(es)1 have reaped the major benefits from ‘modern’/formal education in India, if one goes
by their predominance in higher education, especially in elite institutions of professional and
technical education, and disproportionate representation in ‘high status’ professions. A section
of the Indian ‘middle classes’ is emerging in the global arena as a key player in the new economy
and especially in sectors such as information technology, medicine, engineering and IT in the
USA, UK and other West European countries. Despite their privileged position in education,
these social classes have received negligible research attention.
In this chapter, I look at the middle classes in India to understand the ‘micro practices
of social reproduction’ of these groups in relation to educational and social advantage (Ball,
2003: 3). I keep in mind that the middle class(es) is not a homogenous group and comprises
class fractions that are likely to have responded differently to social and cultural changes and
educational opportunities, including the process of globalisation. Scholars caution against
generalising about the middle classes based on the projected ‘success’ of global Indians
(Fernandes, 2007), who represent only a fraction of the Indian middle classes. I use Bourdieu’s
(1986, 1992) framework of capitals – economic, social, cultural and symbolic, and their
‘fungibility’ or convertibility to understand processes that underlie social/educational advantage,
and attempt to do so specifically within the Indian context. The focus of the chapter will be
on family strategies and educational privilege. I bring in Drury’s (1993: 10) notion of ‘family
sponsorship’, a term he uses to capture the diverse ways by which the family discharges its
responsibilities towards ensuring that younger members are successful in life and uses all its
resources to this end. ‘The privileges of the older generation – family income, caste, education,
father’s occupation – are used to give the young the competitive advantage of a good
education.’ Like Ball (2003), I move beyond rational choice and ‘culturalist’ explanations of
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educational decision-making and look more closely at how choices and strategies are influenced
by family and kin, social networks, identity and interests, within changing socio-economic
contexts. I argue that the upper tiers of the middle classes have actively participated in the
education system from a position of social and economic dominance that has allowed them to
shape the system and define what ‘good education’ is, as well the desirable cultural resources
for success. A relational view of social class suggests that it is important to see how educational
practices of the upper/middle classes are linked to the changing practices of other middle-class
fractions and the larger implications that emerge, especially in the era of globalisation. While
using a socio-historical perspective, I locate this chapter in the period beginning around the
mid 1980s, when economic reforms were being debated and subsequently implemented in India.
It is also important to stress that globalisation is mediated through national systems, as well as
local cultures and institutions that are historically rooted. This is true for India, where the
historical experience of colonialism, the policies of the post-independence developmental state,
the social structure, particularly the caste system of graded inequality, and plural cultures present
diverse contexts where different social classes (and the castes, communities and genders that
intersect with them) are reading and responding to globalisation through changing institutions
in diverse ways.
Private schools and English education: constructing the ‘good’
in education
The key route to elite upper middle class status in India has been the exclusive English medium
‘public’ (private) schools, which followed in the tradition of the British public schools. These
are among schools to which upper middle class Indians have always sent their children, thereby
setting trends and laying down standards of the ‘good’ in education. They were among the first
to access modern education and occupations in the colonial period and belonged to the socially
privileged upper castes that had a literate tradition and were part of the colonial elite. Writing
about the ‘educated elite’ in the mid 1970s, Kamat (1985: 192) refers to the ‘super elite’, who
were products of the ‘elitist channel of education of expensive English-medium schools and
select prestigious institutions of higher learning’. They became technocrats, management
personnel, bureaucrats and defence personnel, occupying ‘strategic positions in the economy
and state machine’ as well as the ‘best-paid professional positions’ including in multinational
organisations. He goes on to add that, ‘Because of their crucial positions in the power structure,
and their educational and social status, they also set the norm in social thinking and society life
for the lesser educated elite below’ (Kamat, 1985: 190–192). The privileged position of
English-medium education in India can be seen in the fact that, even in the 1970s, the majority
of the recruits to the prestigious Indian Administrative Service (IAS) had attended Englishmedium schools (Saxena, 1981: 19, cited in Potter, 1996: 233). The cultural capital that was
sought in recruits and was in all probability emphasised in these institutions was ‘pleasant
manners, facility in English, an attractive appearance and dress (preferably English style) and an
authoritative manner’ (Taub, 1969: 38, cited in Potter, 1996: 233). Kumar (1987:35) concludes
that ‘the supply of elite civil servants is a “reproductive” process inasmuch as a few educational
institutions account for a sizeable proportion of the total number recruited.’
The ‘new rich’, businessmen and farmers from the middle castes who had benefited from
the early policies of the independent Indian state encouraging agriculture and industry, were
quick to see the role of ‘public schools’ in linking economic, symbolic and social capital.
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Upadhya’s (1987) study of the Kammas (a rich peasant caste in the state of Andhra Pradesh)
describes the strategies of families who had come into wealth with the ‘green revolution’ and
looked to education for building cultural and social capital and raising their standing in society
what Bourdieu calls ‘reconversion strategies’. She says that they were keenly aware of the need
to develop networks and to be accepted by those who were influential in government and
business circles. ‘To interact effectively in such social circles fluency in English and a good
education . . . are necessary.’ She goes on to observe that,
Wealthy rural families often send their sons to private boarding schools from a very young
age because that is the only way they can receive a good English medium education and
hence the necessary ‘cultural capital’ to move into the urban upper middle class by joining
white-collar executive occupations, the professions, or starting their own business.
Further, that ‘wealth alone does not confer social status’ but that ‘social status can be acquired
with wealth by giving a large dowry in marriage of daughters, sending sons to private
engineering colleges . . .’, including the establishing of private colleges (Upadhya, 1987: 68–69).
Kumar (1987: 36) also points to similar strategies for social mobility and political dominance
by the emerging rural elite in other states (Maharashtra and Karnataka), where ‘private
institutions on the “public school” model and professional colleges for medical and engineering
education on a capitation fee basis’ were being established. These studies only briefly capture
some of the complex social processes linked to the strategies of the new upper middle classes
that informed the demand for, and the rapid spread of, private educational schools and colleges
as early as the 1960s.
The middle class, ‘regional elite’, educated in the ‘middle-grade regional-medium high
schools’ and colleges, is Kamat’s second tier of ‘educational elite’ in the 1970s. These were
primarily state run/state supported, but also included privately managed institutions that offered
better-quality education in the vernacular (regional languages). Those who accessed these
schools, according to Kamat, were the not-so-affluent upper castes, ‘with a literate tradition’,
who had to make do with middle-/lower-level salaried jobs. The other section was the
relatively better off, newly educated middle/economically dominant lower castes in the cities
and rural areas (1985: 193). For them, education was a path to middle-class jobs and social
status. There were also those who graduated from ‘low-grade, regional medium institutions’
and came mainly from lower class/castes and who sought to ‘acquire a smattering of education,
and ultimately a degree, in the hope of landing some kind of white collar job or the other’
(Kamat, 1985: 193).
Thus, until the late 1970s, apart from the upper middle classes (old and newly emerging),
the middle classes were still enrolling their children in state schools or state-supported, privately
managed schools. The middle class flight from state schools, a clear trend visible in urban India
since the 1980s, was followed by the increasing desertion of these schools by the lower middle
class in the next decade or so. Today, state schools are largely dominated by children from the
poor, belonging mainly to ‘lower’ castes and minorities. This trend, beginning in the early 1980s,
was pronounced in the 1990s, the period when policies of liberalisation were implemented in
India, leading to the downsizing of the public sector and the coming of the new economy and
insecure futures. Private schools are increasingly common in cities, small towns and the rural
areas in response to the growing demand for good quality education, especially in English
medium.2 Behind the significant shift in enrolment from government to private schools lies
the largely undocumented story of diverse strategies of middle/lower middle class families as
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they struggle and attempt to secure their children’s future for a world very different from their
own. In the section that follows, I discuss some of the strategies and practices of these families,
especially in the changing context of globalisation.
Family strategies, educational aspirations and schooling
Family aspirations for education must be viewed in relation to their mobility strategies in the
changing context of globalisation and the role that they see education (of specific kinds/qualities)
playing in this process. Drury (1993: 8) notes that ‘Folk theories of making it’ (referred to by
Ogbu, 1980) ‘are crucial because they help to shape individual aspirations and family mobility
strategies in general, and ideas about the value of education in particular’. The ways in which
different fractions of the middle classes strategise, make choices and translate these into practice
are likely to vary in relation to how they have engaged with the ‘private’ in education, as
well as how they are able to mobilise economic, cultural and social resources. The following
discussion is based on recent studies on different middle-class fractions based on research in
specific sites in India.
Choosing the ‘right’ school
Waldrop’s (2004) study ‘among upper-caste, upper-middle class professional Punjabis’ in
metropolitan Delhi gives us a glimpse of what mobility strategies and ‘choice’ of schools mean
for metropolitan upper middle class parents. The fathers were senior government officers,
professionals or worked for ‘big’ Indian and foreign companies. Parents expected their children,
boys and girls alike to pass through college, and preferably go for a university degree in
England or the US. Because their English medium primary education in India is often
combined with higher education abroad, they are global (meaning Western) and secular
in their outlook, and travel abroad occasionally.
(Waldrop, 2004: 205)
Scrase and Scrase (2009: 11) observe that, ‘Increasingly, financial capital is being used to purchase
an English-medium private education and to send a child abroad for university education, and
so to build one’s stock of cultural capital.’
All the parents in Waldrop’s schools listed the same five prestigious private schools in the
city as their ‘first choices’ of schools to enrol their children. While choosing a school, parents
took into account the reputation of the school, including its philosophy, and the opinion of
family and friends, including the ‘old school tie’ (Waldrop, 2004: 208). Waldrop’s interviews
with the principals of the five schools showed that the screening procedures adopted by the
institutions factored in considerations that privilege upper middle class parents: preference was
given to children of former students, as well as those who had siblings in the school. Schools
were keen that parents were well educated, had at least a bachelor’s degree and shared the
values of the school. The knowledge of English was of course an important criterion for
admission (Waldrop, 2004: 211–212). These are criteria that effectively exclude other middleclass fractions. Waldrop concludes that private schools are ‘homogenous social arenas’, which
enable the building of social capital. ‘Friendships form between children of the same elite class
and, in India, where networking plays important economic and social roles, having gone to
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one of the prestigious private schools turns out to be an enormous social advantage in life’
(Waldrop, 2004: 223).
Drury’s study (1993) is located in the industrial city of Kanpur in the northern Indian state
of Uttar Pradesh. In the early 1980s, Kanpur had a rapidly changing educational landscape
characterised by ‘“educational upgrading”: the flight from Parishad (state/municipal) schools
into private unregulated schools among the lower middle class, and the intense competition
for the better English medium schools among the more wealthy’ (Drury, 1993: 58). Businessowning families whose lack of the requisite cultural capital may have been a major deterrent
to their entry into private English-medium schools a few decades earlier (when noses were
turned up at the ‘new rich’) find that they are able to convert economic capital into cultural
and social capital. This is the section of the middle class that is increasingly and confidently
entering old middle-class institutions, willing to engage private tutors and whatever it takes to
provide cultural and other inputs that are required for school success and social status. They
were giving their sons private English-medium education, not so much for the skills that it
provided, but as a ‘fall back option’. More importantly, they appeared to be evaluating the
changing context of business and, consequently, the need to interact with administrative and
other officials, as well as to exercise authority within their own firm. Drury notes that they
were in fact looking at education as a long-term investment – out of character with what was
traditionally expected of such families (Drury, 1993: 100–102).
‘White collar’ employees in the Kanpur study were a section of middle-class parents who
realised that choosing a school was a critical decision that had long-term consequences for higher
education and careers of their children. The most sought after schools were the English-medium
schools, particularly the ‘convent schools’ run by missionaries. As these schools were limited
in number, there was intense competition for school places. Parents were forced to use ‘the
full range of their material and social resources, deploying them within the legitimate admission
channels of the schools, but also in temporary and informal channels of their own making’
(Drury, 1993: 122). Drury observes that a result of the ‘good schools scramble in Kanpur’ was
the ‘rise of bribery, jugarbazi (using insider contacts) and other forms of backstage manoeuvring
to gain admissions outside the normal channels’ (Drury, 1993: 76–78).
Though some parents thought that the Hindi-medium schools were academically better,
Drury says,
It was the English language itself that counted most for these parents, for its prestige value
as well as its practical usefulness. This held equally true for those who knew some English
themselves and for the upwardly mobile parent who did not.
Parents say, ‘English is the most portable language . . . With English you can impress people’
(Drury, 1993: 76). They explore every opportunity to give their children the knowledge of
the English language that they believe gives a child a crucial edge in school entry and success.
More common are efforts to enrol children in private pre-schools (an expanding but unregulated
sector) that admit children as early as age three. Parents say that they send children to preschools to get them ‘used to the idea of school’ and, more importantly, ‘to prepare boys and
girls for the “entrance examinations” to the kindergartens or first grade of good private schools’.
Children are taught to take interviews/entrance examinations. Drury says ‘Exam culture’ begins
at age three (1993: 90–91).
Donner’s study (2005) focuses on the strategies of middle-class families in the metropolis of
Calcutta in the context of the downsizing of the public sector and aspirations for opportunities
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in the new economy of IT-related industries that are yet to come to the city. Parents are well
aware that professional careers and government service jobs that were the basis of their middleclass identity are no longer guaranteed for their children. Their generation was educated in
regional-medium schools – ‘the reputed Bengali medium neighbourhood school’ that reinforced
pride in the language and culture of the ‘Bhadralok’ (the ‘old’ Bengali middle-class/upper-caste
elite). However, they have switched to English-medium schooling for their children and are
influenced by ‘the powerful imagery of new global workplaces and competition’ in their efforts
to give their children an edge (Donner, 2005: 123).
As their children are the first generation to go to English-medium schools, parents in Donner’s
study have had to learn the ropes in getting their children into a ‘good school’ (vaguely identified
as one that has a ‘good reputation’/is ‘English-medium’) and ensuring success (2005: 125).
Apart from standing in queues to get admission forms and filling them up, there are interviews
to be faced by children for which knowledge of English is definitely advantageous. Unfamiliar
with English and the requirements of schools, parents look to English-medium preschools/nurseries to prepare children for school interviews that they would face at age four.
Once children secure admission to these schools, parents need to be familiar with school rhythms
that include tests, examinations and other activities. Additional tutoring in school subjects,
computer classes and other privately paid for inputs are becoming an essential part of the
curriculum of school students (Donner, 2005: 125–129). The secondary stage of education is
strategised with higher education/training in ‘technology-oriented courses’ in mind. Donner
observes that ‘parents judge successful secondary education largely in terms of the marks necessary
to enter IT or science–related courses’ (Donner, 2005: 125–129). What is most interesting in
Donner’s study is the manner in which family resources are mobilised towards children’s success
in school. This is dwelt upon in the next section.
Families in Calcutta and another city in West Bengal who were part of Scrase and Scrase’s
study (2009) were ‘lower-ranking professionals, administrators, sales and service personnel’ in
the state and private sector. They are lower middle class (but upper and middle caste) families
who have experienced downward mobility as a result of a number of factors and ‘exacerbated
by neoliberal reforms’ (Scrase and Scrase, 2009: 11–12). Not surprisingly, they are extremely
anxious about their children’s future and see proficiency in English as crucial for mobility as
well as for social status. The quotes of two of their respondents speak volumes about what the
inability to speak English entails: ‘English is not only important in getting a better job, it is
everywhere in social interaction. If you can’t speak it, then you are a nobody’, and ‘English is
an international language. Your feel humiliated if you can’t speak English. People think you
are dumb’’ (Scrase and Scrase, 2009: 131).
Scrase and Scrase’s (2009) respondents differ from Donner’s in that, among the former, ‘Many
had struggled through education to obtain secure employment in the public sector, but now
they increasingly feel that they are being squeezed out’ (Scrase and Scrase, 2009: 11). They
appear to be less well educated and are financially more constrained, both of which are likely
to make the educational pathways for their children far more difficult. Getting their children
into the ‘right school’ is not an easy task, as there is need for familiarity with the English language
as well as the increasingly complex school landscape. They feel that children must be first
admitted in the ‘right pre-schools’ in order to be accepted by a good, regular English-medium
school (Scrase and Scrase, 2009: 64).
The private English-medium schools and the numerous language coaching schools and
tutoring centres that Scrase and Scrase observe in different neighbourhoods (mentioned by
Donner as well) are emerging in response to the growing demand for proficiency in English.
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However, the doubtful quality of these unregulated, privately run courses has been a major issue
(2009: 141). This is of particular concern as families reported that they were cutting back on
various kinds of expense but not on their children’s education, which they felt was ‘necessary
expense’ and one ‘least likely to be rationed. It remains a high priority, and so families frequently
forgo “luxuries” in order to ensure their educational needs are maintained’ (2009: 64).
Benei’s (2005) study in the town of Kohlapur in the state of Maharashtra suggests that
decision-making in education among the middle classes is mediated by tensions between socioeconomic interests (usually seen as based on ‘rational choice’) and identity (linguistic in this
case). Although English education has ‘traditionally’ been availed of by the upper castes/upper
middle classes, it cannot be assumed that middle-class parents will easily abandon instruction
in the regional medium just because of globalisation and the opportunities that that are open
to those with schooling in the English medium. She links the ambivalence that many of her
respondents show towards English-medium education to the place of Marathi language in the
identity of being ‘Maharashtrian’, ‘regional patriotism’ and nationalism. Thus, for instance, some
parents may prefer that their children are enrolled in the state-supported private network of
institutions (seen to be of better quality than state schools), where Marathi is the medium
of instruction and English a subject of study. However, they would have no problem in
encouraging their children to acquire computer skills, which they see as important (Benei, 2005:
151–153).
On the other hand, business communities were guided more by strategic economic interests.
Thus, for instance, agri-business families who had made inroads into the global market well
before the 1990s were already sending their children to English-medium schools (Benei, 2005:
144). I have already referred to Upadhya’s (1987) study, which pointed to efforts by business
families to convert economic capital into cultural and symbolic capital through elite private
schooling. Benei also makes the point that, for minorities for whom socio-religious identity is
dominant, the shift to English-medium instruction is far easier than for those for whom Marathi
language is one of the defining elements of identity. It is here that strategic choices are being
made by middle-class families. Lower castes and especially the Scheduled Castes (former
‘untouchable’ castes) see English-medium schools as the route to higher socio-economic status
and an escape from stigmatised identities (Benei, 2005: 157). In Kanpur, there were lower middle
class families who chose private Hindi-medium schools for their children. The reasons were
pragmatic: lower costs than English-medium schools, better facilities than the municipal
(Parishad) schools and so on. The child’s gender also influenced the choice of school medium
where it was observed that, ‘sons should have English medium education if possible, but private
Hindi or Parishad Schools are adequate for daughters’ (Drury, 1993: 79).
Parenting practices and advantaged mothers
Parenting practices and especially the role of the mother are also linked to the social advantage
that middle classes gain in education. This already finds mention in scholarship in Western
societies, but in India, women’s literacy and education have been emphasised, mainly in relation
to improving children’s education and health status. However, the fact that the educated mother,
the norm in middle-class families, brings with her specific advantages for children and is seen
as an important ‘mobility’ strategy especially in the period of globalisation, has received little
attention.
For Bengali middle-class families, women’s education was seen to have a crucial role in
modernising the ‘domestic sphere’ as well as socialisation of children into the culture of the
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Bhadralok in the colonial period. In the post-independence period, Donner observes that
women’s education received emphasis, not so much for careers and employment, but because
of the role of the mother in the education and ‘proper upbringing of children’. In the contemporary context of labour-market restructuring, she finds that education is seen as a ‘precondition
for marriage and motherhood’, because in a ‘more competitive and less regulated economy the
schooling of children requires new parenting skills’ (Donner, 2005: 121). This has become
necessary with the new demands imposed on mothers by English-medium schools, to which
many parents educated in the vernacular are now sending their children. Thus, we see that
mothers plan their entire day around the school routine and requirements such as dropping
their children to school (neighbourhood Bengali-medium schools are now no longer accessed),
providing support for homework and organising private tutoring classes. Extracurricular
activities such as computer classes and art and writing competitions are also planned, so as to
give the children inputs that are seen as important for school success. Immediate and extended
family support is mobilised, as women look to their mothers-in-law and mothers where possible
for support. The older generation of women come in to help organise the home so that the
daughter’s/daughter-in-law’s energies can be focused on school success. Donner suggests that,
among educated upper middle class Bengali professionals who have migrated, shared parenting
is likely be used as a crucial resource for children’s education (2005: 130–134).
Mothers educated in English medium, usually graduates themselves, as in the case of upper
middle/middle class families, are obviously at a greater advantage compared with those families
where women are less educated and have had instruction in the regional medium/vernacular.
Drury says that ‘Biography is a resource often overlooked in educational research. A person’s
own experience with school affects not only the information he or she brings to bear on school
decisions as a parent, but basic values and standards’ (1993: 61). Hence, Kanpur middle-class
respondents are able to recall wives’/mothers’ greater involvement in their own or their
children’s school work. Drury rightly observes that higher levels of education among women
in middle-class families today (compared with a generation ago) give them ‘greater educational
advantages than ever before’, as
mothers are now well qualified to act as academic coaches and not simply as disciplinarians,
at least up to the high school level. They work regularly with the children in the first
years of school, making sure that they learn the fundamentals of reading, writing and
calculating. Though it can be a time-consuming task, few of these women work outside
the home . . . Even those who do work there is usually the advantage of being able to
afford domestic help full or part time.
(Drury, 1993: 85–86)
Donner also draws attention to cultural and familial expectations of even highly educated women
professionals. ‘With the arrival of children . . . the privileged upper middle-class graduates who
secure positions in teaching or as professionals are expected to leave or take up more flexible,
part-time employment’ (Donner, 2005: 122).
The ‘mothering’ role also includes ‘creation of a favourable environment for study at home’
defined as ‘giving the children peace of mind’ (Donner, 2005: 130). This is what lower middle
class mothers, who are ‘generally less well educated’ and ‘often feel that they cannot contribute
a lot to English-medium schooling’, focus their energies upon. They try and facilitate their
children’s study at home. ‘Provide them with special meals, encourage them and remind them
of their duties and organise their leisure time for them’ (2005: 130). There are greater anxieties
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in such homes and this leads, as mentioned earlier, to the early search for pre-schools and
language courses and the eventual spiral for private schools that such demands set in motion.
Thus, for business and other fractions of the middle class, the educated mother (with
proficiency in English) is increasingly becoming critical for the ‘appropriate parenting’ that is
being seen as necessary for school success. Drury (1993: 169) refers to the fact that the ‘middle
class [sic] are rapidly accumulating cultural capital in the form of values, standards and practical
knowledge of the school system’. A key channel through which this capital is being circulated
is what he calls the ‘“educational dowry” of brides, as families take greater care to select young
women who can provide a good educational environment in the home’.
The middle classes and educational advantage: some concerns
The foregoing discussion has highlighted the complex educational strategies that middle classes
in India are adopting to give their children an advantage in school and better life chances. While
the location of families as middle-class fractions influences how they perceive linkages between
schools and the labour (and marriage) market, as well as their ability to translate strategies into
concrete practices, their decisions are also mediated by the institutional context of educational
provision, socio-economic interests and diverse identities. What has emerged from the available
studies is that middle-class fractions are differently advantaged in relation to children’s education.
For instance, while ‘mothers’ work’ is increasingly factored into school success, social and
educational advantage is likely to vary among middle-class families, depending upon the level
of the mother’s education and her proficiency in English.
The privileging of English-medium education and other inputs accessed from private schools
and related markets in building what is seen as the required stock of cultural capital for school
success has been highlighted. Fernandes (2007: 91–100) also points to new credentialising
strategies by lower fractions of the middle classes in their attempts at upward mobility in the
new economy, which include trying to acquire elements of the corporate culture, and ‘symbolic
capital’ (manners, taste and style) being projected by ‘hegemonic representations’ of the
metropolitan upper middle classes. These strategies and practices of middle-class fractions have
led to the rapid growth of the unregulated private sector in education, which is exploiting the
aspirations, anxieties and often helplessness of families belonging to the lower tiers of these classes.
The majority of Indian children continue to access elementary education in state schools.
However, as mentioned, these are schools to which the middle-class and, increasingly, lower
middle class families no longer send their children. Kumar notes that,
The growth of private schools gradually siphoned off children of the better of sections
of urban society from state schools, leaving them to look after the children of poorer
parents, who lacked both the status and the means to exercise any kind of influence on
the schools’ functioning.
(Kumar, 1996: 61)
What is of concern is that sections of the poorer/working classes are today seeking ‘quality
education’ for their children in English-medium schools, and that the unregulated private sector
sees this as a business opportunity. Advocacy networks for ‘school choice’ and ‘private forprofit schools’ for the poor are also making their presence felt in India (see Nambissan and Ball,
forthcoming).
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GEETHA B. NAMBISSAN
Policy and research in relation to educational inequality in India have been largely about
addressing disadvantage and exclusion in education experienced by Scheduled Castes, Scheduled
Tribes, socio-religious minorities, the poor and girls. However, educational dominance and
advantage have received little attention. This chapter has sought to highlight the powerful
influence that the middle classes (old upper middle class and more recently the new rich) have
on the education system, particularly through their hold over elite, private, English-medium
schooling. Equally important is the middle-class advantage that comes with cultural, economic
and social capital acquired by families over generations, as well as the impact that ‘representations’
of the seemingly ‘merit’-based success of the elite in the new economy have on the rising
aspirations and demands of lower fractions of the middle classes. We know very little about
the Indian middle classes, but their practices significantly impact the larger educational system
and, hence, merit serious and urgent study.
Notes
1
2
Who are the middle classes? The much debated size and characteristics of this social group are matters
beyond the scope of this chapter. It would suffice to say here that these are intermediate social
groups that comprise a range of ‘white-collar salaried occupations’ from elite managerial and
professional positions to lower-level, white-collar jobs and include technicians as well as owners of
small business. (For debate/research on the Indian middle classes see Deshpande (2003), Fernandes
(2007), Sridharan (2004) etc.)
According to recent statistics, 72.2 per cent of elementary school (Grades I–VIII)) enrolment is in
state/government schools, and 27.6 per cent is in privately managed schools. Of the latter, 9.4 per
cent is in schools run by private, aided (by the state) managements, while 18.2 per cent is in private,
unaided schools (NUEPA, 2009: 1–2). There is a growing unregulated private-school sector, whose
size is still to be estimated.
One of the main reasons for the shift from state-run to privately managed schools is the
perception that the former provide education of poor quality. One of the key elements by which
‘good quality’ education is defined in popular perception is instruction in English. The policy in
India has been to provide education in the regional medium in state schools and to bring in English
as a subject of study around Grade V or later. More recently, some state governments have brought
in the study of English in the early primary years in response to the growing demand for learning
of the language.
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26
Equality and social justice
The university as a site of struggle
Kathleen Lynch, Margaret Crean and Marie Moran1
Introduction
Despite the proclaimed allegiance of most countries to principles of equality enshrined in the
UN Declaration on Human Rights, inequality is a pervasive feature of the global order. Yet,
it is important not to be overwhelmed by the scale of global injustice. In every country, there
is resistance to power and privilege, with people working at many levels to create more equal
societies.
In this chapter, we will summarise the reasons why we came to establish Equality Studies
in University College Dublin (UCD) almost twenty years ago as one way of responding to
injustices (for a more detailed discussion, see Lynch, 1995) and why, in 2005, we further
institutionalised an academic space for this work by forming a School of Social Justice and a
network of scholars from across the University, who are committed to research and teaching
in social justice, to establish the Egalitarian World Initiative (EWI) network (www.ewi.ie). We
begin by explaining why universities have a particular remit to challenge injustice and why it
is important for them to retain that responsibility in a market-led era in higher education.
The public interest role of the university
Over the last decade, universities have been transformed increasingly into powerful consumeroriented corporate networks, whose public interest values have been seriously challenged (Davies
et al., 2006; Rutherford, 2005). Commercialisation has been normalised and granted moral
legitimacy (Giroux, 2002), and its operational values and purposes have been encoded in the
systems of all types of university (Dill and Soo, 2005; Steier, 2003). Moreover, both the pace
and intensity of commercialisation have been exacerbated (Bok, 2003; Henkel, 1997). Yet,
universities are quintessentially public interest institutions (Harkavy, 2006).
This is not to deny that universities have often failed to honour their public interest
inheritance. They have been embedded with professional interests, often doing little to
challenge the evident social closure practices within powerful professional groups (Hanlon,
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2000). In their internal operations, they have been both hierarchical and patriarchal (Morley,
1999; Reay, 2004; Saunderson, 2002). Certainly, it is hard to argue that universities were models
of enlightened organisational practices, even prior to the endorsement of neo-liberal values.
Although there have been critical voices in higher education, challenging its pedagogy and its
exclusivity, it is also true that they have been minority voices, often working against the tide
even in the pre-neo-liberal days. This has also been our own experience in trying to establish
Equality Studies in UCD (Lynch, 1995).
Yet the university remains a site of social struggle; it is one of the few institutions in society
where there is an opportunity for people to think critically and to document that critique in
writing and in teaching. It is a space where one can exercise intellectual autonomy, no matter
how circumscribed that might be in an age of market-led research funding. The freedom from
necessity enjoyed by academics affords them the space to write and to teach, so there is a choice
whether or not to use that freedom to act.
Why Equality Studies – the educational case
The setting up of Equality Studies (1990) and of the School of Social Justice (2005) was strongly
influenced by the fact that, while many faculties and fields of scholarship address issues of equality
and social justice, and there are some subjects that address specific group-related inequalities,
including disability studies and Women’s Studies, there are very few schools or centres that
focus all their research and teaching on equality issues in a holistic way.
Clearly, working to promote equality is not a ‘profession’ in any traditional sense of that
term, yet people within professions and occupations, who are fighting for social justice and
equality, and especially those working in civil society organisations, but also in statutory and
multilateral agencies, need research support and education. There was and is a need to create
a scholarly space for equality activists. The university seemed an ideal place to do this, although
there was, and still is, opposition to the ideal, first because some define the university as a place
simply to educate the elite, while others see education about equality as peripheral to the
education of a new generation of market-led professionals. The experience we have in Equality
Studies shows, however, that the desire to create a better world for all of humanity is strong
among university staff and students,2 even though this is not culturally supported in an age of
commercialised education.
Why Equality Studies – the academic case
Universities and higher education institutions are not neutral agents in the field of academic
discourse. Like all educational institutions, they work either for ‘domestication or for freedom’
(Freire, 1972). They can indulge in banking education that controls and domesticates thinking
in the practice of regurgitation and regulation, or they can engage in critical education that
challenges both teacher and student to engage in praxis. Universities are also projects in the
making, places in which academics can either become agents of history or docile subjects (Davies
et al., 2006).
With the postmodernist turn and the rise of neo-liberal politics, it seemed intellectually
vagrant and academically suicidal to establish a Centre for Equality Studies in University College
Dublin in the late 1980s. Yet it was precisely these challenges that inspired us to act.
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The normative intent of the word ‘equality’ sat very uneasily with the relativism of
postmodern thinking. It smacked of that old authoritarianism that was associated with the
certainties of grand narratives and with colonising cultural and political relations. Marxism’s
rejection of the normative approach to the analysis of oppression was a further disincentive to
engage with normative questions. In establishing Equality Studies, we were mindful of these
debates and of the binaries between the empirical and the normative embedded in social scientific
analysis. We did not see the two as separate spheres and made a conscious decision to marry
positivist research traditions with normative analysis in both the teaching and research of the
Centre (Baker et al., 2004; Lynch, 1995).
While the scientific, including the sociological, must be distinguished from the political
(Martinelli, 2008), there is a need to create spaces that allow more than professional sociology
or policy sociology (or the professional and policy-led dimensions of any disciplines) to thrive.
There is a need to make spaces for the subaltern within disciplines (Burawoy, 2005) and between
disciplines. There must be a space for academic knowledge to learn from experiential knowledge,
with its complex positive and normative dimensions, especially in the study of injustices.
Questioning the binary between positive/normative is also necessary because so much research
in the social sciences and cognate areas, including law and education, is profoundly unitary in
terms of the normative and the positive (Sayer, 2006). When scholars write of ‘discrimination’
in law, ‘exploitation’ in sociology or ‘marginalisation’ in education, they are not just describing
a phenomenon, they are also naming it as undesirable because it undermines the well-being of
particular groups of people. They are making a normative judgement, as well as an empirical
statement, even if they do not explicitly name their normative position. Taking a ‘critical’
approach to scholarship promotes a particular normative position and set of values that make
the very critique of oppression and, indeed, the enterprise of much academic work meaningful.
Even for those who do not subscribe to critical perspectives and lay claim to independence,
the normative is encoded in every publication and every lecture. Although objectivity is vital
for scientific analysis and for choosing the appropriate instruments for research investigation,
there is an implicit normative dimension to the knowledge act because there is no view from
nowhere.
In establishing Equality Studies, the goal was to do things differently in the university, not
just by linking the positive and the normative, but by democratising the social relations of
education and of research production and exchange. Inspired by the Freirean (1972) methods
of dialogical teaching and learning, and by feminist and disability scholarship’s challenge to
employ emancipatory research methods (Harding, 1991; Oliver, 1992), we tried to open up
new types of space for both doing research and for teaching (Baker et al., 2004; Lynch, 1999).
The rise of neo-liberal policies internationally in the post-1990 era, and the emergence of
the so-called ‘Celtic Tiger’ in Ireland made social justice and equality issues appear anachronistic
in an era glorifying choice and consumption. It remains a struggle academically and politically
to survive, as the market model of funding bears down on our actions and planning. Yet the
reality is there is no security for those who resist power, and in that sense the Equality Studies
Centre will always be open to attack. The lessons of survival and resistance need to be relearned
as university regimes change. There is no possibility of standing still.
Equality Studies and social justice – keeping a place in the university
Apple (2007: 168) claims that ‘If you want to interrupt the right, study what they themselves
did’. Indeed, the setting up of Equality Studies, and of the School of Social Justice, was inspired
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not only by a Gramscian-informed understanding of the role of culture and ideology in the
realisation of change, and by the Freirean recognition of education’s lack of neutrality, but also
by lessons learned from the success of Thatcherism in the UK. One of the major achievements
of the Thatcher era was that, not only did it change the terms of political discourse in the UK,
but it also successfully institutionalised neo-liberal beliefs and values in law and public policy.
While writing and teaching are the tools of the academic who wants to act for global justice,
there is a need, as Harkavy (2006: 7) has observed, for ‘strategic organisational innovation’.
There is a need to institutionalise ideals in the structures of organisations, not just in their
language or written policies, no matter how essential the latter may be. One of the reasons
inequalities are often difficult to challenge is because they are institutionalised in the categories
of every day life (Tilly, 1998). By the same logic, if egalitarian changes are to be instituted,
they need to be institutionalised in categories, positions, processes and systems that are built on
egalitarian and social justice principles. And there is a need to promote the understanding of
how to operationalise these principles over time. It was with the understanding that institutions
tend to outlive their incumbents that we set out to institutionalise a physical and intellectual
space to promote research and teaching on equality and social justice. While it was necessary
to have programmes of education and research in the short term, in the medium to long term
it was necessary to have institutional status.
Much of the struggle over the last twenty years has been about achieving institutional status
and recognition. It began by creating spaces and titles that only got recognition after they were
created: an ‘Equality Studies Working Group’ in 1986 and an Equality Studies Centre in 1990.
The Centre was never given departmental status, despite repeated requests, but it was accepted
as an operating academic unit within the Arts Faculty. However, it had to report annually on
its achievements to the Academic Council, something not required of recognised departments,
and it was and is in a constant state of struggle for funding.3
All centres were informed they would be abolished with restructuring in 2005; Equality
Studies refused to accept this and insisted (using the market rhetoric of the new regime) that
the Equality Studies Centre was a ‘brand name’ and necessary for survival. We were allowed
to keep the name on our letter-head, on the Web and for advertising because of its market
utility.4
Equality Studies led the movement to create the School of Social Justice in 2005, with the
support of Women’s Studies. Although the School of Social Justice is one of the thirty-five
statutorily recognised schools within new structures of the University, this does not mean that
Equality Studies and the School are institutionally unassailable. However, it is more difficult
to disestablish a School and its units than a programme of studies, or an isolated Centre, not
least because the School is listed in university statutes.
In realising change, there is a need to identify the interstices that Habermas noted, those
places between spaces that allow for change and resistances to occur at different times. Times
of transition within institutions are times that offer opportunities for resistance, for finding spaces
to create new initiatives. While times of transition are also times of social closure, re-regulation
and control, when those in power set out the terms of change and try to control its scope and
impact, the transition itself creates instabilities. New orders are created, and spaces are opened
up to establish new programmes and initiatives, if there are the resources to fight for these at
the time. There is a very real sense in which these times of transition involve what Gramsci
defined as ‘wars of position’.
In establishing both Equality Studies in the late 1980s and the School of Social Justice and
the EWI in the mid 2000s, we used the instability of transitions, in each case heralded by the
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KATHLEEN LYNCH, MARGARET CREAN AND MARIE MORAN
arrival of new executive presidents in UCD, to propose changes in courses, programmes and
activities in the University.5 In all cases, the proposals were met with oppositions and counterresistances, not necessarily from central management, who were less concerned with their
ideologies than with their likelihood of success, but by colleagues in other departments and schools,
who mounted resistance on ideological grounds (dislike of all things critical or socially engaged)
or for fear that the programmes we offered might jeopardise their own subject or department.
There is a lengthy correspondence in our files and emails on these challenges, but being willing
to stay the course and having a clear vision as to our role and purpose proved to be crucial.
The mind is a site of struggle, and control of the mind is central to all campaigns (Castells,
2000). It is not surprising therefore that managing conciousness has been a deliberate project
of powerful capitalist interests over the last thirty years, both inside and outside the academy
(Boltanski and Chiapello, 2007; Harvey, 2005). While academics can exercise some influence
(more than they think) from within the academy in framing minds and public consciousness,
the media remain a hugely powerful, ideological force outside the university, with the capacity
to either undermine or support critical thinking. The media is also a space over which academics
generally have little control.
Throughout the development of Equality Studies, we were aware of the political reality that
truth is increasingly what the media define as true. The media is a space that academics who
think critically and differently have to engage with in order to survive. By 2005, when the most
recent wave of changes occurred, and the university moved into restructuring along neo-liberal
lines, there was a sustained attempt to force Equality Studies to integrate with (in our view to
be subsumed by) bigger departments in the College of Human Sciences. At this time, we had
a well-established reputation, not only for research and teaching but also for engaging with civil
society and statutory agencies, both nationally and internationally. Our alumni and supporters
included a number of well-known activists and commentators. Both the alumni and others who
believed in our work lent their support to our position on a number of occasions, both privately
and in public. An unsolicited opinion piece in the leading Irish broadsheet, The Irish Times,
praising our work was the clearest example of this in September 2005. The opinion writer
pointed out in his column that he had been asked to come out against Equality Studies by a staff
member from UCD; this undermined those who opposed us internally, as they appeared ‘disloyal’
to the university by writing secretly to the press about internal UCD matters. There was some
negative media analysis as well in more conservative newspapers, although not in 2005 at the
time of most restructuring. The Irish Daily Mail (11 August 2008) (a UK subsidiary) had a fullpage piece referring to Equality Studies, Women’s Studies and Sociology as ‘Queer Studies’. It
tried to demonise the subjects by feeding into public homophobia about Queer Studies.
Even though we did not have to mount a media campaign to retain Equality Studies per se
in 2005, we were prepared to do this. As almost all of us had been engaged on issues at different
times in the national media, this not only gave us social capital through media networks, but
symbolic capital within the university; we were known to be media aware. Moreover, closing
down the only Equality Studies Centre in the country would not look good for the University
(so the fear of bad press was a motive to allow us continue), and, as we were a small centre by
UCD standards, we were not a major target for mergers by the new administration.
Challenges – disciplinary issues
Equality Studies experienced the same difficulties that Women’s Studies, Disability Studies and
all interdisciplinary fields experience: it was and is not seen to be ‘pure’ scholarship; it is tainted
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by diversity6 and tolerated on the boundaries of the academy. Although there is recognition
internationally of the central importance of interdisciplinary and transdisciplinary research
(Nowotny et al., 2001), there is little status attached to such new areas of scholarship in most
established universities.7 Fields of study are indeed allowed to emerge, but the core activities
of the university centre around ‘established disciplines’. The history of our experience in this
respect is salutary.
The established faculties of the university (which were assimilated into colleges in 2005) did
not regard interdisciplinary programmes as ‘pure’ enough in academic terms to house them
when they were first established, so Equality Studies (and other similar groups including
Disability Studies) was faculty-homeless for several years, until an Interdisciplinary Faculty was
established in 2003. In the autumn of 2004, a new president was appointed, and it was clear
from the outset that he and his new ‘team’ were going to ‘rationalise’ (a euphemism for close
down) a number of faculties and schools. Interdisciplinary Studies was closed, and Equality
Studies was located within the College of Human Sciences. In all, over ninety departments in
the University were reduced to thirty-five schools. There was considerable pressure on Equality
Studies to join established departments at this time. Knowing that we would be minor players
in large schools, we resisted this pressure and proposed to establish a School of Social Justice.
This idea was accepted in principle after we made a strong written case to the president as to
the importance of social justice in the history and future of the University and fought for the
school at numerous boards. In addition, we used the University’s own ideology to challenge
our closure;8 it was an exercise in legitimation (Thompson, 1990). However, Women’s Studies
was the only centre that agreed to join the new School of Social Justice. The Disability Studies
Centre joined Pyschology, and the Development Studies Centre joined Politics, although we
had asked them to join Social Justice.9 In each case, the titles of the new schools did not reflect
the merger. Politics was renamed as the School of Politics and International Relations, and
Psychology retained its name, with no mention of Disability Studies.
In the neo-liberal age, fear plays a major role in controlling and regulating academic staff
(Boden and Epstein, 2006). Moreover, because academics are preoccupied on a daily basis with
anxieties about productivity within an intense system of surveillance, they disavow their own
docility (Davies et al., 2006). And fear was a major reason why academic staff did not want to
join Social Justice, not just because it was seen to be a school without an ‘established’
disciplinary centre, but because colleagues believed that such a school would be closed down
in time. However, fear was not the only motivation. Some of those we invited to join us made
it clear that they did not wish to be part of a school based on the principle of social justice.
The division between the normative and the positive was a priority value in the minds of many
colleagues; Equality Studies and Social Justice had broken a taboo by aligning the normative
and the positive, and this continued to be unacceptable.10
Challenges – academic capitalism
Although academic life has always been highly individualised and driven by personal interests
and ambitions, it was not always as driven by academic capitalism as it is currently (Slaughter
and Rhoades, 2004). Even not-for-profit higher education programmes have been forced to
accommodate market activity in recent years. And under the globalised (and highly unscientific)
league table regimes promoted by commercial interests, universities do not determine the
conditions of their own appraisal (Marginson, 2006). Educational programmes that service lowincome communities, or research that is of value at national level, do not feature on university
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KATHLEEN LYNCH, MARGARET CREAN AND MARIE MORAN
rankings. And as the experience of Cultural Studies in Birmingham (Rutherford, 2005) and
multidisciplinary programmes and Women’s Studies in many countries show, what is not
counted can be closed. There is a serious threat to critical thought posed by marketised higher
educational system (Webster, 2004); it is a challenge Equality Studies has to confront. However,
history is there to be made; it is not pre-given. Being aware of the dangers and challenges facing
the project is a key factor in survival and progression.
Facing up to regulation and counting
By definition, the Equality Studies Centre and the School of Social Justice have to be socially
engaged. Their work has a public dimension in terms of research partnerships and in terms of
researching with and educating those who work in social movements for social justice. Yet, if
academic productivity is being measured by a narrowly construed bibliometric test, public service
engagement is precluded. The devaluing of dialogue with persons and bodies other than
academics effectively privatises learning among those who are paid-up members of the academic
community, whether as students or academics. The lack of dialogue with publics, apart from
one’s peers, also forecloses the opportunity to have hypotheses tested or challenged from an
experiential standpoint. It limits the opportunities for learning that occur when there is a dialogue
between experiential and theoretical knowledge.
There is a strange irony in a narrowly framed peer review system focused on bibliometric
measurement as it provides disincentives to challenge ill-informed absolutisms and orthodoxies.
In effect, there is no incentive to publicly dissent or engage within the very institutions that
are charged with the task of dissent and engagement. The reward system of academic life means
that the ‘good’ academic is encouraged to become a locally silent academic in their own country,
silent in the public sphere and silent by virtue of dialoguing only with academic peers outside
one’s own country. This silencing is also a product of the positive/normative split and the
pressure on academics to eschew normative values if they are to demonstrate their credibility
as legitimate scientists. Challenging the silencing is part of the struggle.
Conclusion
The intellectual independence of the university is always at risk, given its reliance on external
funding. Yet the history of the university grants it the capability to reclaim its own independence
(Delanty, 2001).
Rather than being bewildered and overwhelmed by neo-liberal rhetoric we need to reenvisage and re-invent the university as a place of scholarly work, grounded in the principles
of democracy and equality that are at the heart of the public education tradition (Harkavy,
2006). And we need to re-emerge from the careerism and docility that are so much a feature
of the neo-liberal university to do this (Davies et al., 2006). All of this means that we must
reassess our position as critical intellectuals and face up to the limitations of the positive–
normative divide (Sayer, 2006), especially in the analysis of injustices.
We must also allow space for the subaltern to emerge, both across and within disciplines,
so that the professional aspects of disciplines do not blind us to the need for engagement with
the most significant issues of our time (Buroway, 2004). Creating space in the university for
scholarship on equality and social justice demands that we learn through dialogue with
experiential knowledge holders. Those with experiential knowledge of injustice have much to
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teach us as theorists and researchers, and through education and research the university can in
turn re-resource activists. Engaging in a dialogue means democratising the social relations of
teaching, learning and exchange. While the project is a long-term one, and the revolution is
forever in process, it is worth the challenge.
Notes
1
2
3
4
5
6
7
8
9
10
This paper is really a collective effort. We would not have had the time to write it without the support
and care of our colleagues in the Equality Studies Centre. Sincere thanks to John Baker, Sara
Cantillon, Judy Walsh, Pauline Faughnan, Maureen Lyons, Elizabeth Hassell and Phyllis Murphy.
A call to colleagues in 2004 to create a university network committed to research and teaching on
social justice led to a positive response from almost a hundred academics across all colleges of the
university and the setting up of the EWI (www.ucd.ie/ewi). Since 2005, we have been offering
undergraduate students across the University modules on various social justice themes, and all of
these courses are well subscribed. We are planning to have a full undergraduate degree in Social
Justice within the next 3–5 years.
While we are not as yet required to be entirely self-financing (although this is quite likely in the
future, given marketisation) we are, and have been, subjected to constant financial monitoring.
We have survived because our student intake has been good. One reason intake is good is because
we do much of our teaching in the late afternoon and evening, to facilitate part-time Masters and
PhD students. We also give a lot of attention to the quality of our teaching, engaging in regular
dialogue with students. Our survival was also greatly enhanced by a bequest from a philanthropist,
Atlantic Philanthropies, first in the late 1990s when they gave us funding to write Equality: from
theory to action (Baker et al., 2004), and secondly when they funded a chair in Equality Studies in
2003. This funding gave us legitimacy as well as money.
We had been quite successful in bringing in students and getting research funding; our marketability
was part of our survival strategy.
We proposed new courses and programmes; first an M.Sc. and Graduate Diploma in Equality Studies,
in the late 1980s and 1990, which naturally evolved to a Ph.D., a Certificate programme, in 1994,
and most recently, in 2005, undergraduate optional courses available to all university students in
Equality Studies, Women’s Studies and Social Justice. We also established new structures (working
groups in 1987, centres in 1990 and networks, the EWI in 2005).
There are 5.5 full-time permanent academics and researchers in Equality Studies, representing five
different fields of study: economics, law, political philosophy, sociology and education. There is
also a part-time permanent post held by the Outreach Co-ordinator and a range of Marie Curie
Fellows, Researchers and Post-Doctoral Fellows whose positions are funded by research grants.
At a college meeting in spring 2008, the vice-president for research (who has a medical background)
at UCD referred to the non-traditional subjects in the university as ‘funny degrees’.
The UCD logo is ‘Ad Astra Cothromh Féinne’, which means literally ‘reaching for excellence (the
stars) and working for the entire community’.
While a few individual staff from former centres and departments did want to join Social Justice,
they were strongly encouraged by the university to accept the majority decision.
The place where this was forcibly articulated was at a meeting two colleagues and the first author
were called to attend on 19 July 2005. The meeting was called on the pretext that it was to help us
work out a framework for developing the EWI network within the College. It turned out to be an
ad hoc meeting, chaired by the head of the College of Human Sciences and attended by three professors
and some lecturers, all of whom made it clear they were opposed to the work in the EWI and the
new School of Social Justice. We were informed that we were ‘politicising the university’ and ‘bringing
it into disrepute’. Those present had copies of letters in hand that they had sent to the senior
management of the University, making formal complaints, but we were not allowed to see them.
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27
Educational organizations and
gender in times of uncertainty
Jill Blackmore
In this chapter I identify and elaborate, from a feminist perspective, upon the theoretical shifts
and key concepts that inform sociological analyses of gender and educational organizations.
Gender inequalities are embedded in the multi-dimensional structure of relationships
between women and men, which, as the modern sociology of gender shows, operates
at every level of experience, from economic arrangements, culture and the state to interpersonal relationships and individual emotions.
(Connell, 2005: 1801)
Even naming this a sociology of gender and organizations is problematic. Many sociologists
consider gender as a key sociological concept, but not necessarily from a feminist perspective.
Feminism is a multidisciplinary, transnational movement that ‘focuses on the relationship
between social movements, political action and social inequalities’ (Arnot, 2002: 3) and on the
everyday experiences of women and girls and how they translate into social and structural ‘ruling
relations’ (Smith, 1988). Feminism takes on multiple trajectories and imperatives in different
cultural contexts, although with familial resemblances, most particularly the shared objective
of equality for women and girls. Education as a primary institution of individual and collective
mobility and social change, but also social and economic reproduction, has long been a focus
of feminist theory and activism. So a feminist sociology needs to address this complexity of
feminist sociological ‘encounters’ with gender and organizations.
Gendering organizations
Within the field of sociology of education there are multiple perspectives about how gender
is understood in relation to organizations, both informing but also informed by feminist theories
and activism. Each perspective, itself a product of particular historical conditions, draws on
particular notions of the relationships between structures, agency and social change.
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EDUCATIONAL ORGANIZATIONS AND GENDER
Organizations as gender neutral
Sociologists regard education and the family as the primary socialization institutions. A dominant
perspective embedded in sociology, characterized by large-scale statistical analyses, is that gender
is a ‘fixed category’, one of multiple input or output factors such as class, race and ethnicity
that can be ‘controlled’ statistically to determine their ‘effects’ in causal relationships; for example,
controlling for class and race to measure the differential effects of gender on educational
achievement. Within this frame, organizations such as schools and universities tend to be treated
as culturally and gender neutral ‘black boxes’. The pedagogical frame is developmental and
psychological, premised upon the notion of the formation of the unitary individual who emerges
fully formed. Power works through hierarchy and structures, and knowledge derives out of
well-defined Enlightenment disciplines that privilege ‘hard’ science over the ‘soft’ humanities,
with an implicit masculine/feminine binary.
Well into the twentieth century, organizations were seen to have functional relationships
in relation to the wider economy and society, responding to external social, economic and
political pressures. Human relations and marketing were marginal concerns of executives.
Education remained a relatively distinctive field of policy, practice and professionalism, offering
secure careers for men and later women. Schools and universities were viewed as discrete units,
tightly or loosely coupled, respectively, to centralist and hierarchical government bureaucracies
with a strong public service orientation. Wider socio-economic contexts tended to be either
ignored or treated as backdrops. Class was equated to occupational status, and women’s class
was linked to a male relative. Within the reproductive framework of socialization into sex roles,
the gender division of labour in educational organizations in which men lead and women teach
is ‘normalized’ because it replicates the ‘natural’ gender division of labour within the family
and society. Gender difference is either equated to biologically determined sex- and genderspecific psychological attributes, or gender is ignored altogether through the universalizing
discourse of the neutered ‘individual’. Such perspectives provide little capacity to understand
social, organizational or gender change.
This notion of organizations as gender neutral meant gender emerged analytically as either
an individual psychological attribute or a statistical variable explaining differential outcomes. It
continues in much contemporary school effects, school improvement and school effectiveness
literature. Gender neutrality is embedded in the corporate and human resource management
literature of the new public administration, which penetrated public services during the 1990s,
supported by human capital theory, which underpins contemporary education policy. Discourses
of school choice and lifelong learning, for example, presume individuals are self-maximizing
autonomous choosers, ignoring how ‘human capital’ is embodied and mobilized within unequal
power relations (Leathwood and Francis, 2006). Women quickly find out in the workplace
that they are less rewarded than men for equivalent if not greater educational achievement.
Equal opportunity policies within this frame seek, through procedural justice, to gain for women
and girls equal access to male-dominated organizations. The under-representation of women
in leadership is treated as an issue of workplace planning and structural barriers, the lack of a
pool of eligible women, or women’s lack of skills or career aspirations. Upskilling women is
the solution. The focus of this perspective is on problem solving from within the frame of the
status quo of organizations, whether bureaucratic or corporate.
The sociocultural turn
The new sociology of education informed by and informing critical and feminist theory emerged
from the social movements of the 1970s. Sociocultural perspectives argue that knowledge,
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organizations and gender are socially constructed. Gender identity is therefore not physically
or epistemologically predetermined, thus moving beyond the biological determinism of sex
role and socialization theory. From this perspective, gender, as race in critical race theory, is
no longer ‘fixed’, but is constitutive of identity, wider societal relations and organizational life
(Ladson Billings, 2004). Organizational structures, knowledges and practices, are socially
constructed in ways that, because of historical power inequalities, disadvantage most women
and advantage most men. This shift from individual and structural factors to sociocultural
accounts of organizations focuses on culture, collective identity, values and the symbolic. Notions
of organizational culture inform change theory and explain why policies do not produce the
effects intended. But culture within conventional educational administration is presumed to be
unitary and homogenous, encapsulated in the notion of ‘the way we do things around here’,
something that could be measured, created, manipulated and managed by leaders and aligned
with organizational ends (Blackmore, 1999). Gender, race and other forms of difference are
ignored, marginalized or to be assimilated.
Feminist sociocultural theories of organization arose out of the 1980s’ politics of identity,
when marginalized groups sought recognition. Schools and universities are seen to be sites of
collective and individual identity formation and contested cultural meaning, with dominant
and subjugated knowledges. Earlier critiques link patriarchy to capitalism and analysed how
bureaucracies subjugated women’s knowledge and experience. Feminist standpoint theory
(Smith, 1988) continues to analyse, from the position of women, the unequal ‘ruling relations’
of power/knowledge/gender embedded in organizational practices, texts and structures, as
indicated by who does what work, how it is valued and who gets rewarded. This analytical
focus on the sociocultural explains the ongoing resistance of men and of organizational practices
to gender equity reform, because gender works through the relationships, symbols, values and
artefacts of organizational life. It explains the real and symbolic power of masculinist cultures
and images of leadership and the ongoing endurance of particular notions of leadership
(Blackmore, 1999; Shakeshaft, 1987). The notion of dominant, marginalized or subordinate
subcultures explains why women feel excluded, for example, from leadership, but also recognizes
that there are spaces of resistance to the dominant by subcultures of students, women and
ethnic/linguistic minorities.
Sociocultural accounts focus on the social relations of gender explicated by Connell (1987),
who argues that, in each site, there are patterns of social relations, structures and practices that
are gendered and ‘systematically important’ to organizations.
Compact formal organizations like schools perhaps have particularly clear gender regimes,
but others have them too. Diffuse institutions like markets, large and sprawling ones like
the state, and informal milieux like street corner peer-group life also are structures in
terms of gender and can be characterised by their gender regimes.
(Connell, 1987: 120)
Thus different masculinities and femininities are constituted in relation to each other –
hegemonic masculinities (managerial, working class) maintain their hegemonic power in
particular organizational contexts by positioning as weaker and lesser other masculinities
(homosexual) and all femininities (emphasized, butch . . .). Hegemonic masculinities are
mobilized, for example, around notions of the rational, unemotional and strong leader, while
depicting women leaders as irrational, emotional and lacking in the capacity to make hard
decisions. This institutionalized gender regime within schools and universities is reinforced by
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the gender order of society and other institutional practices, including the family, religion and
the state (Connell, 1987: 137–139).
Understanding organizations as contested cultures and products of the historical legacy of
male heterosexual privilege provides more nuanced understandings about the failure of imposed
organizational reforms, including gender equity. It explains how resistance to gender reform
by many men and some women derives from their personal and collective investments in
particular gender identities that provide a secure sense of self and that benefit from the existing
gender regime. For example, men are usually advantaged in the workplace by women’s parttime work in the caring professions and the devaluing of unpaid domestic labour. A sociocultural
perspective recognizes that multiple versions of organizational life and subjugated knowledges
exist that differ from the dominant corporate story and prescriptive gender scripts. Equity policies
from this frame seek to make the cultures of educational organizations more inclusive, not only
through greater representation of women but also by changing practices and values.
Postmodern organizational complexity and gender subjectivities
The context of educational organizations during the 1990s was one of rapid and radical change,
restructuring, neo-liberal ideologies and a growing sense of precarious employment. The political
and epistemological context was that of the politics of difference which highlighted the
intersectionality of difference – gender, race, class and ethnicity – as Black feminists challenged
White middle-class feminists’ privileging of gender (Mirza, 1993). Post-structuralism posits
the view that gender, as race and class, is part of a wider set of discursive relations that position
individuals in particular ways within specific contexts. The self is here constituted as multiple
subjectivities, in a constant state of being and becoming. Contradiction, dissonance and ambiguity are the norm both within oneself, but also within organizations and life in general. Notions
of ‘positionality’ and ‘subjectivity’ foreground the complexity, for example, of being female,
Black and an educational leader (Davies and Harré, 2000). The unitary developmental subject
of modernist educational discourses is thus supplanted by forms of subjectivity that are fluid
and hybrid, in a state of ongoing production through biography inflected by race, class, gender,
culture and sexuality (McLeod and Yates, 2006).
Educational organizations are therefore seen to be part of a process of subjectification that
provides both constraints and possibilities, as no outcomes are closed. Schools, universities
and other educational organizations such as technical institutes and workplace training are sites
where gender and other forms of difference are (re)constituted through multiple, often contradictory discourses (women are now equal but individual women do not feel that, girls’ success
and boys’ underachievement) and texts (assessment, curriculum, promotion, equal opportunity
policies) that mediate social relations (Skelton and Francis, 2004). Organizational life is seen to
be open to flows of meaning, bringing a sense of ambiguity, ambivalence and uncertainty.
How difference works in and through organizations is highly ‘situated’, with institutional and
cross-sectoral differences. Gendered subjectivities are constantly remade through discourse that
positions individuals differentially. Sometimes race, sometimes language and sometimes gender
are foregrounded. Power works in organizations, from this perspective, in a decentred and diffuse
manner through discourse, in ways that are both productive and oppressive of particular gendered
subjectivities. Thus, women in leadership can feel simultaneously powerful and powerless.
Post-structuralist perspectives see women and girls having agency owing to their capacity to
mobilize particular discourses to their own benefit, while not ignoring their vulnerability and
‘othering’ due to wider power/knowledge relations. Here organizational change is depicted as
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unpredictable, chaotic and multifaceted. It also means that individual and group narratives of
organizational life are always partial, as is the corporate meta-narrative produced through policy,
strategic plans and mission statements.
Post-structuralist analyses of organizations also highlight the discursive and performative
aspects of organizational life arising in the context of devolved modes of governance,
marketization and managerialism (Blackmore and Sachs, 2007). They explore how the
‘performative’ is reworking the social relations of gender to (re)produce new entrepreneurial,
transnational masculinities and self-managing worker-identities (Connell, 2005). Critical
perspectives focus on the multiple representation of the body and how organizations are sites
of competing sexualities, thus critiquing organizational theory for its dominant (white)
hetereosexuality (Young and Sklra, 2003).
Gendered organizations thus do not ‘exist’ as such; rather they are performed moment
by moment through the communicative practices of their members. While such
performances usually do not unfold capriciously, but rather, follow well-established scripts,
it is still only in the doing – the performing – that such scripts are produced, reproduced,
resisted, and transformed.
(Aschraft and Mumby, 2004: 116)
Power is decentred and diffuse as it works through discourse. And feminists themselves can
produce normative policy discourses that are counterproductive. For example, essentializing
discourses about women’s styles of leadership denies political, racial, ethnic or linguistic
differences among women (Reay and Ball, 2000). Backlash discourses about recuperative
masculinities meanwhile position women as advantaged (Lingard, 2003). Furthermore, studies
of educational restructuring and organizational reform identify how embedded practices
(redeployment, restructuring, outsourcing, downsizing) produce structural backlash (Blackmore,
1999). The message here is that ‘gender inequalities can be subtle, elusive, and normalized via
everyday practices such as networking and the construction of identities and opportunities’ (Husu
and Morley, 2000: 2).
Diversity and difference: hybridity and boundaryless organizations
Post-colonialism now troubles West-centric ways of thinking post 9/11. The global context
is one of rapid flows of people, goods, ideas, money and images, producing greater cultural
diversity in student populations, a diversity not represented in the dominant ‘whiteness’ of the
education workforce and leadership. The context is of heightened uncertainty, high risk and
low trust organizations, with schools and universities constantly restructuring to address market
forces. Post-colonial theory views educational organizations within Western colonizing and
settler nation-states (UK, USA, Australia, Canada and New Zealand) and post-colonial nationstates (e.g. India, Mexico) as sites reconstituting, through the processes of assimilation/
internationalization/entrepreneurialism, neo-colonial relations in ways that simultaneously
protect/reinvent/destroy traditional cultures. Neo-colonialsm is also linked to the commodification of educational goods and services through the processes of westernization/internationalization, both desired and resisted in post-colonial states and by international students,
such as the universalizing, seemingly neutral curriculum of the International Baccalaureate. Postcolonial theorists interrogate the Eurocentrism and whiteness embedded in organizational theory
and promoted by transnational management experts in terms of theories of change, motivation
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and values. They unpack the discourses that view non-Whites as ‘the other’ (Prasad and Prasad,
2002). Meanwhile, diasporic communities in Western nation-states seek to transplant/reinvent/
negotiate traditional cultures locally, mobilizing through neo-liberal policies of privatization
and school choice a trend towards institutionalizing difference (gender, class, religion, ethnicity)
through schooling.
These processes of internationalization and entrepreneurialism are also gendered. On the one
hand, sociologists focus on the hybridity of culture and cosmopolitan identities in the context
of multiple organizational formations and public/private mixes, and in so doing frequently assume
the gender-neutral subject (Stromquist and Monkman, 2000). On the other hand, women are
seen to carry culture symbolically in their daily lives and transnationally, as well as within and
between educational organizations (Mabokela, 2007). Protecting women is readily equated
to protecting tradition and culture, as if gender and culture are fixed. Certainly, for many
indigenous and ethnic minority women in White-dominated educational organizations, gender
is less significant relative to race, ethnicity or religion (Optlaka and Hertz-Lazarowitz, 2006).
Such women leading educational organizations are positioned within multiple contradictions:
due to their lack of whiteness in White-dominated environments and the expectation that they
represent traditional culture, or that they ‘bridge’ two cultures between White and ‘the other’,
between school and community (Fitzgerald, 2006). Indigenous feminists point to how Western
notions of leadership fail to address the mutuality of two-way learning or connectedness to
land, and how organizational structures refuse to provide more than symbolic partnerships with
community (Ah Nee-Benham, 2002; Battiste, 2005). Muslim feminists point to how religion
and gender interplay to maintain traditional masculinities within diasporic communities, and
highlight the complexities for women leaders in religious states, universities and schools where
faith is central to education (Shah, 2006). For women in more traditional societies, gender
dominates (Luke, 2001). For Western feminists, there is also a warning. The ‘civilising overtones
. . . selfless and disinterested project of Western (neo)colonialism’ is seen to be about ‘rescuing
women from particular cultural practices’ with an assumed moral and cultural superiority (Prasad
and Prasad, 2002).
Post-colonialist approaches of organizations therefore unpack the intersecting and
contradictory but changing social relations of religion, culture, gender, race and class and how
they ‘(re)constitute the binaries of good/evil, black/white, active/passive, centre/margins,
masculine/feminine, scientific/superstitious, and secular/religious’ in patterned ways that
produce gender inequality (Prasad, 2002: 124).
Gender is constitutive of organization; it is omnipresent, defining feature of collective
human activity, regardless of whether the activity appears to be about gender . . . the
gendering of organization involves a struggle over meaning, identity and difference . . .
[and] such struggles reproduce social realities that privilege certain interests.
(Ashcraft and Mumby, 2004: xv)
Contemporary issues
Any analysis of educational organizations therefore needs to consider multiple dimensions to
understand the interplay of the unequal social relations of power/knowledge that articulate
through context, discourse and practice: the spatial (who gets to use what spaces), temporal
(how time is used), material (distribution of resources), symbolic (representations of what is
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valued), semiotic (language and vocabulary mobilized), cultural (narratives about who we are),
aesthetic (what constitutes beauty) and the technological (who benefits). But a feminist analysis
foregrounds particular issues in any organizational analysis, as indicated below.
Dualisms
Feminist perspectives explore how Enlightenment dualisms between mind/body, rational/
emotional, active/passive, science/humanities and masculine/feminine continue to be reinvented
in contemporary organizations through the changing social relations of gender, despite shifts
in discourses and theories of gender and organizations. Organizations embody social relations,
producing gendered, racialized and sexualized distinctions. The body and discourse are
inseparable, as the body incorporates the rules of organizations, in terms of how individuals
dress, relate, use space and time and mobilize particular gender subjectivities. Leadership
foregrounds the body in terms of its sexuality, the performative aspects of organizations, as well
as self-presentation. The imagery of the well-groomed (White heterosexual) male (and now
female) leader who ‘fits’ the organizational image remains the norm against which all contenders
are measured. The body is therefore central to any analysis of the disciplinary power of
organizations over individuals (e.g. lesbian leaders) and populations (disabled), and how such
power produces particular institutionalized and performative practices.
Furthermore, feminists have long rejected any emotional/rational distinction, arguing that
leadership and teaching demand emotions such as compassion in order for decision-makers and
professionals to be fully human and indeed rational. Critical management and feminist
organizational theory views organizations as emotional arenas, where rapid and radical change
produces the full range of emotions: grief, anger, greed, envy, frustration, fear and anxiety
(Fineman, 2000). Mainstream educational theory no longer treats emotions as pathologies,
feminized and something to be eradicated, having recognized the reliance in knowledge-based
economies on ‘human’ capital and on individual and collective emotional investment(s) and
social relations that oil productivity. Marketing and human relations are central executive areas
of control. Emotional literacy or intelligence is now presented as another skill for leaders to
acquire. Now, emotional labour and educators’ passion for teaching and research are being
depoliticized (Boler, 1999) and co-opted through discourses of quality by management for
organizational ends (Blackmore and Sachs, 2007; Morley, 2003). But gendered emotion scripts
prescribe who does what types of emotional management and how emotional displays such as
crying or anger are judged differently.
Finally, educational organizations are also historically constructed around knowledge
hierarchies that privilege particular versions of science over the humanities and the social,
whether in school subjects or research (Brooks and MacKinnon, 2001). These gendered
knowledge hierarchies continue to be reinvented through the disciplinary technologies of
accountability that determine what counts, what gets counted, what gets taught and assessed,
and who benefits (Morley 2003).
Context
Gender has largely been addressed in mainstream sociologies of education as an individual or
group characteristic rather than as a primary organizing principle of society and the economy
and the relations of ruling at the global, international, national, regional, local and institutional
level. Context shapes both organizational and leadership possibilities. The nature and purpose
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of education are fundamentally changing under the conditions of education capitalism; at the
same time, wider structural relations of national economies and markets impact on the career
possibilities and work conditions in gendered ways (Deem, 1996). In educational organizations,
market discourses and practices now penetrate organizational structures, cultures and values, as
well as priorities. Such contexts inform institutional discourses as leaders in middle management,
many of them now women, mobilize discourses of survival to gain collegial consent, often
becoming reluctantly complicit in the new work order. Responsiveness to international and
local education markets requires significant institutional flexibility. Accumulating evidence is
charting the feminization and casualization of academic and teachers’ work arising from
devolved systems of educational governance and deregulated international education markets
(Brine, 1999).
These trends cannot be disentangled from how education professionalism is being redefined
and judged through national and international professional-standards movements and escalating
national and international accountability demands for comparison. The nature of educational
organizations and leadership is also under revision. Discourses of lifelong learning have
encouraged a seamlessness between educational sectors to facilitate smooth pathways for
students. Educational organizations are part of a ‘constellation of sites, spaces and opportunities
for learning’ (Arnot, 2002: 258), with multiple configurations locally (multi-site campuses and
community and industry partnerships) and internationally (offshore campuses). So, as education
as a field is increasingly subject to markets and the economy, the profession is losing autonomy.
Global relations have shifted the locus of power upwards and outwards from educational
organizations owing to externally driven demands for accountability and market forces.
Reconstituting the gender division of labour: public/private
The separation of public life (masculine domain) and the private lifeworld of family and
community (female domain) was a premise of the modernist educational organization (David,
2003). Historically, teaching has been positioned as the naturalized extension of mothering and
therefore women’s work, with ‘the importing through embodied social practice over time, of
cultural metaphors of domesticity from a narrowly conceived private sphere into the apparently
public world of work’ (Acker and Dillabough, 2007: 298–299). Teaching is recognized as
feminized, but not as White. This continues with institutionalizing policies exhorting parents
(women) to be partners as quasi-literacy teachers, fundraisers or governors. Now self-managing
schools and universities, public and private, seek to blur the public/private distinction in order
to gain greater flexibility by transferring educational labour into the home through technologies
or outsourcing educational work under contractualism. So, as educational organizations move
into new public/private configurations, women are more vulnerable, as they are without the
mobility and flexibility of their male counterparts.
Equity
Organizational texts (policies, mission statements, performance management protocols, performance indicators, curriculum, assessment) are gendered in terms of their implications for workplace
arrangements (time at work, continuity of employment) and which discourses get privileged
(efficiency or equity). Devolved governance in education has meant policy is now the means
by which governments and executives steer from a distance. Policy is one link in the cycle of
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performativity arising from the accountability regimes focusing on outcomes. Meanwhile,
contemporary individualizing discourses of diversity that have supplanted equal opportunity
weaken claims of historical group, structural and cultural, gender inequality (Bacchi, 2000).
Critical feminist policy sociologists (Marshall, 1997) identify multiple tensions around how
equity policies will work. Equity practitioners in organizations still rely on the state and
executives for equity policies to provide legitimation for their activities, raise expectations for
changes in behaviour and offer a language for action. Already, backlash discourses cite the
existence of equity policies to argue that women and girls have equality or are advantaged in
education. Recognition of one form of disadvantage (class, race) does not necessarily flow over
to equality of gender. Each form of disadvantage has different legacies (slavery, colonialism)
and power relations. Gender equity cuts across racial, ethnic and class difference because it
challenges personal and power relationships at work and in the home.
Contemporary dilemmas for feminists
Coming from a focus on gender leads to different assumptions, questions and conclusions, but
also produces ongoing dilemmas for sociologists of gender and educational organizations.
Category problem
Gender continues to be a problematic sociological concept in terms of what it supplants, such
as a focus on women and girls, and what it ignores, in terms of sexuality. The feminist dilemma
with regard to category has been that focusing on women as a sociological concept and policy
strategy has positioned women as having to change or to initiate change, while essentializing
women as a group (Bacchi, 2000). It thus diverts policy and sociologists’ attention away from
how the social relations of gender are embedded in the structures, cultures, identities and power
configurations in educational organizations, on how leadership is understood and practised, how
context and culture shape organizational practices and in turn how organizations (re)constitute
gender, class and race and identities. At the same time, the focus on the social relations of gender
and/or gendered subjectivities means attention reverts back to men as the ‘dominant’ or to the
individual in ways that ignore structural and cultural factors. Both facilitate the appropriation
by mainstream theory of those aspects of feminist research and discourse that do not undermine
its normative frame.
The politics of gender research
With the focus on text, discourse and the rejection of modernist meta-narratives, postmodernist accounts of organizations localize the politics of gender, focusing on the processes
of reflexivity and individualization that can be readily appropriated by neo-liberal discourses
of the gender-neutral individual (Bauman, 2005). Materialist accounts consider this refusal to
universalize endangers the feminist political project of social justice (Unterhalter, 2006). Poststructuralism’s focus on situated gendered subjectivities, like the socio-cultural focus on women
and leadership, has diverted attention away from the structural: that is, the reconstitution of
gender relations occurring through the restructuring of educational organizations during the
1990s due to neo-liberal reforms of marketization and managerialism (Brine, 1999; Blackmore
and Sachs, 2007).
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A number of issues for inquiry arise from the above:
•
•
•
•
•
•
•
•
•
How are shifts in educational governance from the bureaucratic to the corporate and now
the networked organization impacting on women’s capacity and/or desire to be leaders,
policy actors or practitioners?
How are the social relations of gender being reconstituted through the structures, processes,
practices and cross-cultural relations of the networked organization, locally, nationally and
transnationally?
Are the global policy communities of the OECD, World Bank, UNESCO new sites for
mobile transnational masculinities, while women remain as leaders of the domestic (national
and local) in a reconfigured gender division of labour?
Are men benefiting more from new public/private configurations, such as innovation
centres in new knowledge economies and internationalization (Metcalfe and Slaughter,
2008)?
How are neo-colonial masculinities in leadership – traditional and progressive – being
reconstituted within different national contexts – religious nation-states, diasporic communities in Western nation-states?
How to unpack and investigate the more ‘subtle gender differentiation’ that occurs in
organizations and through discourses of individual choice and diversity?
How to generalize across organizations owing to the complexities of articulation of
gender, race, class and religion in specific institutional locations?
As the role of the state changes with the emergence of regional polities and global policy
communities, how will gender equity policy be mobilized, conceptualized and delivered
in local educational organizations?
What theoretical, ethical and methodological issues does this raise in terms of a feminist
comparative sociology of organizations?
Conclusion
Discourses in Western societies are about post-feminism. Women and girls are disappearing as
a sociological category of inequality in educational research and policy, with the focus on boys’
underachievement and discourses of diversity. Yet women do not feel equal; either their progress
into the executive level of organizations has stalled, or the locus of organizational power has
moved beyond the organization. In developing nation-states, women and children are the losers
owing to war, migration, unemployment, famine and global warming. Gender as a sociological
category is increasingly complex in terms of how it relates to culture, context and educational
organizations. So the question for feminist sociologists and policy activists is how to address
this complexity of social and structural differentiation and patterned inequality.
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Mirza, H. (1993) ‘The social construction of Black womanhood in British educational research: towards
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Morley, L. (2003) Quality and power in higher education, Buckingham: Open University Press.
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Smith, D. (1988) The everyday world as problematic. A feminist sociology, New York: Open University Press.
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SUNY Press
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28
Bringing Bourdieu to ‘widening
participation’ policies in higher education
A UK case analysis
Pat Thomson
This chapter examines an apparent ‘policy failure’. It compares a statistically oriented policy
narrative of increasing access to higher education with its representations in media. It then
mobilizes the sociological approach of Pierre Bourdieu to sketch an alternative analysis of events.
This analysis demonstrates how mobilizing Bourdieu’s approach situates the case in a broad
historical and social context, elaborates the connections between related events in different sectors
of education, and makes clear what is at stake in polarized debates. And, while the context and
data are drawn from the UK, and England in particular, this Bourdieuian framing suggests that,
while the actual details of these events are specific in space/place/time, the ‘logic of practice’
at work is much more widely generalizable.
The case in point centres on struggles around access, entry and participation. Statistics on
UK university entrance1 are unequivocal: not only has the percentage of young people who
go onto higher education (HE) remained relatively static, but those who gain entry are more
often from middle-class and very wealthy families (Archer et al., 2003; Galindo-Rueda et al.,
2004). Furthermore, the more elite universities have disproportionate numbers of already
advantaged young people. Yet paradoxically, the percentage of young people getting ‘good
results’ in school exams has increased.
In 1999, the UK government decided that 50 per cent of all young people would be enrolled
in HE by 2010, an ambitious 11 per cent increase within a decade. This target was accompanied
by a funding programme designed to help universities ‘widen participation’ by opening their
doors to young people whose families did not have a tradition of university education. Named
Aimhigher, the policy rhetorically designated the ‘problem’ of low participation to lack of
aspiration among individual young people from homes assigned by government’s statistics to
‘lower socio-economic’ categories (Thomas, 2001). The policy ‘solution’ was for universities
to work together with schools with low participation rates to motivate students to become
‘non-traditional’ university entrants. The government also sought to increase the ‘flow’ into
higher and further education by strongly encouraging schools to support the majority of young
people to stay on until the end of formal schooling.
This agenda was only minimally successful. In 2008, official figures revealed that the HE
participation rates among 17–30-year-olds had risen by just 0.6 per cent between 1999–2000
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BOURDIEU AND HIGHER EDUCATION IN THE UK
and 2006–2007, from 39.2 per cent to 39.8 per cent. The political opposition made much of
this slow progress, suggesting that, at this rate, it would take to 2124 to achieve the stated target.
Government ministers admitted the target was impossible, but argued that they never thought
it was realistic and that their focus had recently shifted from the under 30s to the workforce as
a whole.2 Policy debates are now focused either on how to find the appropriate combination
of carrots and sticks that will create further change, while moving away from the unreachable
target (government), or blaming the very idea and the means by which it has been implemented
(opposition).
Higher education access in the news
In the UK, summer is not just a time for holidays. It is also when exam results are anticipated
and released, and, thus, there is typically more – and more polarized – public discussion about
HE entry and the state of upper secondary education. Debates focus on both A levels, the ‘gatekeeping qualifications’ offered by schools, and the access and equity approaches taken by
universities. I discuss each in turn, giving some examples of the kinds of media coverage that
they warrant. These are taken from a corpus of UK print media reports collected between June
and September 2008: items were selected because they are ‘typical’ of particular discursive
positions (Thomas, 2006).
Debates about school qualifications
Media narratives suggest that concerns about school qualifications are extensive and include:
the kinds of knowledge that are valued; ‘problems’ for universities in discriminating between
the increasing number of young people with the same grades; and escalating efforts by schools
– and young people themselves – to mark themselves out in the competition for university
places and courses. This is somewhat different from the policy debate reported in the introduction. There are many ‘takes’ on these issues but three of the most prominent are:
1 Not everyone wants to go to university: In 2005 the government announced that it would
introduce fourteen new vocational diplomas rather than replace A levels with a single new
qualification that included both ‘academic’ and ‘vocational’ options.3 Since then, there has been
speculation about whether universities would accept the new qualifications as valid preparation
for HE entrance, and whether this meant the ‘end’ of the A level as the ‘gold standard’ of quality.
In August 2008,4 the release of detailed government information about the new vocational
diplomas brought accusations of vast exaggerations of the economic payoffs of undertaking
vocational education (Times Higher Education, 7 August 2008) and a rejoinder from Education
Secretary Ed Balls that A levels are ‘not set in stone’ (Daily Telegraph, 13 September 2008).
2 A levels are seriously flawed: At the same time, it was widely reported that increasing
numbers of young people were achieving ‘good’ A levels, but this was not necessarily a cause
for celebration. The Education Guardian (12 August 2008: 1) put it this way:
Since 2000, the proportion of A levels awarded an A grade in England has shot up from
17.8% to 25.3%. It’s been asked before, but let’s ask it again: does this mean today’s pupils
are better prepared for summer exams or cleverer than they used to be? Or do markers
perhaps expect less than they did in the past and mark more generously?
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Newspapers made much of the alleged increase in the numbers of ‘A’ grades awarded, with
accounts varying from one in seven, to one in ten and even 3 per cent (Times Higher Education,
21 August 2008: 5). Concerns about grade inflation were directed to three subjects in particular
– drama, sociology and media studies. There were suggestions that ‘easy’ marking in these
subjects allowed students to gain higher scores than their peers in science, technology and
mathematics: students undertaking these courses had an ‘unfair’ advantage in the competition
for access to university places.
There were also numerous reports about marking. While there was nothing like the
spectacular failure of Educational Testing Services, the contractor who failed to deliver accurate
and timely test results for the basic skills tests administered to pupils in the compulsory years
of schooling,5 there were reports that,
some schools now routinely query a large proportion of their results in the hope of
pushing up grades. Marsha Elms, headteacher of Kendrick girl’s school in Reading,
says the problem is not just with A levels: there is increasing concern about exam marking in general. And with new vocational qualifications about to come on stream,
she fears the quality of markers may deteriorate further. ‘I think the system is so stretched
that we are beginning to lose faith – we are increasingly asking for remarks,’ she says.
‘But I do also think its to do with the clientele, wanting rechecks as it becomes
more difficult to get into the universities – people want Cs turned into Bs and Bs turned
into As.’
(Education Guardian, 12 August 2008: 2)
While the formation of a new exams watchdog, OfQual, is intended to shore up trust in
marking, the competition for places goes further than lack of faith in examinations.
3 Students and schools have lost faith in the system: Other news reports in the same period
noted that many students are opting to take four rather than three A levels in the hope of
getting an edge in the competition for elite university places and courses. But,
Geoff Parks, director of admissions at Cambridge said . . . that he hoped the introduction of the new A* grade from 2010 would reverse the trend and persuade more
students to take three because the key discriminator would be quality rather than
quantity.
(The Times, 15 August, 2008)
However, 150 UK schools announced that they would abandon A levels altogether in favour
of a new Pre-U exam developed by Cambridge University (THE 31/7/2008, p. 5), while a
US style aptitude test, proposed by government advisers as an alternative route for disadvantaged
young people into university, was reported to ‘favour white boys from grammar schools’ (Times
Higher Education, 18 September 2008: 5).
Debates about university access policies
All English universities are expected to achieve the widening participation targets. Media reports
largely represent their problems in doing so as concerns about funding and administrative routines
for HE entry. Among the most common stories are two that say:
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BOURDIEU AND HIGHER EDUCATION IN THE UK
1
2
Funding is the problem: The government recently announced that it would change funding arrangements, so that young people from the most disadvantaged backgrounds would
attract four times rather than twice the amount of HE funding. Universities with greater
success in attracting such students welcomed the move as it would clearly direct more
funding their way. But universities who were less successful countered, arguing that the
funding ought to be on the basis of need, thus giving those with already large numbers of
‘non-traditional’ entrants less.
Universities won’t do as they are told: At the same time, the intervention programme
Aimhigher,6 which funds universities to work with schools and colleges, was critiqued for
being directed to the wrong sector: some HE administrators argued that the money ought
to go to disadvantaged schools to spend ‘earlier’ than the final year of schooling. Their
argument – that better preparation in the middle years of schooling is the issue, not
lack of motivation in the senior years – was not universally accepted (a two-page debate
appeared in Times Higher Education, 24 July 2008: 6–7). Print media also carried reports
that employers questioned the value of a HE degree because of concerns about marking
variability across universities (Times Higher Education, 10 July 2008), and that many
university students were finding it increasingly difficult to pay their way through university
(Times Higher Education, 7 August 2008) and to accommodate the fees debt they accrued.
Together, these reports hinted that some young people queried the point of a university
education and would switch to the new vocational options.
The most vitriolic debates occurred around the failure of Aimhigher to achieve its policy
goals. These centred on the actions of the most elite universities. The polarized debates can be
seen in the two following newspaper columns.
Extract 1
Tom Kemp, admissions tutor at St John’s College, Oxford, argued that elite universities are
not biased.
As an admissions tutor I am perfectly aware than something is amiss in the huge
imbalance between the proportion of students admitted to Oxford from the private
schools and the proportion of the school population so educated . . . The simple starting
fact is that Oxford wants the brightest, most academically committed kids as its
undergraduates. It is completely immaterial to us what gender, colour, nationality they
are, or what their family background, sexual orientation or anything else is . . . Given all
such information we consider, and given the huge effort put into admissions (up to four
interviews to about four times the number of candidates to the places available) no-one
can reasonably accuse us of not working towards being fair to all, even if we have a good
way to go.
(Education Guardian, 12 August 2008: 4)
Kemp argues that entry to elite universities must be on academic ‘merit’ and ‘performance’,
and that while some compensations might be made, there are limits. To do too much would
be unfair to those who have done well in their exams. By implication, Kemp sheets the problem
home to schools: if they did a better job then more young people would be ‘meritorious’ and
deserving of a place.
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Extract 2
The Observer columnist Barbara Ellen suggests that elite universities are just not trying hard
enough, and this, she suspects, is because they want to protect their ‘elite’ brand.
I suppose one has to be mature and resist the natural inclination of turning this into a
‘Toffs versus Plebs’ stand-off. A great shame, as in many ways it’s asking for it. In 2008,
are we meant to tug our forelocks and accept Cambridge professor Alison Richard
opining: ‘it’s not our place to help the poor’? And with figures revealing that 40 percent
of the Oxford and Cambridge intake is from fee paying schools, when the education
private sector represents only 7 percent of the nation’s children? It transpires that what
Richard actually said was that educational institutions should not be turned into
‘handmaidens of industry, implementers of the skills agenda, or indeed engines for
promoting social justice’. Which seems to be a round about way of saying that dons are
genuinely concerned about the shoehorning in of state students, with a less impressive
record, at the expense of undermining the world-famous Oxbridge brand.7 All fair points,
until you ask the question – whose universities are they anyway?
(The Observer, 14 September 2008: 11)
Ellen clearly suspects that arguments about merit are a cover-up for underhanded actions that
preserve the advantages of those who are wealthy and can afford to send their children to private
schools.
How are we to understand these representations of problems
with higher education access?
This selection of news items shows a range of issues coalescing around who gets into which
university and which course, and by what means. If we are to believe these press items, then
policy failure and students’ distress are not attributable to flawed policy per se, but rather to
the behaviour of universities, particularly those that have greatest market share and prestige.
In the remainder of this chapter, I want to re-read HE access and participation with the
help of a French social scientist, the late Pierre Bourdieu, and to argue that what is at stake is
a question of social, political and cultural privilege, but this is not a question of individual people
or institutions being mean, bloody-minded or insincere. Rather, it is a complex matter of
the way that social systems work (Zipin, 1999). The argument that I make is intended to
complement empirical studies that focus on the ‘habitus’ of those young people making choices
about which university to attend – or not (e.g. Ball et al., 2000; Reay et al., 2005).
There are two important ideas that underpin the argument I will make about HE access.
These are, first, the reproductive practices of education and, second, the hierarchies that exist
within education. I will briefly signpost each idea in turn and then bring them to a re-reading
of the HE debates presented in the first part of the chapter.
Education and the reproduction of privilege
Research has consistently demonstrated that educational success is correlated with greater wealth,
levels of education and social status (Teese, 2000; Feinstein et al., 2008).
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BOURDIEU AND HIGHER EDUCATION IN THE UK
Bourdieu argued that education systems were heavily implicated in this production and
reproduction of social and economic privilege and disadvantage (Bourdieu and Passeron, 1977,
1979; Bourdieu et al., 1995). He demonstrated that some children come from families where
the kinds of knowledge and behaviour that count in schooling already exist in abundance and
they are thus at an advantage from the very first time they enter the school gates. Not only do
they already possess ‘capitals’ that are important to school success, but they also feel comfortable
in the school setting and are easily able to do what is required. This does not mean that some
children come from ‘good homes’ whereas others come from ‘bad’ ones with low aspirations.
Nor does it mean that some schools are failing or inadequate. Rather, Bourdieu suggests that
the game of schooling is deeply discriminatory: those children who arrive at school without
the ‘right stuff ’ are behind at the outset and remain so throughout their schooling.
Over time, the school pedagogies, curriculum and assessment practices exacerbate initial
differences (Anyon, 1980; Haberman, 1991; Thomson, 2002). By the time children have reached
the part of schooling where they must decide whether to aim for university, their decisions are
nearly made by virtue of their schooling success, or lack of it. This is not a case of some young
people being possessed of merit, but rather a case of schooling as a game that is heavily rigged
in favour of particular kinds of children and young people. The ‘achievement gap’ is the result
of deeply embedded and embodied structural inequalities.
It is important to recognize that Bourdieu’s argument about the reproductive effects of
education does not mean that all children from so-called ‘deprived’/’disadvantaged’ homes do
badly at school and therefore none of them gets to university. Some of them do very well at
school, just as some young people from privileged homes do very badly. But it is only a comparatively small number who do so. Bourdieu is frank about his own origins: he was a ‘scholarship’
boy, selected through the workings of the school system to become upwardly socially mobile.
But he demonstrated through his academic work how in his case, and in that of others like him,
‘sorting and selecting’ who was educationally successful occurred in a myriad of ways, from the
more obvious promotion, setting and grouping practices, through to the language of the
curriculum, and the kinds of knowledge considered to be of most value (Bourdieu, 2008). Thus,
his theorization of (re)production allows for both change and for continuity.
Educational hierarchies and educational and socio-economic
status
There are distinctive hierarchies of distinction within education (Bourdieu, 1984, 1988;
Naidoo, 2004) around:
1
2
Qualifications: Qualifications are not simply valued for their age-related level, with a senior
school certificate more valued than a junior. It is also the symbolic value of the qualifications
that matters, that is, the uses to which they can be put to in employment and social
networks. What is most commonly known as ‘academic’ knowledge is valued over
‘vocational knowledge’. Thus, university degrees are ‘better’ than FE diplomas. This is
because these qualifications are necessary for higher-status (although not always better
remunerated) jobs (see disciplines below). School qualifications that act as gatekeepers for
HE entrance are generally seen as ‘better’ than some FE qualifications, as they constitute
the pathway to HE and thus to higher-status positions more generally.
Institutions: The schools that parents have to pay for have most status, and, within that
group, those that are oldest and can boast large numbers of important people among their
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3
alumni. HE too is hierarchically arranged, with the newest universities considered to be
of lesser status than those that are older. In the UK, Oxford/Cambridge epitomize the
high-status HE institution: because of their age, they have a vast tranche of important alumni
going back centuries, various markers of distinction (heritage buildings, green spaces,
museums, benefactors, large research grants, high on the league tables that signify ‘quality’)
and they attract and are able to select those with the highest school qualifications. An
‘Oxbridge’ degree is often seen as ‘better’ by employers than that of a very recent
university (redbrick, more vocationally oriented, less research-driven).
‘Academic’ disciplines (see Ladwig, 1996): Science, technology and mathematics (STEM)
are the disciplines that are deemed to matter most to ‘progress’, but other disciplines such
as economics, law and management are ‘vital’ to the management of civil society and
government. Law and medicine also retain status because of their historical connections
with classical learning. Some arts and humanities subjects have cultural cachet but do not
dominate policies within HE institutions or elsewhere: this privilege is now afforded to
STEM. In general, what are seen as the more vocational subjects – such as education and
nursing – are of lower status than the older professional subjects such as medicine. The
‘new professions’ struggle for status.8 The more recent branches of arts and humanities,
such as drama, creative writing, cultural studies and media studies, are similarly low in the
hierarchy and can be compared with new STEM subjects, such as nano and genetic sciences,
which have acquired instant status (and large amounts of funding).
I will put these two concepts (the reproduction of hierarchies and the distinctions in HE)
to work in re-reading the debates over HE access, which I will first put into a wider context.
Rising mass levels of education
Taking a long view shows that, over time, the mass level of education has been steadily rising.
More and more people are staying at school for longer, and more and more people are entering
HE and acquiring qualifications.9 These changes are connected, although not in a simple cause
and effect relationship, with changes in the economy and politics. I will briefly sketch some
key events in the UK (see Jones (2003) and Whitty (2002) for more).
In the post-war period there were significant changes in the ways in which the economy
functioned. Innovations developed within HE STEM disciplines meant that many jobs could
be done by machines, rather than by human labour. At the same time, more women entered
the workforce, and there were increasingly fewer jobs for young people. The government
deregulated the economy in support of companies seeking expanding markets, but many of
them also sought cheap labour and taxation advantages – they moved offshore. These economic
shifts caused large numbers of people to lose their jobs, particularly in manufacturing and
associated industries. But jobs also disappeared in agriculture and in declining resource-based
industries such as coal mining. New industries and jobs have had to be developed, and these
have largely been in the services sector and in a range of new ‘knowledge-based’ areas. Many
new jobs require higher levels of specialized education.
Successive UK governments have had no choice but to attempt to manage the consequences
of these often-abrupt shifts within the globalized economy. Education policy has been perceived
to have a major role to play (Lauder et al., 2006). First of all, unemployed adults must be
retrained. Second, the political creation of the European Union, combined with political
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upheaval in other parts of the world and the relative ease of global travel, has meant large numbers
of new families of migrants and refugees who must be educated, housed and employed. Third,
the potential costs of unemployed young people not gainfully occupied must be addressed: the
general social belief in education and training as a ‘good thing’ provides the rationalization for
raising school leaving ages. And finally, in order to provide partial solutions to the social
consequences of economic shifts, education, which historically had a role to play in the
‘civilizing’ and ‘nation-building’ of the British state, is required to focus on:
•
•
•
citizenship – to create social cohesion;
well-being – to ensure basic health and welfare; and
generic ‘knowledge-economy’ skills – to create a well-prepared workforce.
As well, schools, FE and HE must generally increase participation – in part to take the pressure
off the youth labour market, leaving jobs for older workers.
The changes and pressures I have very briefly indicated have not been smooth and
continuous, but rather have occurred in lurches. There have been – and are – particular times
when education must make relatively rapid adjustments. This is one such time.
Struggles over expanding higher education
In reality, schools have, over the last sixty year period, been continually asked to cater for ever
larger numbers of more diverse young people, and for longer. At the same time, they have
been asked by governments worried about the labour market and the economy to educate
students to higher levels and in new areas. There are also more and more young people staying
at school long enough to gain the kinds of qualification that might allow them to gain entry
to HE. In turn, governments require both higher and further education to increase the range
and types of course on offer. These changes can be summed up as some demand and a lot of
pressure for HE to expand and diversify at the same time.
This expand–diversify duality creates instability within the field of education and creates the
occasion for intensified struggles over possible new hierarchies and (re)distributions. As seen
earlier in the chapter, it has been the occasion for intense debates at the borders of HE and
schooling and within HE itself. These struggles are around managing:
•
•
flow – how many people can gain a basic university qualification without the award losing
status in comparison and competition with an expanding range of higher-level vocational
qualifications, and
position – which institutions and disciplines will retain their position, that is, remain at the
top of the relevant hierarchy by virtue of being the most selective of ‘quality’ (Morley,
2003), taken to mean offering the qualifications that are of highest status.
These struggles have occurred within an increasingly internationally oriented and marketized
HE system, which places greater pressure on places and on the management of the appearance
of academic distinction (Sidhu, 2006).
In the UK expand–diversify setting, changes to the gate-keeping A levels have become a
crucible for various people and institutions to act out the positional struggles that are taking
place. Students seeking to gain advantage take more A levels than are required. Universities
who have lost faith in the capacity of A levels to sort and select in their interests set their own
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entrance exams and procedures. Institutions wary of having to take too many of the ‘wrong
sort’ of young people argue that some disciplines (the newer, lower-status media studies and
sociology for example) are ‘easier’ than STEM.
Paradoxically, widening participation policies both enhance and threaten the position of highstatus universities. On the one hand, they must be seen to be accommodating, as elitism carries
connotations that are no longer socially acceptable (as in Barbara Ellen’s acerbic commentary
earlier). On the other hand, they must maintain their elitism, as it is this that puts them at the
‘top’ of the HE tree. The rationale (doxa) that they adopt for this juggling act is one of merit
(as in Tom Kemp’s column). Students are said to advance through a neutral schooling system,
regardless of their social, cultural or economic contexts. The ways in which schooling itself is
implicated in the reproduction of privilege and of particular socio-economic groups are
ignored. The qualification acts as an apparently neutral mechanism for sorting and selecting.
And university interviews, where young people must perform as a particular kind of educated
person, are argued to be ‘additional effort’ to be fair, rather than the exercise of additional
selectivity, over and above that offered by the school qualification.
This rationale appears to be logical and natural, but, as Bourdieu suggests, what is at work
is something profoundly social and structured (Bourdieu, 1990). The realities of (re)production
are misrecognized.
Conclusion
The continued struggles over the (re)production of advantage are manifest in current struggles
over HE entrance and the nature of the final school qualifications. Both government and media
are powerful actors in the field of education, as are hierarchically organized universities and
families and young people themselves. Their actions and words cannot be understood simply
by looking at policy or by reading newspapers. Thinking about events through the lens of
Bourdieu’s sociology allows the phenomena to be understood not as a one-off or isolated series
of events, but as part of a longer and wider struggle about the kind of education system, and
world, we have – and that we want.
The media debates exemplified earlier are not predominantly moral debates about what is
right. In essence, the widening participation debates are about the reproduction of relative
positions and hierarchies. Differences over school qualifications cannot be separated from events
in HE, as it is the nature of the gate-keeping afforded by the examinations that is at stake. An
apparently ‘scientific’ argument about merit is mobilized, by the most powerful and higheststatus agents, in order to bolster up traditional hierarchies and status and to justify greater
selectivity. Self-interested arguments from new institutions and disciplines seeking to increase
their standing and position focus on their importance in the new knowledge economy, even
if they sometimes mount a case against elitism. The policies of government are also imbricated
in these events: politicians too have significant interests and agendas. They seek to manage an
economy, get (re)elected and to manage a rhetorical battle of ‘spin’.
Reading these events with Bourdieu shows that inequitable differences are not produced
by chance, but are a result of debates, contests and a myriad of actions and reactions. At some
point, an uneasy and temporary settlement will be reached.
However, the outcomes of these struggles are not ruthlessly predetermined. While the history
of this and similar struggles is strongly patterned by the need of various actors to preserve
particular advantages, Bourdieu reminds us that the destiny effects of education do not
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preclude change. The reproduction of privilege is not inexorable, and it is clear from the different
histories of different countries that social and economic inequities are fewer in some places
than in others.
And, in the UK, there are signs that, under concerted pressure, even the most elite
universities are opening their doors a crack.
Notes
1
2
3
4
5
6
7
8
9
See the various datasets on the Higher Education Statistics Agency (HESA) website, available online
at www.hesa.ac.uk/index.php?option=com_datatables&Itemid=121 (accessed 20 September 2008).
‘Labour concedes it won’t deliver its 50% target on time’, Times Higher Education. Available
online at www.timeshigherducation.co.uk/story.asp?storyCode=401455§ioncode=26 (accessed
12 July 2008).
A levels are public examinations whose aggregated scores are the basis for university entrance.
See http://yp.direct.gov.uk/diplomas/ for the video version (accessed 3 November 2008).
See www.timesonline.co.uk/tol/news/uk/education/article4538892.ece (accessed 13 September
2008).
See www.direct.gov.uk/en/EducationAndLearning/UniversityAndHigherEducation/DG_073697
(accessed 20 September 2008).
Oxbridge – an amalgamation of Oxford and Cambridge and common shorthand in the UK.
Lobbying for higher status, advocates for the field of education now make much of its integral
connections with the knowledge economy, and those who are part of the ‘cultural turn’ in the
arts and humanities argue the importance of the cultural industries to national economies and
pervasiveness of multi-modal communication technologies.
But some qualifications no longer mean what they did. An ordinary degree is no longer ‘worth’
what it once was in terms of getting a job.
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–––– and –––– (1979) The inheritors, French students and their relation to culture, Chicago, IL: The University
of Chicago Press.
–––– , –––– and de Saint Martin, M. (1995) Academic discourse, Stanford, CA: Stanford University Press.
Feinstein, L., Duckworth, F. and Sabates, R. (2008) Education and the family. Passing success across generations,
London: Routledge.
Galindo-Rueda, F., Marcenaro-Guitierrez, O. and Vignoles, A. (2004) The widening socio-economic gap in
UK higher education, London: Centre for the Economics of Education, London School of Economics.
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Jones, K. (2003) Education in Britain: 1944 to the present, Oxford: Polity Press.
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Ladwig, J. (1996) Academic distinctions. Theory and methodology in the sociology of school knowledge, New York:
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education, inequality and society’, British Journal of Sociology of Education 25: 457–471.
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328
29
The sociology of elite education
Agnès van Zanten
Research on elites (that is, on status groups that occupy dominant positions) is characterized
by the lack of connection between studies that focus on elite recruitment and those that focus
on the exercise of power by elites. As underlined by Giddens (1974), both types of approach
are important and should complement each other in the analysis of mediations between the
class structure, the organizational structure and the power structure in a given society. Giddens
also insists on the need for recruitment studies to take account of two different dimensions: the
types of channel that are privileged by elite groups to reproduce their social position, and the
degree of social closure or openness of these channels to other groups (Parkin, 1974). This
distinction is used to organize the present chapter, which focuses on a single channel that has
come to play a crucial role in post-industrial societies, that is schools and, more precisely, uppersecondary and higher education institutions, and on their influence in three different national
contexts: France, the United Kingdom and the United States. In the first section, the specific
features of elite education are examined. The second section explores the extent and modes of
institutional and social closure.
Socialization patterns in elite educational institutions
Elite schools as total institutions
Studies of elite education have underscored the common features of elite educational institutions
that distinguish them from other institutions that look after young people from the same age
cohorts. The interlocking character of these features allows elite institutions to be described as
‘total institutions’ that provide, through both formal and ‘hidden’ curricula, a strong secondary
socialization model for students that will decisively influence their public and private adult life
(Faguer, 1991). Two of the most visible ones are physical closure and small size, which contribute
to distinctiveness as well as inclusiveness (Wakeford 1969). These two elements were important
characteristics of boarding schools and of the most exclusive colleges in the UK and the US,
until at least World War II. Because of the location of the French classes préparatoires aux grandes
écoles in Paris and other big cities, physical closure was less marked, although most students,
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AGNÈS VAN ZANTEN
especially those coming from distant towns and rural areas, were boarders. In the grandes écoles
themselves, boarding was the rule.1 By relocating outside Paris in recent decades, moreover,
some of them, such as the Ecole Polytechnique or the Ecole des Hautes Etudes Commerciales (HEC),
have recreated to a certain extent the ‘campus’ atmosphere of their English and American
counterparts, though on a much smaller scale. Internal cohesion has also been fostered and
maintained over time in elite institutions by sophisticated rites marking entrance and departure,
as well as important moments of the educational experience, by procedures concerning the
allocation of boarding rooms and of various material tasks and by learning and social activities
meant to develop a strong ‘bonding’ relationship among members and especially between
‘established’ students and new entrants, as well as between institutions and their alumni. These
organizational forms have been strongly influenced by army and religious traditions and are
frequently referred to through idiosyncratic terms that serve as social markers of membership.
Studies have also focused on the distinctive and exclusive character of the social culture
prevailing in these institutions, notably on the prominent place occupied by sports and various
games, some of which are practised only in elite boarding schools, and on the crucial
socialization role played by fraternities, sororities, clubs and associations (Abraham, 2007;
Cookson and Persell, 1985a). Elite institutions were also long characterized by a specific academic
curriculum (Bernstein, 1977). This curriculum was distinctive in point of its content (with a
key role attributed to Latin and the humanities and, in France, to mathematics), its pedagogy,
which privileged individual modes of instruction (taking the form of ‘tutorials’ in British elite
colleges or ‘colles’ in French classes préparatoires, i.e. individual work sessions and evaluations by
older students and professors), and its evaluation modes (the creation of specific college
entrance examinations in England and the US and of concours for access to the grandes écoles in
France). Academic distinctiveness has also been reinforced by the gender, educational and social
profile of professors in these institutions – in particular, those of public school masters and
Oxbridge ‘dons’ in England (Walford, 1984).
Educating the upper class
These dimensions of elite education are the outcome of explicit and implicit choices made by
teachers and administrators and show the relative autonomy that these educational institutions
enjoy by virtue of their symbolic, cultural, social and economic capital (Bourdieu, 1996).
However, the ability of elite institutions to form their students is constrained by the expectations
of dominant groups (Kamens, 1974). They work according to a social ‘charter’, that is a licence
and mandate to produce specific educational subjects (Meyer, 1970), differing from those of
institutions that cater to non-elite groups. This charter is subject to variations depending on
the interests, values and ideas of the upper-class fractions that occupy or aspire to elite positions
at a given time in each national context.
Although the expressive and moral dimensions mentioned above have been central elements
of elite educational institutions in the three countries considered here, emphasis on sports and
social life has been much more important in England than in France, owing to the prevalence
of an educational model reflecting the aristocratic values and gentlemanly lifestyles of the
nineteenth-century ‘leisure class’. Elite schools were a key element in the dissemination of this
model among other elite and middle-class groups during the first half of the twentieth century
(Anderson, 2007). This model was also ‘borrowed’ by America’s old money families when they
sought to consolidate themselves and to build, through education in private prepatory schools
and elite colleges, a ‘class wall’ separating old privileges from upstarts (Soares, 1999). On the
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THE SOCIOLOGY OF ELITE EDUCATION
other hand, the academic culture of elite educational institutions has been more distinctive in
England and France than in the US, reflecting a historically constructed, ‘high-brow’, aristocratic
and bourgeois culture (Cookson and Persell, 1985b), but it places a greater emphasis on the
mastery of intellectual knowledge and skills in France than in England.
The charters of elite educational institutions in each country are nevertheless subject to
changing external pressures resulting from status group struggles (Karabel, 1984). Historical
analysis of the most prestigious American colleges (Yale, Princeton, Harvard) shows the
transition from an emphasis on the non-academic side of campus life, which helped students
master the subtleties of the dominant status culture and accumulate contacts crucial for success
in large organizations and the political field in the early decades of the twentieth century, to a
more academically oriented curriculum in the 1960s and 1970s. These changes reflect the
difficulty of providing a common social model for a larger and increasingly heterogeneous upper
class, with diverging interests, values and ideas, and show the growing influence of its most
culturally endowed fractions. The influence of these fractions on the academic culture and social
atmosphere of elite secondary schools and higher education institutions was also visible at the
same period in England, although it was exerted indirectly, through the mediating action of
the state. In France, the emphasis on academic culture was more precocious and more radical,
as the French Revolution replaced the aristocratic ideal of the ‘honnête homme’ with a bourgeois
model emphasizing scholastic merit.
Preparing for political and economic power positions
It thus appears that, although upper-class groups have always tried to frame the charter of elite
institutions, this charter is also subject to variations according to more general economic, social
and political factors that might lead interest and political groups acting on behalf of elites, but
also reflecting contradictions and struggles among established and new status groups, to
encourage elite institutions to act as ‘guardians’ of national cultural models and stratification
patterns, or as agents of innovation and diffusion of new cultural or social ideals. The role of
the state as political mediator between conflicting status groups’ interests is particularly visible
in France, because it was the state that created or restructured the most prestigious grandes écoles
after the French Revolution. Designed to serve state needs (those of the army and various
technical corps and later on of public administrations), the grandes écoles’ mandate has been to
produce individuals endowed with strong scientific competence and capable of synthesizing
large quantities of information, but also interested in practical matters and able to take decisions
(Thoenig, 1973). In Alvin Gouldner’s (1979) terms, these schools were expected to train the
‘technical intelligentsia’ more than the ‘humanistic intellectuals’. Their culture was from the
onset strongly distinct from the non-utilitarian university culture traditionally oriented towards
teaching, scholarship and research, although some institutions, especially the Ecole Normale
Supérieure, were clearly oriented towards the intellectual fractions of the upper class, whereas
others, such as l’Ecole Polytechnique, have been characterized throughout their history by
tensions between the divergent perspectives of scientists and engineers (Bourdieu, 1996;
Belhoste et al., 1994).
Strong state dependency has also influenced the non-academic activities and rites of these
institutions, which were designed to instill respect for state hierarchies and loyalty to state
institutions, at the same time that it has encouraged the development of ‘organic links’ between
the grandes écoles and the state corps through recruitment processes directly linking valued
positions in the most prestigious corps to class rank at graduation. However, since the 1970s,
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AGNÈS VAN ZANTEN
private firms and economic status groups have in various ways exerted a growing and more
direct pressure on French elite institutions. The oldest is the practice known as ‘pantouflage’ –
that is, the departure of civil servants trained in the traditional state grandes écoles for work in
the private sector (Suleiman, 1978). This movement coincided with the creation and growth
in the 1970s of privately funded grandes écoles with a strong market orientation. In the 1990s,
the state-funded grandes écoles began to follow suit, offering a larger number of courses and
activities meant to prepare students for direct access to jobs in private sector management and
finance (Lazuech, 1999). At the same time, in what can be seen as a kind of compensation for
decreasing material and symbolic returns of state investments in these special schools, many of
them have in the last ten years re-emphasized their social and political responsibility, especially
by taking a prominent role on debates and policies concerning widening participation in higher
education (van Zanten, 2008).
In England, public schools, as well as Oxford and, to a lesser extent, Cambridge, have
traditionally maintained what have been called ‘incestuous links of privilege and power’ with
the British establishment (Scott, 1990) and direct connections to the state and the professions.
In the US, ‘prep’ schools and elite private universities were also directly linked to economic
and political elite groups through their recruitment, funding and access to elite positions. The
general expectations from these groups and the organizations that they control have led to a
strong focus on leadership, ‘character’ and self-discipline (Cookson and Persell, 1985a).
Nevertheless, after World War II, elite institutions in England became strongly dependent on
the state for funding. Although the initial effect of state funds was to redirect education away
from action and business and towards research, in the 1980s, the state began to put pressure
on universities to become key elements in the global knowledge economy, orienting research
towards industrial needs, especially high technology, and students’ career choices towards highpaying jobs in the private sector (Brown and Hesketh, 2004). This latter tendency is particularly
evident in elite American universities, which are extremely dependent on private endowments
for their growth, which in turn determines their capacity to occupy the top places in
international rankings of leading research institutions and to play an important role in global
economic networks.
Social and institutional closure
The conditions of admission
Elite institutions have always enjoyed a large autonomy in setting their own conditions for
admission (Douglass, 2007). However, although the admission criteria that they have devised
reflect, above all, internal compromises between administrators and teachers and responses to
competitive external pressures from similar organizations, they are also conditioned by changes
in the distribution of power among status groups in the broader society (Bourdieu and Passeron,
1977; Karabel, 2005; Karen, 1990). In France, the state’s early creation of a system of highly
competitive examinations, ranking students according to a one-dimensional scale of merit for
access to elite ‘special schools’, gave professors a high degree of latitude in the choice of future
members of the elite vis-à-vis families and social or economic constituencies, while
simultaneously endowing elites with a strong belief in their individual and social legitimacy as
members of a ‘state nobility’ (Bourdieu 1996; Young, 1994). At the same time, the present
extremely ‘balkanized’ system of competitive examinations for entrance to the grandes écoles is
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THE SOCIOLOGY OF ELITE EDUCATION
less the reflection of academic interests than a legacy of the powerful influence of the state
corps that framed and have strongly controlled their functioning.
In the UK and in the US, the transition from ‘ascriptive’ criteria to an educational
meritocracy was slower, and the notion of educational merit has been subjected to more diverse
interpretations than in France. Entry at Oxford and Cambridge was, until World War II, based
on a system of examinations in which merit was equated with the mastery of a traditional
curriculum, though school and family connections also played an important role. The Oxbridge
system of recruitment was formally realigned to that of other universities in the 1960s, following
the increase in government funding and involvement. Nevertheless, recent investigation reveals
the persistence of distinctive features. As in other universities, the results obtained by students
in subject-specific, nationally standardized tests, that is GSCE grades (three A*, the highest grade,
in the disciplines considered as the most relevant for the desired university subject are expected),
and teachers’ predictions of A level exam results (in 1983, 82.4 per cent of the Oxford entering
class had top A level scores, the proportion has now reached almost 100 per cent) are the crucial
elements in the first phase of admission. However, during the second phase, the various colleges
take other elements into account. These are both meritocratic (results in specific language tests
or qualities exhibited in the best two school essays and, more recently, as in the US, results on
Scholastic Aptitude Tests (SATs)) and non-meritocratic, such as family and school background,
which is assessed in closer examination of admission forms and interviews with tutors.2
Until the 1960s, students in the US mainly gained admission to four-year colleges by
graduating with good grades from high school. However, elite private institutions, imitating
Oxford and Cambridge, developed their own entry examinations in order to limit student
numbers and increase their legitimacy. The SAT, introduced in the 1930s, progressively became
an important component of the admission process, reinforcing the cognitive dimension of merit.
However, when this system started to give a clear advantage to brilliant Jewish students, elite
institutions and dominant groups once again reinforced the weight assigned to extra-academic
criteria such as ‘character’ (determined on the basis of high school teacher recommendations),
participation in extracurricular activities, autobiographical essays and interviews that could be
used to legitimately exclude ‘inassimilable’ non-WASP students. Nevertheless, by the late 1950s,
in an atmosphere of intense concern about ‘talent loss’, ‘character’ began to lose ground to the
intellectually gifted applicant defined according to SAT scores, Grade Point Average (GPA)
and class rank, as well as excellence in one or more extracurricular endeavours. A new turn
was once again taken in the 1960s with the introduction of a new criterion: ‘diversity’. Since
its relationship to academic merit was not to be systematically defined, its adoption proved
nevertheless highly controversial (Karabel, 2005; Soares, 2007).
Institutional routes
Institutional routes played an important role in the creation and consolidation of elite educational
systems. The ‘bonding’ relationship between a small number of elite colleges and secondary
schools was based on the ‘chartering’ process described above, that is on the monopolization
of a mode of training and socialization required for admission to elite institutions of higher
education, but also, especially in the US and the UK, on a ‘bartering’ process – that is,
negotiations between school and college personnel concerning selection and admission (Persell
and Cookson, 1985). However, this ‘institutional sponsorship’ was officially abandoned as the
result of the expansion and of the increasing formal meritocratic dimension of educational systems
(Turner, 1960). The most radical departure from this ‘institutional sponsorship’ has taken place
333
AGNÈS VAN ZANTEN
in the US, where elite colleges have developed admission policies that severely hamper the
effectiveness of ‘bridging strategies’ from secondary school feeders, except for a limited number
of prep schools that still hold a special status because of their historical relationships with Harvard,
Princeton or Yale (Le Tendre et al., 2006). The importance attached to academic merit – and,
in particular, class rank – has simultaneously allowed elite colleges to recruit excellent
undergraduate students nationwide and led ‘star schools’ (schools that are particularly successful
in getting students admitted to elite universities) to maximize the chances of their best students
at the expense of those who have excellent test scores and high GPA earned in rigorous courses,
but are not at the top of their class (Attewell, 2001). Despite this relative disadvantage, students
in these schools – many, but not all, private – still benefit not only from a stronger focus on
academic achievement by teachers and parents than students in other schools, but also from
specific Honours and Advanced Placement courses that act as a ‘signal’ for college admissions
staff (Falsey and Heyns, 1984) and from their ‘brokering’ strategies, that is from strong financial
investment in and commitment to activities favouring the college-linking process, such as college
visits, assistance with college and financial aid applications, and contacts with college representatives on behalf of the students (Hill, 2008; McDonough, 1997).
Institutional routes and sponsorship have also been weakened in England, but not to the
same extent: a strong link remains between private secondary schools and elite higher education
institutions. Privately schooled students are twice as likely to go to elite universities than stateschooled students and, although outnumbered by the latter in admissions (44.5 per cent versus
46.8 per cent in 2007 at Oxford), they are significantly overrepresented in relation to their
total number in secondary schools. This overrepresentation is even more striking when one
considers their share of the applicant pool and percentage among successful applicants. Given
the expansion of the state sector and the strong meritocratic character of the admission
procedures in elite universities, this overrepresentation is due less to explicit ‘chartering’ and
‘bartering’ than in the past. It is nevertheless important to note that, as in the US, students from
private schools benefit from higher levels of advice and support on careers in higher education
by internal staff and outside agencies working with the schools (Reay et al., 2005), and that
those from the so-called Clarendon Public Schools, in particular, frequently receive ‘special
notification’ during the second phase of admissions at Oxford. However, the competitive
advantage of private schools rests now to a larger extent on higher levels of educational
achievement. These are the consequence of severe academic selection procedures as well as of
the implementation over the course of the 1980s and 1990s of an Assisted Places Scheme
(abolished by New Labour in 1997), intended to help ‘able children from modest backgrounds’
to enter independent schools of high academic reputation, but also of more marked ‘school
effects’ linked to the concentration of academically and socially advantaged students (Halsey,
1995; Power et al., 2003).
In France, on the contrary, the role of the state in elite education has given a competitive
advantage to state lycées in admissions, with the evidence showing no clear advantage for upperclass students from private sector schools in terms of educational careers (Tavan, 2004). There
are no official routes, but huge differences between lycées concerning their capacity to get students
admitted into these classes. This result is strongly linked to provision, as those ‘prépas’ that are
most successful in getting students admitted to the top grandes écoles are all located in a limited
number of old and prestigious lycées in Paris and other big cities, giving an advantage to students
schooled at those lycées. In addition to that ‘location effect’, there is also some evidence that
widening participation in secondary education has encouraged professors and administrators in
the more selective classes préparatoires to weigh the grades, class rank and professional evaluations
334
THE SOCIOLOGY OF ELITE EDUCATION
of candidates according to the supposed achievement level of their lycée.3 Being accepted in
these selective classes préparatoires is a key step for students who want to follow up their studies
in the top grandes écoles, as there is a strong ‘chartering’ effect, both formal (teaching content,
methods and evaluation are strongly conditioned by the explicit requirements of the concours
of these grandes écoles, while less selective classes préparatoires prepare for less-selective examinations)
and informal (use of knowledge of implicit requirements based on information provided by
alumni, examiners, professors and managers at the grandes écoles). Students attending prestigious
lycées and classes préparatoires also benefit from personalized counselling and assistance with
applications.
Social advantage and parental strategies
In the three countries considered here, upper-class families strongly supported the initial
institutional pathways that excluded other groups from access to elite higher education
institutions. Although they have been able to resist and adapt to the development of meritocratic
policies by these institutions, thanks to the competitive advantages provided by private schooling
and selective public schools, and although in the US affluent upper-class parents, especially
former alumni, have been able, much more so than in England or France, to continue to buy
entrance for their children – not only because they can pay for tuition but also because they
provide ‘legacies’ that contribute to university budgets – as a group, they have had to renounce
collective admission privileges and accept that only some of their children with excellent
academic results might be among the ‘chosen’ (Karabel, 2005). Moreover, members of this
group now compete with larger proportions of members of the middle class. However, the
respective advantages of middle-class families with high levels of cultural capital and those families
with high incomes still have to be assessed carefully with respect both to the strategies available
for parents and to the selection and channelling process in each educational system (Kerchoff
et al., 1997). In France, the intellectual fractions of the middle class have traditionally been
advantaged by the formal and strongly scholastic meritocratic procedures of access to the
state grandes écoles. However, changes in the educational context have forced them to develop,
through ‘colonization’ of local schools, new, informal institutional pathways to maintain their
position (Raveaud and van Zanten, 2007). Their advantages are also challenged, however,
because, as in the UK and the US, families with higher incomes are able successfully to transform
economic capital into cultural capital through residential and school choice, private tuition and
private preparations for tests and competitive examinations (Ball, 2003; Johnson, 2006; van
Zanten, 2003).
Another, even more important question concerns the extent to which this renewed ‘class
meritocracy’ has closed off opportunities for other social and ethnic groups. Although meritocracy was initially conceived as serving the interests of hard-working students from dominated
groups who could benefit from scholarships to go to elite universities, there has been a growing
recognition of the existence of important inequalities of access. In response to strong social
pressures, in the 1960s, elite US institutions developed ambitious ‘affirmative action’ policies
giving an edge to Black, Hispanic and Native American candidates. This involved accepting
candidates from ‘tagged’ groups with SAT scores a bit lower than other candidates yet still
within the thresholds established by each university, as well as taking into account their capacity
to succeed under ‘adverse circumstances’. Such measures were needed because, for reasons linked
to their family background and secondary school careers in poor and underperforming schools,
candidates from these groups could not compete on an equal, ‘meritocratic’ basis. They
335
AGNÈS VAN ZANTEN
nevertheless generated strong discontent, especially from the best-performing groups (Asians,
in particular), in a context of ‘college squeeze’: a rise in the number of college-age students
and a slow down of higher education expansion. In response to moves on the part of some
states to make affirmative action illegal, some elite public universities (the University of Texas,
the University of California) have adopted ‘percentage plans’ to recruit students from the largest
possible number of high schools using class rank as the main indicator. While this measure has
increased ethnic and social diversity in these universities, its success depends on the existence
and maintenance of strong levels of segregation in high schools (Alon and Tienda, 2007). Elite
private schools, on the other hand, count more on ‘comprehensive reviews’ of each proposal
for achieving diversity. These reviews are more effective in detecting meritorious students from
disadvantaged backgrounds without ‘side effects’, but they are very costly to implement.
In France efforts to increase social and ethnic diversity in elite higher education institutions
have been much more modest. In 2001, Sciences Po developed a specific selection procedure
for students from disadvantaged schools based on a specific academic exercise – a press summary
– and interviews with a jury including scholars, administrators, public civil servants and
managers from private firms (Sabbagh, 2002). Other less well-known institutions, such as the
INSA (Institut National des Sciences Appliquées), have developed a selection procedure based, for
half of the entrants, not on absolute results but on class rank. It is important to note that these
two institutions recruit their students after the lycée, which allows them much more autonomy
to set up original admission criteria than the écoles, which select their students after the classes
préparatoires. They remain, in fact, isolated cases, and most institutions have only developed as
elite universities in the UK outreach programmes providing information, assistance with the
preparation of college applications and financial support for disadvantaged students. Although
these programmes can be effective in limiting processes of self-exclusion due to institutional,
cultural and economic factors when they are integrated into procedures including changes in
the modes of selection, their impact seems limited when they are applied in isolation. It is also
important to note that not all working-class and minority students are willing to submit to the
cultural and social requirements of elite institutions, and that the kind of social capital they
possess (strong bonding ties with members of their family and local community) not only
constitutes a handicap for access but also prevents them profiting, to the same degree as middleand upper-class students, from the social capital that these institutions provide (Allouch and
van Zanten, 2008; Reay et al., 2005).
Conclusion
This brief overview of elite education in the US, the UK and France has shown that, although
elite institutions supported by established elite groups generally exhibit a strong reluctance to
change, important transformations have taken place and are still at work in all three systems.
The most important transformation, especially in the UK and US, took place after World
War I, with the transition from an almost direct translation of social position into educational
advantages, to the selection of talented individuals by educational institutions. Although this
movement increased the autonomy and power of educational agents, it allowed only limited
mobility opportunities for members of socially and ethnically dominated groups, as a new ‘class
meritocracy’ emerged based on exclusionary processes exhibiting some differences between the
three countries according to the relative importance of money, morals, manners or academic
culture in class divisions (Lamont, 1992; Power et al., 2003).
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THE SOCIOLOGY OF ELITE EDUCATION
Also, although this article has mostly focused on changes in modes of social and institutional
closure that have had significant consequences for educational and social inequalities, it is
important to relate these to other changes linked to global transformations in the knowledge
economy. These influences are creating new dividing lines between institutions, depending on
their relationship to different economic sectors and their place in international networks and
rankings, as well as between social groups, according to their capacity to integrate these new
opportunities in their strategies of exclusion or usurpation (Brown and Hesketh, 2004; Wagner,
2007). These new divisions and their concomitant class strategies require specific attention from
sociology of education research.
Notes
1
2
3
The largest part of the French elite is not trained, as elsewhere, in universities but at the grandes
écoles, which are distinct institutions of higher education. To prepare for the competitive examinations
allowing acess to these écoles, most students follow two- or three-year courses at classes préparatoires.
Although these are more or less equivalent to undergraduate university studies, they are located in
the lycées.
A. Allouch’s personal communication based on ongoing Ph.D. research on English and French elite
higher education institutions’ admission procedures and outreach programmes.
Evidence on these processes is being collected and analysed in an ongoing project on elite education
in France. For more details see van Zanten (2008).
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30
The dialogic sociology of the
learning communities
Ramón Flecha
The role of egalitarian dialogue in transforming schools into
learning communities
In Brazil, Chile and Spain, more than eighty schools have been transformed into learning
communities through a process of making an egalitarian utopia real for thirty thousand children.
This transformation process focuses on extending human rights to all children, without
discriminating against anyone, and on building democratic schools (Apple and Beane, 2007),
which includes providing the best possible education to every boy and every girl, especially to
those who are traditionally the most excluded. The key to this transformation is egalitarian
dialogue among all the actors involved. Contemporary sociological theories play a crucial role
in building the conditions for this egalitarian dialogue, as described by relevant sociologists
including Touraine and Wright.1,2
The first phase of this transformation consists of organizing an open and egalitarian dialogue
among all the citizens who have a relationship with the school: students, teachers, students’
families, administrators, school volunteers, trade union representatives, NGOs. In addition, these
communities always ask researchers and members of other already active learning communities
to participate in this dialogue. The basis for clarifying the roles that researchers and community
members play in egalitarian dialogue is the current conception that society functions
‘simultaneously as systems and lifeworlds’ (Habermas, 1987: 118), as structures and subjects.
That means that researchers, as members of academic structures, have an ethical and
scientific obligation to contribute to this dialogue: they can bring to it the knowledge that the
scientific community has developed on each educational issue, and the activities that have been
most effective in overcoming school failure and improving experiences of living together.
Therefore, this dialogue is egalitarian in the Habermasian sense: arguments are appreciated for
their own intrinsic value (validity claims) and not because of the power position of those
promoting them (power claims). Because this kind of communication is so complex and unusual,
the learning communities project draws from a wide theoretical framework on speech and
communicative acts, which is presented in the next section.
Egalitarian dialogue represents a move beyond both the functionalist and subjectivist
perspectives, because it grants importance to all the individuals who participate in all the school
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debates and decision-making processes. On the one hand, functionalism has served to legitimate
a system in which educational structures determine the everyday situation in the classroom.
Theories that consider only the structures do not need community dialogue: they are occupied
with the analysis and decisions of academics and administrators. On the other hand, subjectivist
perspectives (such as some projects in action research and participatory research) focus only on
the subjects’ contributions, without considering the knowledge that the educational structures
have accumulated. The egalitarian dialogues that are held in learning communities integrate
both the knowledge held by the scientific community and the experiences of the subjects; by
considering the contributions of all parties, this more inclusive kind of community can reach
agreements and make decisions that are more appropriate for all concerned.
Contrasting the researchers’ scientific knowledge and the subjects’ experiences, all the
participants reach a mutual agreement about their own model of school. The participants can
consider the best practices that research has assembled for overcoming school failure; they can
discuss whether and how those findings are applicable to their own context, and whether to
adapt them or try new approaches. They can also decide whether they want to go through the
process of transforming themselves into a learning community. Once they conclude the process
of decision-making, they notice that people start doing things differently in the school. In what
follows, this transformation is illustrated through two examples that are also instances of
egalitarian dialogue.
One result of this egalitarian dialogue in learning communities is that most of them decide,
after discussion, to arrange their classrooms into interactive groups for as much time as possible.
Interactive groups are small heterogeneous groups of students. In each group, there is one adult
(a professional, a family member or a volunteer) who is responsible for encouraging interactions
among students, so that everyone helps the others to complete all the planned activities. Thus
egalitarian dialogue is present, not only during the community’s debates on the main decisions
regarding the school, but also in each and every learning space of the school.
Interactive groups are an example of deliberative democracy within the classroom: students
from diverse backgrounds deliberate about their educational tasks, helping one another in a
process that simultaneously generates solidarity and academic success. As Elster (1998) states,
once people engage in deliberative democracy, they change their preferences through dialogue.
A child whose goal was to be the first in his or her class shifts towards the goal of collaborating
so that his or her peers can also succeed. Similar transformative processes are found among
family members: those who previously wanted their children to be at the top of their class now
want all the children in the classroom to succeed.
Additionally, interactive groups function better than earlier ways of organizing students and
human resources, as they respond to the problems of mixture and streaming. When mixture
(INCLUD-ED Consortium, 2006–2011) occurs, students in a heterogeneous group do not
receive enough appropriate attention, because a single teacher cannot satisfactorily respond to
all their diverse needs. They can get enough attention, however, when more adults are included,
and they work to promote interactions among the students. Interactive groups are also an
improvement on streaming, in which students are segregated by ability, thus missing the goal
of high educational achievement for all.
A second example of educational practices that many learning communities have chosen and
implemented through egalitarian dialogue is family and community education. This means that
schools reach out to a wide range of family members and others in the community and extend
educational opportunities to them. Such schools also stay open as many hours as possible
throughout the week, and offer a coordinated blend of training and leisure activities. For instance,
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many learning communities organize tutored libraries or dialogic literary gatherings, where
parents and community members read classical literature. Egalitarian dialogue is at the centre of
the mixed committees, where teachers, students, family members and other citizens use a process
of deliberative democracy to implement the decisions they have made about the school. This
process profoundly changes schools and the surrounding community.
The egalitarian dialogue makes it possible to offer all children a real utopia: academic success
for everyone without discrimination. By engaging in this process, active citizens of the community reject the kind of research that promotes racism in education. For instance, the Spanish
media reported one study that ‘demonstrated’ that when schools have more than three
immigrants per classroom, the overall educational level declines (Izquierdo, 2005: 29). Later,
the media rectified that incorrect statement: a major television news programme reported that,
when schools that served mostly immigrants were transformed into learning communities, the
academic level of all students improved. The programme showed an elementary school that
had been transformed into a learning community: while the proportion of immigrant students
had risen from 12 to 46 per cent, their achievement in the areas of language and reading had
also risen significantly, from 17 to 85 per cent.3
Another similar example is found at the same school. Having been immersed in the
mainstream public discourse, the English teacher believed that the arrival of immigrants from
North Africa would lower the level of learning in the classrooms. Similarly, when some Muslim
girls and mothers arrived wearing the hijab, the community generally believed that they would
bring gender inequality back to Europe. When the school decided to transform itself into a
learning community, however, the English teacher began to work in interactive groups in his
class and he looked for volunteers in the neighbourhood. He found a Muslim mother wearing
the veil, who was not highly literate and did not speak Spanish, but was fluent in English,
having lived in Ireland for some years. When this Muslim mother started to volunteer in the
English interactive groups, the teacher could see how the learning level of all students improved,
along with the students’ perception of Muslim women and gender equality. Transnational
immigrants represent an important source of enrichment for European societies, so it is crucial
that their talents be considered. For instance, many undocumented immigrants in Spain have
higher levels of English knowledge than do Spaniards themselves.
Beyond the theory of communicative action: communicative acts
In the schools that have been transformed into learning communities, the dialogue occurs among
all the citizens involved. It is not only a dialogue about pedagogical innovations between students
and teachers in classrooms where other members of the community cannot step in. Instead,
the dialogue is among people of very different status who may play quite different roles in
schools and in society. Therefore, the main goal of this dialogue is not just to develop innovative
teaching methods, but rather to move towards equality of results (beyond equal opportunity)
by transforming schools, communities and society. Current sociological theories increasingly
provide elements to develop descriptive analyses of those dialogues and offer normative criteria
to make them more egalitarian.
As the social sciences and societies have turned dialogic, the analysis of dialogue has become
a valued resource for either reproducing or transforming social reality. In turn, Jürgen Habermas
(1984, 1987) built his theory of communicative action, taking John L. Austin’s (1962) theory
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of speech acts as a starting point. Overcoming the traditional barrier between language and the
world, Austin developed pragmatic linguistics with his concepts of locutionary, illocutionary
and perlocutionary speech acts: ‘The locutionary act has some meaning; the illocutionary act
has a certain force in saying something; the perlocutionary act is the achieving of certain effects
by saying something’ (p. 121). For example, the utterance ‘The administrator told us that
“students learn more when they are organized in ability grouping”’ is a locution, while ‘We
protested because most of the poor immigrants are placed in the lower ability groups’ is an
illocution for indicating a force (a protest), and ‘The administrator discouraged us’ is a
perlocution because it includes the effect that this speech act had.
Habermas applies sociology to Austin’s language theory by associating speech acts with
actions. Because strategic action is oriented towards success, it is based on perlocutionary speech
acts. Because communicative action is oriented to consensus, it is based on illocutionary
speech acts. When a dialogue between a student, his/her teacher and his/her family members
is a strategic action, at least one of them is using perlocutionary speech acts, oriented to succeed
according to his or her power claims. Sometimes the expert teacher does not want to have the
‘difficult’ students in his/her classroom; s/he wants to see them moved to another classroom,
often that of the newest teacher. He or she orients his/her conversation with the family members
to convince them that this is good for the child. He or she may say, ‘We want to put your
daughter in the other classroom in order to accelerate her learning’. Because his/her goal is to
get them to accept what he/she considers to be better for him/her, he/she uses perlocutionary
acts based on power claims to hide his/her real intention. A mother may ask, ‘Why are the
“difficult children” who are excluded from regular classrooms almost always Roma, immigrant
and poor children?’ The teacher would then reinforce his/her opinion using a power claim
based on his status, answering that he/she is the expert on education and the one who knows
what is best for the children.
When a dialogue between a student, the teacher and a family member is a communicative
action, they use illocutionary speech acts oriented to reach consensus about what will help the
student to achieve the maximum of instrumental learning, values and emotional development.
They will all say what they really think on the basis of validity claims, rather than power claims.
For example, the expert teacher may explain to the family members that he/she finds it difficult
to manage the classroom with so many different ability levels and with some students behaving
badly. He/she even might propose putting the ‘difficult ones’ into a separate classroom with
another teacher. Family members then can tell him/her that a citizens’ assembly was analyzing
the interactive groups at another school, which are one way of overcoming these difficulties
without excluding any child. In communicative action, the teacher does not appeal to his/her
status or use power claims; he/she only uses validity claims, as do the other members of the
citizens’ assembly.
In his theory of communicative action, Habermas (1984) elaborated on the work of John
Searle (Searle and Soler, 2009). However, Searle criticized Habermas for not having understood
the theories of both Austin and Searle as they apply to speech acts. We agree with this critique.
Searle clarifies that Austin relates illocutionary speech acts to understanding, and Habermas
wrongly includes in this notion of understanding an orientation to reaching consensus.
According to Austin (1962), illocutionary speech acts allow the teacher and the family members
to understand one another’s positions, but this does not mean they are willing to reach consensus.
As Habermas defines illocutionary speech acts, the teacher and the family members try to
understand each other, but also aim to reach a consensus.
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Although we agree with Searle that it is incorrect to attribute this normative dimension
(reaching consensus) to Austin’s illocutionary speech acts, we agree with Habermas that this
dimension is important to the process of communication. We need the latter process, more
than Austin’s original concept, both to understand social actions today and to provide approaches
to improve these actions. The Habermasian conception of illocutionary speech acts helps us to
analyse the dialogues among all citizens about schools, as well as to provide perspectives for
improving these dialogues in order to transform schools and educational systems today.
Post-structuralist critiques of Habermas have stated that he overlooks power. The theory of
communicative action, however, differentiates between the use of power claims and validity
claims. Foucault (1977) and Derrida (1967) consider that all relations are power based, including
those that Habermas considers to be based on validity claims. Learning communities are not
based on the thinking of these authors, because it is impossible to advance towards egalitarian
educational transformations based on these post-structuralist stances. If all relations are based
on power, why should we favour democratic schools that overcome segregation? And why
should we work to transform authoritarian schools that segregate immigrants and poor students?
Of course, Foucault and Derrida do not aim to provide a normative framework to help
distinguish between what is democratic and egalitarian and what it is not. In fact, they have
never pretended to do so.4
Still, it is true that Habermas has not developed elements that can be used to deeply analyse
the power interactions that are present in communicative actions. His conception does not
clarify that, in the real world, even the most dialogic relations include power interactions to
some extent. When the experienced teacher talks to family members, even if his approach
is totally dialogical, he cannot avoid the fact that he has a position of power in relation to
poor students and families. Beyond Habermas’ ideal conditions for communicative action,
which are based on the speakers’ intentions, egalitarian dialogue must consider those power
interactions. Instead of being based on the ethics of intentions, learning communities are based
on the Weberian ethics of responsibility, accounting for those interactions and therefore for
the possible results of communication between teachers, students and family members. Those
communities distinguish between dialogic relationships and power relationships. In dialogic
relationships, dialogic interactions (not only validity claims) prevail over power interactions;
in power relationships, power interactions (not only power claims) prevail over dialogic
interactions.
In the learning communities, teachers, students, family members and other citizens have
dialogic relationships. Their debates are grounded in arguments (dialogic interactions) and not
in their unequal status in the social structures (power interactions); still, they are aware that
those inequalities have an influence on their dialogues and on their consensus. In their dialogues
they include the public awareness of this influence and the efforts they make to overcome it.
Another limitation of Austin’s theory of speech acts for the present sociological analysis is
that it implicitly reduces communication to speech. Communication is much more than words;
it also includes looks, tones of voice, gestures and much more in the relationships among
experienced teachers, family members and students. The theory of communicative acts, unlike
the theory of speech acts, includes all those elements. Dialogic communicative acts are based,
not only on arguments (words), but also on other elements of dialogic interactions, such as the
practice of equally considering all the social actors who participate in them. Power
communicative acts are based, not only on the words of those who place themselves in a superior
category of knowledge and social structure, but also on elements such as their unequal and
authoritarian attitudes.
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The dialogic transformation of the school system
Through the egalitarian dialogue within the school context, citizens gain the strength to work
to transform the school system. They gain this strength mainly from their arguments, which is
the force that Austin attributes to the illocutionary speech acts and that learning communities
attribute to the wider concept of illocutionary communicative acts.
These citizens bring into the public debate on education their practical and theoretical
arguments in order to help overcome school failure and to improve everyone’s experiences of
living together. Of course, these public debates are based on dialogic communicative acts with
dialogic interactions, but they also include many power interactions rooted in the school system
and social structure. Policymakers and members of the upper and middle classes have many
resources that allow them to impose their interests and objectives. However, in the public debate,
it is the arguments that count the most. Thus, the learning communities have been built within
a solid framework based on arguments that are not easy to dismiss publicly.
Learning communities succeed because they transform these public debates into dialogic
communicative acts. They succeed because they place so much stress on arguments, so that
the dialogic interactions have more force than the power interactions rooted in structuralist
positions. Without public debates, it is possible for policymakers to impose their segregation
policies on the most disadvantaged students in special classrooms. But when the learning community discusses the local children’s school experiences, these policymakers must accept their
arguments, especially if they reject these policies. These dialogic communicative acts demonstrate
that the theories of reproduction are wrong when subjects challenge structures and transform
them from their perspective as active citizens. These transformations resonate with what Wright
(2008) calls real utopias.
Along similar lines, the collaboration between citizens and dialogic researchers has been very
productive in social research. In the Framework Programs of Research (FPR) of the European
Union, one instrument is commanding the most resources and high scientific recognition:
the Integrated Projects. While the FPR have traditionally been dedicated to biochemistry,
information technology and similar areas, for the first time an integrated project has been
dedicated to analysing schooling: the INCLUD-ED. The European Union’s purpose in
launching these programmes was to generate new scientific knowledge that would better inform
European policies. Thus, depending on their orientation, FPR projects have great potential to
transform policies. In the social sciences, the programme’s main objective is to promote social
cohesion, which includes overcoming the social exclusion and inequalities that face the most
disadvantaged groups. The final conference of the FPR project WORKALÓ (a transnational
study about the Roma population in Europe) was held in the headquarters of the European
Parliament. Members of the European Parliament (MEPs) were taking notes on the debates
between researchers and subjects. A woman who introduced herself as an illiterate Roma
grandmother presented the summary of the project’s main conclusions (Beck-Gernsheim et al.,
2003). One of the MEPs who attended brought these conclusions to the European Parliament;
there they were included in a resolution that was later approved unanimously (European
Parliament Resolution, 2005).
Similar resolutions were also passed at the level of EU member states. For instance, the Spanish
parliament unanimously approved a resolution to recognize the Roma as one of the people of
Spain (Congreso de los Diputados, 2005). As a consequence of this decision, the Spanish State
Council of the Roma was created, and the state committed to consulting with this council on
any policy that affects the Roma. This recognition is seen as a historically crucial change that
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has deeply transformed six centuries of relations between the Spanish state and the Roma. During
the 1980s, some Roma warned about the potential negative consequences for their children,
in terms of absenteeism and school failure, of the national school reform that was developed
and finally approved in 1990.5 But the experts and the policymakers dismissed their statements.
After the transformation generated by the WORKALÓ project, today the state is obligated to
listen to these voices. Dialogic sociology, as found in the WORKALÓ project, made real the
objective of public sociology (Burawoy, 2005), by moving beyond the academy and engaging
with wider audiences.
Citizens participating in the learning communities are very diverse in terms of gender, social
class, ethnicity, age, sexual orientation, religion etc., as well as their ideological and political
stands. Some citizens argue that if policymakers change their decisions through dialogic
communicative acts in public debates, it is owing to a real change of attitudes: they see politicians
as now assuming they must look for the best education for all children, including the underprivileged. Others argue that policymakers have not changed their attitudes but instead feel
pressured by the public debate. Even if this is the case, this change represents important benefits
for the egalitarian transformation of the school system. Elster (1999) explains this situation
as the ‘civilizing force of hypocrisy: If we take account of equity effects as well as efficiency
effects, arguing in public is probably a superior form of collective decision making’ compared
to bargaining in private. But of course, ‘this is not a statement for which proof can be offered’
(p. 402).
Today, European Union officials are mainly preoccupied with efficiency and equity in the
school outcomes of different social groups. Because statistics such the results on the PISA
examinations have had such a strong impact in the media, most of the public debate focuses
on the limited and biased data this survey provides. Some teachers and authors opposed these
statistics; they defended their students’ poor performance on the tests as a form of resistance
and radicalism. In the learning communities, family members and other citizens criticize these
authors and teachers as self-labelled ‘radicals’: they say they oppose the efforts made to obtain
equal educational outcomes for all the students, including the most disadvantaged ones
(efficiency and equity), while sending their own children to college (equity without efficiency
for some, unequal efficiency for their own).
The activities of learning communities are oriented towards an egalitarian reform of the
school system and society. They consider a wide range of dimensions. These schools are
struggling with gender-based violence, racism and war. Instead of discussing values and
emotions, these schools take action by restructuring all their spaces and dynamics on the basis
of solidarity and emotional development. This process is part of the egalitarian transformation
towards overcoming the current unequal results on mathematics, language and science along
the lines of class, gender and race. The professionals and families participating in these schools
are very aware that, if poor children fail an exam in mathematics, that does not mean that their
school is more radical. What makes a school radical and transformative is that everything is
done in solidarity, including the teaching of mathematics.
Learning communities demonstrate that egalitarian transformation is possible; they are aware
that some actions support positive progress towards this aim and some do not. The FPR
INCLUD-ED project is focused on clarifying the transformative strategies and their transposition
into EU member states and regional governmental policies. There are many examples of this
kind of transformation; we offer two of them below.
Having seen the success of the transformative actions that INCLUD-ED selected in twentysix Basque schools, the Basque Country government developed a plan to extend this work to
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its entire school system. The minister of education said publicly that his dream is to transform
the Basque Country into a learning community. This plan has not been developed by the Basque
government itself, but through a very open and long dialogue among all kinds of citizen:
trade union members, teachers, researchers, manual workers, members of social movements,
families, students, women’s organizations. This dialogue was conducted through illocutionary
communicative acts.
A second example is found in the General Directorate of Education of the European Union,
particularly in the cluster called ‘Access and Social Inclusion in Lifelong Learning’. This body
is composed of two representatives for each country: one from the government and one from
the NGO sector. Members of the cluster have analysed the actions that INCLUD-ED selected,
along with the theoretical developments and practical experiences of learning communities.
They have done so by discussing them directly with the involved citizens in the communities.
The cluster recommended that those activities be implemented in the various European
member states.
Dialogic sociology has facilitated many of the transformations outlined here. These
transformations are becoming relevant for many people, especially, but not only, the underprivileged. They are also important for those researchers who want to collaborate in a process
of transforming the school systems and societies. In doing so, the authors in this approach are
working along the lines of what Erik Wright (2008) calls the sociology of possibility and not
of what he calls the sociology of impossibility. Just one day before this present chapter was
completed, the European Union condemned segregated special classrooms for immigrants,
arguing that they should not be separated from the rest of the children (Missé, 2009: 37). This
resolution will transform the lives and the opportunities of many children. And this kind of
transformation is the reason why an increasing number of sociologists are working on dialogic
sociology.
Notes
1
2
3
4
‘Sometimes, as Ramón Flecha here demonstrates, knowledge flows from the bottom up, when
individuals with no degree or academic background “produce” and “invent” cultural analyses on
the basis of their own experience, their thought, and the exchange with other inventors or their
own culture’ (Touraine, 2000).
‘One site where this already occurs in some places is in education. In Barcelona, Spain, some public
elementary schools have been turned into what they call “learning communities” in which the
governance of the school is substantially shifted to parents, teachers and members of the community,
and the function of the school shifts from narrowly teaching children to providing a broader range
of learning activities for the community as a whole’ (Wright, 2008: 20).
www.tv3.cat/videos/1009029/TN-migdia-2022009 (minute 31:22).
The learning communities project aims to transform schools by instituting dialogic relations instead
of power relations. Learning communities represent a deep critique of the social and educational
exclusion created by power and the lies associated with this exclusion. On the other hand, Foucault
(1977) does not consider power to be negative in itself: ‘We must cease once and for all to describe
the effects of power in negative terms: it “excludes,” it “represses,” it “censors,” it “abstracts,” it
“masks,” it “conceals”’ (p. 194). Along similar lines, Derrida (1967: 21) tries to deconstruct – to
destroy – the signification of truth, while learning communities follow the opposite orientation,
which Chomsky (1996: 56) describes: ‘The responsibility of the writer as a moral agent is to try to
bring the truth about matters of human significance to an audience that can do something about
them.’
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RAMÓN FLECHA
5
The school reform implemented at that time was LOGSE – Ley Orgánica de Ordenación General
del Sistema Educativo de España.
References
Apple, M.W. and Beane, J.A. (eds) (2007) Democratic schools: lessons in powerful education, Portsmouth, NH:
Heinemann.
Austin, J.L. (1962) How to do things with words, Cambridge, MA: Harvard University Press.
Beck-Gernsheim, E., Butler, J. and Puigvert, L. (2003) Women and social transformation, New York: Peter
Lang.
Burawoy, M. (2005) ‘American Sociological Association Presidential Address: for public sociology’, British
Journal of Sociology 56(2): 259–294.
Chomsky, N. (1996) Powers & prospects, Boston, MA: South End Press.
Congreso de los Diputados (2005) 162/000320 Proposición no de Ley presentada por el Grupo
parlamentario de Esquerra Republicana (ERC), relativa al Reconocimiento de los Derechos del
Pueblo Gitano, Boletín Oficial De Las Cortes Generales (186): 42–43.
Derrida, J. (1967) De la grammatologie, Paris: Les Éditions de Minuit.
Elster, J. (1998) Deliberative democracy (Cambridge Studies in the Theory of Democracy), Cambridge: Cambridge
University Press.
–––– (1999) Alchemies of the mind: rationality and the emotions, Cambridge: Cambridge University Press.
European Parliament Resolution (2005) Resolution of 28 April 2005 on the situation of the Roma in the European
Union, P6_TA-PROV(2005)0151. Available online at www.europarl.europa.eu/sides/getDoc.do?
pubRef=-//EP//TEXT+TA+P6-TA-2008–0361+0+DOC+XML+V0//EN (accessed 6 April
2009).
Foucault, M. (1977) Discipline and punishment: the birth of the prison, New York: Pantheon Books.
Habermas, J. (1984) The theory of communicative action. Vol. 1. Reason and the rationalization of society, Boston,
MA: Beacon Press.
–––– (1987) The theory of communicative action. Vol. 2. Lifeworld and system: a critique of functionalist reason,
Boston, MA: Beacon Press.
INCLUD-ED Consortium (2006–2011) INCLUD-ED: strategies for inclusion and social cohesion in Europe
from education, FP6 028603–2. Sixth Framework Programme. Priority 7 Citizens and governance
in a knowledge-based society, European Commission.
Izquierdo, L. (2005) ´Más de tres alumnos inmigrantes por aula dispara la media de suspensos de la clase’,
La Vanguardia, 20 July 2005.
Missé, A. (2009) ‘La Eurocámara rechaza las clases especiales para niños inmigrantes’, El País, 5 April
2009.
Searle, J. and Soler, M. (2009) Lenguaje y ciencias sociales, Barcelona: Hipatia.
Touraine, A. (2000) Commentary on back cover of R. Flecha (2000) Sharing words: theory and practice
of dialogic learning, Lanham, MD: Rowman & Littlefield.
Wright, E. (2008) ‘The socialist compass’ in E. Wright (ed.) Envisioning real Utopias. Available online
at www.ssc.wisc.edu/~wright/ERU.htm (accessed 6 April 2009).
348
31
The democratization of governance
in the Citizen School project
Building a new notion of
accountability in education
Luis Armando Gandin
Speaking at the World Social Forum in Belém, Brazil in January of 2009, David Harvey
presented the concept of “the right to the city”:
I have been working for some time on the idea of the Right to the City. I take it that
Right to the City means the right of all of us to create cities that meet human needs,
our needs. . . . The right to the city is not simply the right to what already exists in the
city but the right to make the city into something radically different.
(Harvey, 2009: 5)
This concept summarizes what the experience of the Popular Administration (a coalition of
leftist parties, led by the Workers Party) and its Citizen School project in Porto Alegre intended
to create: rather than perpetuating the current narrow view of accountability in education, based
on a market-centered worldview, the Popular Administration started implementing what Harvey
describes. As Harvey says, people have a “right to construct different kinds of cities” and not
only receive “crumbs from the rich man’s table” (Harvey, 2009: 5). At the center of the Citizen
School project was precisely the idea that the priority in public policy has to be, more than
merely guaranteeing access to what the city already has to offer to its citizens (what, in the case
of the favela dwellers, would certainly be already a step-up), changing the relationship between
the communities and the state. The state has to be taught by the communities how to interact
with them; the school has to change its structures and presuppositions and not simply demand
students from the favelas to either adapt or leave, as traditional schools do. Being accountable
to communities in this context is more than merely “doing what’s best for the client”; it
represents building up a relationship of commitment between state and communities; this is
the kind of change in educational public policy that offers an alternative that is not only a distant
reality but one that is being implemented in a large Brazilian city.
In previous publications (Gandin 2006, 2009a,b), I examined the experience of the Citizen
School project implemented in the municipal schools of Porto Alegre. The conception of the
Citizen School was implemented over a period of sixteen years (starting in 1989) by the Popular
Administration, a coalition of leftist parties, led by the Workers Party. The Citizen School project
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evolved as a program, defined collectively by the actors involved, of democratization of access
to schools, knowledge, and governance. In this chapter I will concentrate my analysis on the
democratization of governance promoted inside the schools, in the relationship between the
Municipal Secretariat of Education (SMED) and the schools, and between communities and
the schools.
The democratization of governance in Porto Alegre’s municipal
schools
In the context of the Citizen School project, democratizing governance involved the
democratization of the relationships inside schools, between the school and the community,
and between the school and the SMED. The democratization of governance implied the creation
of an institutional design that could generate the empowered participation of teachers, staff,
parents, and administrators in the undertaking of decisions about education in Porto Alegre, as
well as a system of monitoring that guaranteed that the collectively agreed-upon decisions were
being implemented. The democratization of governance also gave the culture of the community
a central role in the educational and administrative spheres of the school and school system;
both the state agencies and the communities had to learn together how to construct new
mechanisms that represented the will of the communities.
The decision-making and monitoring processes in the educational system of Porto Alegre
occur at various levels: for example, the establishment of a broad city policy for education and
its constant evaluation; deliberation about how to invest the money allocated by the central
administration to the school; and the creation of an educational model that builds mechanisms
of inclusion to struggle against a society that marginalizes the impoverished students and denies
them valuable knowledge.
The Constituent Assembly of Education (held in 1995) was a core element of this process
of democratization. Gathering more than 500 delegates (in a process that started with meetings
in every school and extended for more than a year) from the school communities, the Assembly
formulated the broad policy directives implemented by the SMED (Silva, 1999). This alone
marks a significant departure from the traditional model, in which decisions are handed down
from above while implementation is left to the schools. Through their elected delegates, schools
and their communities were actively involved in the construction of the educational policy in
Porto Alegre. This is a unique aspect of the Citizen School project. Fung, who studied the
Local Schools Councils in Chicago (1999) and classified them as highly positive, nevertheless
suggests that “centralized interventions, themselves formulated through deliberation, would then
further enhance the deliberative, participatory, and empowered character of otherwise isolated
local actions” (Fung, 1999: 26). This combination, suggested by Fung as ideal, seems to be
exactly what has been achieved in Porto Alegre.
Another important element to emphasize is that the experience in Porto Alegre has been
serving as a viable alternative to the neo-liberal market-based solutions for management and
monitoring of the quality of public schools in other parts of Brazil. Involvement of the parents
and of the students in important decisions and active monitoring in the school (not merely
peripheral decisions) gives them a real sense of what “public” means in public school. At the
same time, because the SMED has been able to involve teachers actively in the transformations—
as well as to help improve their qualifications and salaries—instead of merely blaming them
and their unions for the problems in education (common practice in the neo-liberal driven
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reforms), the Popular Administration has been able to include every segment of the schools in
the collective project of constructing quality education in the impoverished neighborhoods
where municipal schools are situated. Thus, instead of opting for a doctrine that merely treats
parents as consumers of education (treated itself as a commodity), the Citizen School became
an alternative that challenges this idea. Parents, students, teachers, staff, and administrators are
responsible for working collectively, each contributing their knowledge and expertise, to create
better education. In this way, the Citizen School has defined itself over and against the market
logic that offers only competition and “exit” as solutions for parents.
The market logic, with “exit” as a solution to the problems of the disadvantaged groups
in public schools, does not provide any mechanism for actively involving parents directly in
improving the quality of the schools. As research has shown (Whitty et al., 1998), “choice”
schemes merely offer an individual option that does not contribute at all to the formation of
networks of citizens interested in bettering, not only their schools, but also their communities.
In the Citizen School, the active involvement of the community in the schools is a mechanism
to guarantee the improved performance of the school and for holding teachers and administrators
accountable to the parents and to the community. The school council, with its powers to
deliberate, regulate, and monitor, together with the Constituent Assembly of Education, where
principles were constructed, provides a mechanism that can generate schools that are open to
assessment of quality by the community.
The Citizen School was a project for the excluded. Not only students, however, have been
benefiting from the improved quality education they receive. Parents, students, and school
staff, usually mere spectators of the processes of decision-making in the traditional school, are
now part of the structure of governance inside the school council and bring their knowledge
“to the table.” In fact, the whole process challenges the cultural model that says that poor
and “uneducated” people should not or cannot participate because they do not know how to
do so.
It is true that lack of information can be a real deterrent for effective participation. The Popular
Administration argued strongly that participation was a process that had to be nurtured; therefore,
it launched, in the first years of the project, a program to provide training and information so
that people could participate knowledgeably in the school councils and in other participatory
structures such as the Participatory Budget (a mechanism that guarantees active popular
participation and deliberation in the decision-making process for the allocation of resources for
investment in the city; see Santos, 1998). Thus, the transfer of technical knowledge has been
an important part of the process. In this sense, the Popular Administration and the SMED
seem to have understood perfectly Offe’s observation that the functional superiority of a new
model of participation does not by itself solve all the problems involved in major democratic
reforms (Offe, 1995: 125–126). The mechanisms of the Citizen School redefine the participants
as subjects, as historical actors. Participants are not only implementing rules, but are part of an
historical experiment of reconstructing the organization of the municipal state.
One problem that afflicts democratic governance structures such as the school councils is
the possibility that participants who historically have held more power will continue to dominate them. This is a serious issue that needs to be addressed, given the experiences of similar
experiments elsewhere. Some specific factors in the case of Porto Alegre, however, reduce the
risk of this. First, the municipal schools are all situated in the most impoverished areas of Porto
Alegre. Therefore, the classical examples of middle-class parents dominating the discussions
(see McGrath and Kuriloff, 1999) are avoided because, as a rule, there are no middle-class parents
in the regions where the schools are located. Two studies of the Participatory Budget (OP) in
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Porto Alegre offer some indirect evidence (Abers, 1998; Santos, 1998), and one study offers
direct empirical evidence (Baiocchi, 1999) that shows that there is no domination by powerful
groups in the deliberative processes. In the OP, there is gender parity among the participants
of the meetings, and the proportion of “less-educated” people corresponds to the city average
(Baiocchi, 1999: 7). While it is true that there are more men and educated people speaking at
the meetings, the research has also shown that the main factor determining who speaks is the
number of years of participation. There is a learning curve that encourages people with more
years of participation to speak. In fact “participation over time seems to increase participation
parity” (Baiocchi, 1999: 10). This is a very encouraging conclusion, especially given the project’s
conscious pedagogical aims. Having said that, there are no data about the composition of the
various mechanisms of the Citizen School itself, and therefore there is no evaluation of this
potential problem in the schools of Porto Alegre.
The way financial resources are decentralized and transferred directly to the schools also
brings about changes inside them. This requires principals, teachers, and the members of the
school council to learn how to deal with public money. In contrast, the historical centralism
of the educational system in Brazil instilled distrust and an inability to deal with the notion of
public resources. The opportunity for those who take part in the Citizen School project is to
learn, while doing it, how to create consensual democratic rules regarding how to allocate these
public resources and how to create democratic ways of monitoring their use. In this sense it
restores to the public the position that had been historically privatized by the interests of the
dominant groups (Genro, 1999)—and it does so by including members of the community who
recover their dignity by breaking with the dominant notion that, because they live in a favela,
they are too miserable to be able to participate in a governance structure.
Baiocchi (1999), referring to the OP, says that there is a real empowerment of the poorer
groups, because their demands now have a channel and their voices can be heard. This is also
certainly true in the case of the Citizen School and its structures, as I showed above. In the
Brazilian context, where citizenship has always represented merely a right to vote (actually a
duty, because voting is compulsory in Brazil), the idea of being part of the real decisions
concerning the life of the institution responsible for the education of their children is a
tremendous achievement for those groups, something that organized social movements have
been fighting for for decades. If we consider also the OP (and the close relation between the
OP and the schools is itself a great democratic achievement), the consequences of the aggregated
participation in essential spheres of their lives create a real change in the way impoverished
communities organize themselves and relate to the state. Baiocchi (1999) shows how that
participation in deliberative instances is not breaking down political interests into ever-smaller
parochial issues, but promoting an increasingly active citizenry, attentive to the larger issues of
the city and country. It is possible to conclude, therefore, that the Citizen School is helping
to produce, together with the other initiatives of the Popular Administration, empowered
citizens (all the segments of the school community), who not only deliberate about the best
way of administering schools but have an active role in monitoring public institutions in order
to generate effective state practices.
Yet another element of the democratization of governance is the radical democratization of
the internal management of the schools. The election of principals was a long-time cause for
teachers’ unions in Brazil as part of the larger conception of democratic management. Direct
elections for principals guarantee that the coordinator of the school is not a person chosen
because she or he has a good relationship with the administration (something that happens in
the majority of the public schools in Brazil). Any teacher can be a candidate, without needing
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a special degree—an important step towards challenging the idea that only those with a degree
in school administration can manage effectively. By questioning this premise, the Citizen School
project shows that the process that is occurring in the education of the students—
problematization of what counts as knowledge—is also occurring at the administrative level.
Having said that, the SMED is aware of the difficulties of a principal’s task and therefore offers
periodic training to those who wish to be candidates.
The process of direct election of principals by the whole educational community produces
great voter turnout. Every election, thousands of people vote in the elections for principals;
communities are involved in the election process. This is also an important part of the
democratic learning process of the communities, especially because it triggers a debate about
the proposals for management of the school. Prospective principals campaign in the school and
in the community, where they must offer a proposal for their term of office with the ideas that
they want to implement if elected.
Furthermore, in contrast to the traditional schools where curriculum is selected and
constructed outside the school and only “implemented” by teachers (the ever-present separation
between conception and execution in schools, analyzed by Apple, 1988), in the Citizen School
the entire curriculum is developed by teachers inside each school. This alone is already an
innovative governance structure of the SMED, which does not conceive the curriculum in the
secretariat but urges each school to engage in a creative process of collective construction of
the school curriculum. As a result, a totally new structure is created, one related to the
management of curriculum development inside the school. The steps taken by the schools to
create their curriculum, which involve research in the communities, guarantee that there are
democratic spaces and that it is not only teachers who participate in the process of the construction of the curriculum. Community leaders, social movements (formal and informal), key
cultural leadership, and so on, through the statements collected in the participatory research,
also contribute to the final product.
In this sense, the school has a high degree of autonomy. Autonomy has come to mean several
different things, especially after the neo-liberal rearticulation of this term, so it is important to
develop a precise understanding of the autonomy to construct curriculum. Warde talks about
a progressive and democratic definition of autonomy. According to her,
School autonomy is the freedom to formulate and execute an educational project . . .
It is only feasible when the school is involved in a radically new political project about
democracy and its top-down structures and relations are destroyed.
(Warde, 1992: 86)
This is the kind of autonomy that the municipal schools in Porto Alegre are constructing.
By radically reconfiguring the “structures and relations,” schools created spaces for the
establishment of collective reasoning and the search for ever-better education, collectively
developed by teachers. With the creation of spaces for critique and innovation, even if the
administration were tempted to interfere in the schools, it would have to deal with this
disposition for critique of top-down decisions and fixed structures. This is a significant
indication of the success of the democratization of governance in the schools.
Finally, it is important to point out that, by building democratization of access to school,
democratization of knowledge, and democratization of governance, the Citizen School project
offers a concrete demonstration of its idea of citizenship. The project is producing citizens with
access to quality education in schools where students construct knowledge in the dialogue
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LUIS ARMANDO GANDIN
between high culture and popular knowledge, with neither treated as ultimately superior to
the other. Furthermore, these are citizens who can concretely understand that the solution
to their economic difficulties is not individual escape; who view solidarity as a worthy goal;
who both value the collective and respect differences. These citizens are much more than mere
consumers, a category that reduces participation in society to exchanges in the marketplace.
This is the notion of citizenship that the Citizen School is helping to construct.
The Citizen School project was able to provide a new social imaginary for all those involved
in the progressive transformation of schools. By constructing a new model in the educational
system of Porto Alegre, the Popular Administration and the SMED provided more than a new
political language for progressive teachers, parents, and teachers’ unions: they actually gave them
a concrete working example that shows that it is possible to build a counter-hegemonic
alternative. The Citizen School project offers not just a discursive anchor for the supporters of
a school that aims at fighting exclusion and commoditization in education: it provides a reality,
an example of success, a viable way of forging a counter-hegemonic movement in education,
an alternative to the mainstream notion of accountability. This project is a reference that can
always be pointed to as a working case of the principles of social justice in education. In a time
where progressive experiences are attacked (correctly in some cases, maliciously in others) for
not delivering what they promised,1 the Citizen School project symbolizes the possibility of
constructing counter-hegemonic reforms. Rather than affecting only the municipal schools
of Porto Alegre, the Citizen School has an impact in the imagination of all who struggle for
an education that deals at the same time with a redistribution of public goods and recognition
of differences.
Final remarks
Analyzing the conservative reforms in education prevalent around the world, Smyth (2001)
claims that there is a possible alternative to these reforms that, in the name of devolution, give
schools all the “responsibilities and no power” (p. 73). As he states, this alternative should be
“dramatically different” from the market-driven models and
it is one in which schools are educationally vibrant places—where parents, teachers,
students, and the community feel they are able to freely engage in discussion and debate
about what is going on, why, and with what effect. There is also an absence of schools
being bludgeoned into submission using crude and narrow economic agenda. There are
genuine opportunities for dialogue, chances to understand one another’s perspective
outside coercion, and a greater tolerance, difference, and diversity in contrast to conformity
and uniformity produced by some centrally determined market model.
(Smyth 2001: 83)
In this chapter, I have sought to examine the capacity of the Citizen School project to convert
itself into an alternative to the market-driven models in education. To a great extent, Smyth’s
description of what an alternative could look like matches what I found in the Citizen School
project.
In fact, in my research I encountered schools that truly are “vibrant places,” where there is
an environment of creativity, participation, and dialogue, not only among teachers and between
teachers and students, but also in the communities where the schools are situated. Even the
critique of some of the practices and measures of the SMED is, in fact, evidence of the fertile
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THE DEMOCRATIZATION OF GOVERNANCE
terrain for discussion and dissent created inside the schools and of the effort that these schools
make to search for better forms of constructing an education that really caters to the formerly
excluded students.
The municipal schools in Porto Alegre are also clearly not subject to a “narrow economic
agenda”; actually, they are explicit about their practices for avoiding this kind of subjection.
In fact, the SMED acts as a protective shield, behind which schools can construct their
curriculum and new ways to involve the communities in the educational process of the students,
rather than responding to conservative attacks. The seriousness with which the SMED demands
from the schools the precise implementation of what the educational laws mandate, the high
priority it gives to creating schools that have excellent material conditions compared with the
past, and the relatively high salaries it pays to its teachers, end up resulting in a great deal of
legitimacy for its actions.
In the municipal schools of Porto Alegre, I have encountered teachers with a renewed hope
in the possibility of constructing a radically different school from the one they attended. I
witnessed teachers actively creating a curriculum for their school by interacting with the
communities and meeting regularly at times especially allocated and institutionally guaranteed
for dialogue about their methodology and their goals with the specific network of concepts
they are developing with their students. Rather than being pressured for a kind of accountability
that only looks at test results, these teachers are socially, politically, and culturally accountable.
Quality in this context is not reduced to accumulation of information, nor even the ability to
establish connections among concepts; it is also linked to the schools’ capacity to generate a
culturally embedded curriculum that engages students in creative thinking and, to a certain
extent, in actions that could lead to social transformation in the future.
In fact, besides having the organizational aspects characterized by Smyth as central to any
alternative project, the Citizen School has also challenged the dominant notion of what counts
as valid knowledge. In the municipal schools, the curriculum creation is part of a larger process
of questioning “official knowledge” and valuing the culture of the communities. In this sense,
this is a project that is implementing the idea of a “culturally relevant pedagogy” (Ladson-Billings,
1994). Drawing from Ladson-Billings’ conceptualizations, Fletcher (2000) talks about the kind
of work that this pedagogy should be doing in schools:
Instead of trying to convince students that the traditional curriculum will serve them, if
only they can master it, a culturally relevant pedagogy offers students an active role in
questioning the knowledge they encounter in school and attempts to give students a place
to engage in their own critical reconstructions.
(p. 177)
This is exactly what the Citizen School seems to be doing. It is constructing what LadsonBillings (1994) would call “bridges or a scaffolding” that can help students to “be where they
need to be to participate fully and meaningfully in the construction of knowledge” (p. 96).
The Citizen School project is trying to invert the traditional linear conception of knowledge
in schools. The notion of building “bridges or scaffolding” breaks away from this linear rationale
and interprets knowledge construction as a process that must start with the culture of the students,
but not stop there. It has to build what Santos (1989) calls a “double epistemological rupture,”
an undertaking that creates dialogue between common sense and scientific knowledge and, in
this dialogic process, problematizes both of them. The fact that this goal exists in the project
and has been actively pursued is promising in terms of forging this double rupture.
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LUIS ARMANDO GANDIN
Yet another important aspect of the Citizen School project that makes it an alternative to
mainstream models of accountability in education is the fact that it is not a voluntaristic
experience, nor an experience that is restricted to the space of schools. Zeichner (1991) insists
that one of the great problems with reforms in education is the fact that they are not linked to
efforts of larger transformation in society. He states,
advocating democratic educational projects without explicitly calling for general social
reconstruction serves to strengthen the mistaken view—so successfully ingrained in the
public consciousness in these times of conservative resurgence—that the schools are largely
responsible for the whole host of rotten outcomes that confront so many of our children.
Remaining silent on the need for broader social, economic, and political change only
serves to create false expectations about what can be accomplished by educational reform
alone. The position that I have supported here is that no school organizational plan or
level of autonomy in school decision making for teachers or the community, by itself,
will ever be sufficient for dealing with the institutional and structural inequalities in our
society that underlie the educational problems in the schools.
(Zeichner, 1991: paragraph 42)
What the case of Porto Alegre offers is educational reform that addresses the complex
problems of exclusion and access, the issue of what is valued as knowledge, and the lack of
democratic structures inside schools in a close relation with the larger project of the Popular
Administration in Porto Alegre, which aims at redistribution and recognition (Fraser, 1998).
Schools have an essential role in this larger project, especially because they educate citizens
who will be better prepared to demand more and better democratic structures and to participate
in the ones that are already in place. Nevertheless, as Zeichner points out, schools alone cannot
perform the necessary social and political transformation necessary to construct social justice.
If constructing new school structures and culture is not sufficient to perform the kinds of
necessary larger transformation that Zeichner calls for, without these new structures and culture,
schools actually act as barriers for this larger project. That is why it was so important to break
away from structures and a culture that perpetuates exclusion. This is something that the Citizen
School project, despite the difficulties, has managed to achieve, by, among other things, its
conception of democratization of governance.
Note
1
Diane Ravitch published a long book in which she, from a rightist perspective, criticizes the left
and the progressives for not accomplishing in education what they promised (Ravitch, 2000). For
a critical review of the book see Apple (2001). In this review, Apple argues that, in the book, Ravitch
“misconstrues or ignores many of the most powerful dynamics that actually create the conditions
that led to or prevented school reform, and . . . stereotypes thousands of committed educators who
have devoted their lives to schooling” (Apple, 2001: 332).
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J. Cohen and J. Rogers (eds) Associations and democracy, London: Verso, pp. 114–132.
Ravitch, D. (2000) Left back: a century of failed school reforms, New York: Simon & Schuster.
Santos, B.S. (1989) Introdução a uma ciência pós-moderna, Porto, Portugal: Afrontamento.
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Silva, L.H. (ed.) (1999) Escola cidadã: teoria e prática, Petrópolis, Brazil: Vozes.
Smyth, J. (2001) Critical politics of teachers’ work, New York: Peter Lang.
Warde, M.J. (1992) “Considerações sobre a autonomia da escola,” Idéias 15: 79–90.
Whitty, G., Power, S. and Halpin, D. (1998) Devolution and choice in education: the school, the state and the
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32
Syncretism and hybridity
Schooling, language, and race and
students from non-dominant communities1
Kris D. Gutiérrez, Arshad Ali and Cecilia Henríquez
Race is an issue that I believe this nation cannot afford to ignore right now . . . The fact
is . . . the issues that have surfaced over the last few weeks reflect the complexities of
race in this country that we’ve never really worked through—a part of our union we
have yet to perfect. And if we walk away now, if we simply retreat into our respective
corners, we will never be able to come together and solve [the challenges that face
America today].
(President Barack Obama, March 18, 2008,
Philadelphia, PA; Scholars Roundtable)
The 2008 United States election exposed the ways racist ideologies and practices are deeply
implicated in US history and made visible the ways in which class alone cannot explain the
persistent inequities experienced by people from non-dominant communities. 2 President
Obama’s historic speech on race, motivated by persistent racialized attacks throughout the
election, initiated an important discussion of race in the public sphere. Yet, despite attempts
to address key issues of race, as in President Obama’s speech, the language of race relations too
often obfuscates the structural and historical basis of racial inequality (Steinberg, 2007). Similarly,
the discourses of schooling in the US veil the fundamental structural basis of racial and class
hierarchies and inequities.
This chapter uses the schooling experiences of non-dominant students in the US as a case
of a globalized phenomenon in which the significant backslide towards greater economic and
social inequality has heightened the educational disparities experienced by students from nondominant communities. It focuses on the ways the theoretical concept and social constructs of
race are implicitly and deeply connected to issues of culture and identity (Kubota and Lin, in
press). Further, it explores how language and literacies have become proxies for race that serve
as the means for instutionalizing curricular forms of segregation, marginalization, and othering.
Finally, it highlights the need for a theoretical explanation of the ways race, language, and literacy
constitute capital in schooling environments—and the need for a gendered and raced political
economy that emanates from the standpoints of non-dominant communities (Luke, in press).
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Finally, it challenges approaches that rely on a reductive and essentializing mono-cultural and
monolingual lens to define students’ linguistic repertoires and to design their educational futures.
“Racing-language”3
The relationship between language, race, and culture has long been a topic of interest across
disciplines and fields, such as anthropology and linguistic anthropology (Alim, 2009; Boas, 1940;
Zentella, 1997), sociology (Bernstein, 1975), sociolinguistics (Baugh, 1988, 1997; Harris and
Rampton, 2003; Lee, 1993; Smitherman, 1977), and education (Gutiérrez et al., 2001).
However, the asymmetrical relations between language and language speakers have not been
sufficiently addressed or explored intersectionally with class and race differences (Urciuoli, 1995:
533). For example, Urcuioli (1995) has addressed how language/power asymmetries, such as
those between Spanish and English, emerge when “people have to negotiate across power
relations” (p. 535) and public institutions; this is particularly poignant in school contexts where
“class and race differences that are mapped onto language are reproduced in the practices and
performances that make up students’ experiences” (Foley, 1990, as cited in Urciuoli, 1995:
537). To change the way we theorize and examine these relationships, linguistic anthropologists
suggest that a serious effort must be put into theorizing race to understand how the practices
of language are tied to linguistic and racial inequality (Alim, 2009)—what Alim calls “race-ing
language”; with simultaneous attention to “languaging race,” that is, theorizing language to
understand how race works.
Rethinking the constructs: syncretic and historicizing
perspectives
These new theorizations notwithstanding, there has been insufficient attention to theorizing the
relationship between race and language, and this has occurred across disciplinary boundaries,
theoretical perspectives, and methods. Steinberg (2007), for example, has argued that sociology
remains a “white sociology,” even in discussions of racial inequality, where dominant perspectives
and interests are maintained by focusing on the “victims” instead of those who perpetuate racial
oppression and historical inequality. Steinberg proposes an inversion of normative practices so
that the standpoints of those who are the object of racial oppression are privileged.
In the domain of education, researchers (Gutiérrez, 2006; Gutiérrez & Arzubiaga, 2008)
petitioned scholars to examine how their own work helps to construct and sustain essentialist
and deficit narratives of the educational potential of non-dominant students. The operant tasks
of this project would center on locating the central constructs in researchers’ work, naming
the framework and field that give meaning to the constructs, as well as understanding
their history of use vis-à-vis non-dominant communities. Identifying the ideological positions
in the constructs and frameworks employed is fundamental to understanding whose interests
have been served and how commonplace constructs such as “diverse,” “at-risk,” “limitedEnglish-proficient,” and “underachievement” have been naturalized in deficit discourses used
to explain non-dominant students’ performance in school (Rose, 1985).
Historically, language and naturalizing discourses of difference have not served the benign
goal of identifying student needs, but rather have served as an insidious indicator of intelligence.
The operant notion of culture here is based on its relation to genetics or deficit views that paint
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the practices of cultural communities as homogeneous, unchanging, and deviant from dominant,
thus normative, practices. Further, the tendency to focus on explorations of language, language
use, and practices, absent of their context of use, essentializes and dehistoricizes students’
“linguistic repertoires of practice” (Gutiérrez and Rogoff, 2003). In misrepresenting and
undervaluing students’ linguistic toolkits, empirical work can serve to further exacerbate
students’ marginalization (Alim, 2005).
The work of critical race theorists (Gotanda, 2004) has highlighted the importance of
historicizing racializing practices to theorize, to “re-mediate,” and design new pathways,
possibilities, and educational projects for students from non-dominant communities. In his work,
Gotanda (2004) used the notion of white innocence as the analytic standpoint from which he
examined racial ideology in Brown v. Board of Education, the US Supreme Court decision that
ostensibly outlawed overt racial segregation in American schools. In his analysis, Gotanda argued
that the US Court was engaged in the ideological project of defending and maintaining white
innocence. Here, the racialized notion of white innocence does not refer to the racial category of
whiteness, but rather to the dominant subject-position that preserves racial subordination and
the differential benefits for the innocents who retain their own dominant position.
The practical logic of white innocence
In the 1954 Brown decision—a touchstone case for educational civil rights in the US—the US
Supreme Court stated that overturning previous cases allowing segregated schools was based
on scientific evidence previously unknown to the Court. New empirical research provided the
basis for the Court to declare that racial segregation “generates a feeling of inferiority” among
Blacks (347 US 483, 494), a fact previously unsubstantiated, according to the Court. By
explaining that empirical evidence was absent during previous court decisions on racial
segregation, the court created the space for the absolution of its own role in preserving the
nation’s history of racist practices (Gotanda, 2004; Gutiérrez and Jaramillo, 2006) and the reversal
of a well-established legal precedent. As a consequence, there was no compelling moral
obligation to make fundamental structural change in the legacy of cultural, social, and
institutional racism in the United States or for the “innocent” to acknowledge and challenge
the underlying logic of the inhumanity and inequity that fuels racism (Santos, 1992).
Drawing on Gotanda’s (2004) work, we use the race-conscience construct of ‘white
innocence’, later elaborated in educational domains (Gutiérrez, 2006), to illustrate how the
practices of racism and inequity that orient educational policies and their discourses have a
prevailing logic of practice. As Luke (in press) has argued,
The practices of racism and marginalization have particular coherent logics of practice:
explanatory schema, taxonomies, operating procedures, even sciences, that explain why,
how and to what end particular tribes, communities and ethnicities count as less than
fully human against an unmarked normative version of Man. But they also are characterised
by degrees of volatility and unpredictability: human subjects tinker with, manipulate, bend
and undermine rules in face-to-face exchanges.
(p. 6)
Racism, then, is embedded within discourses, institutional arrangements, and structures of
educational systems and activity, which can then be enacted in face-to-face interaction. Thus,
rather than being fixed and predetermined, racial and ethnic identities are (re)created through
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continuous and repeated language use, and mediated by institutional practices and ideologies
(Alim, 2009).
By extending the white innocence lens to the schooling of non-dominant students, we can
begin to understand how educational institutions remain “innocent” through the use of “new”
beginnings—i.e., new evidence, theories, methods, discourses, and policies that are detached
from historical, moral, social, economic, and political ties to racialized practices and ideologies.
Today, neoliberal educational reform efforts have reframed educational policies that threaten
the possibility of a humanist agenda and a democratic education, and intellectual and social
equity for large numbers of students. The principle mechanism has been to redesign the
educational project using code words, phrases, and symbols that index racialized ideologies in
ways that do not directly invoke race or racial/ethnic communities (Lipsitz, 1998). In doing
so, the dominant subject-position is camouflaged as color-blind and becomes the uncontested
baseline of educational reform.
Consider, for example, the organizing “sameness as fairness” principle at work in federal
reforms such as No Child Left Behind (NCLB Act of 2001, 20 U.S.C. §1001), the largest
educational reform in the history of the US (Crosland, 2004). The “sameness as fairness”
principle orienting national educational policy flattens out differences that matter and employs
an essentialism that makes it easier to mandate and monitor one-size-fits-all approaches,
particularly in the delivery of language and literacy programs. Here, language becomes a proxy
for race and ethnicity and serves as a tool for organizing schooling and sorting bodies without
regard to the historical and present structures that gave rise to, and sustain, deeply rooted
inequities. This form of essentialism, Luke (in press) argues, serves both “as a discourse strategy
to massify, rule, and, in instances, eradicate whole communities and cultures” (Luke, in press:
17). For example, normalizing language has served as an object of the cultural wars in the US,
especially around issues of immigration.
One strategy for leveling the community towards a “common culture” is to try to eradicate
any vestiges of non-dominant communities’ cultural past and the cultural artifacts that mediate
everyday life; a form of erasure (Rampton, 1995a). Such practices are part of a larger process
of “modernizing” non-western communities. In essence, through punishing speakers or
prohibiting the use of non-dominant language, individuals and communities are “disciplined”
into “appropriate” ways to engage and speak in “civilized” society (Heller, 2008). Thus, it is
not only the use of English as the only acceptable form of speech, but a particular formation
of English that precludes the use of non-dominant language repertoires. “Appropriate” or “true”
English is not a reflection of sociocultural context, but rather a reflection of racialized economies
of language.
Linguistic and social marginalization is predicated, in part, by essentialist views of cultural
communities—views that assume that characteristics of cultural groups are located within
individuals as “carriers” of culture. The tendency to conflate ethnicity, race, language preference,
or national origin results in overly deterministic, static, weak, and uncomplicated understandings
of both an individual’s and a community’s practices. Often, normative views of culture are
employed in ways that appear benign, especially when they purport to focus on individual
differences and indirectly on deficits in the individual and social groups. What is needed is a
new language to talk and think about regularities across individuals’ or cultural communities’
ways of doing things; we also need to make progress in how we conceptualize regularities and
variance observed in shared and dynamic practices of communities, as well as how participation
in cultural practices contributes to individuals’ learning and development, including their
linguistic and social practices (Gutiérrez and Rogoff, 2003).
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Reductive notions of culture and cultural communities are indexed in discourses of
educational success and failure of students from non-dominant communities. Couched in the
rhetoric of progress, accountability, and higher standards, the reforms purport to address the
achievement or “underachievement” of non-dominant youth by “fixing” the language practices
of Latino and other immigrant youth. These seemingly compassionate policy actions work to
homogenize and “smooth out” variation in society, thus, normalizing linguistically and
culturally different students, their curricular practices, as well as the educators who must
implement them (Gutiérrez et al., 2002).
Hybridity all the way down
The essentialism at work in language and literacy policies belies the hybridity of students’
everyday lives, including their linguistic practices. Following Pavlenko and Blackledge (2004),
increased transnational migration, new diasporic communities, and an explosion of technologies
have resulted in a variety of intercultural activities in which a wide range of linguistic practices
become available to members of non-dominant communities. The resulting “linguistic
bricolage” creates a complex link between language and identity; in some contexts, languages
function as markers of national and ethnic identities, as forms of symbolic capital, or as markers
of intercultural competence (Pavlenko and Blackledge, 2004: 23). In yet other contexts, such
as the English-only and anti-bilingual education movements, language can become a means of
social control (Gutiérrez, 2008b). These contexts become the sites of struggle over which
immigrant students’ language practices are negotiated and shaped. In constructing and mediating
multilayered identities, non-dominant students and communities face a national context
where citizenship and national identity fall prey to economic utility. In such contexts, these
communities must “find new ways of constituting themselves as regional markets of producers
and consumers” (Heller, 2008: 513).
Sociolinguists have elaborated the idea of the inherent hybridity in today’s youth, particularly
immigrant, ethnic, and diasporic communities. In advancing the notion of “language-crossing”
(1995a), Rampton suggests that language and sociological research has largely ignored what he
calls the new plural ethnicities (p. 1), focusing primarily on bilingual in-groups. In studies of
the language practices of adolescent youth in London, Rampton (1997) found that “languagecrossing” is, in part, artful performance, intersecting everyday and local practices and media
representations in complex and unpredictable ways. “Language crossing” involves using a
language different from one’s own, in which the speaker moves across social and ethnic
boundaries. At the same time, to focus exclusively on conversation among participants could
result in a form of analytical parochialism absent of the multilingualisms currently at work in
the intersections between the local and global.
With its eyes glued only to the properties of talk, research might end up waiving [sic] an
antiquated banner of holistic coherence at precisely the moment when the crucial values
became transition and hybridity.
(Rampton, 1997: 15)
This movement, however, is not without consequence, as the speaker has to negotiate issues
related to boundary-crossing, identity, resistance, and even ridicule, for example. To understand
how youth navigate such border-crossing events requires theorizing the role of language in
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racialized schooling and learning practices, including the ways language-crossing opens up new
learning and intercultural activity.
Sociolinguistics can play an important role in documenting the complexities involved in
identity-negotiations that unfold in interaction, face-to-face, online, and across other media.
Such forms of human activity cannot be reduced solely to statistical measures of social science,
or even fully or accurately documented through interviews or questionnaires. Rampton (1997)
suggests that sociolinguistics and similar methodological approaches are uniquely positioned to
“illuminate the innumerable ways in which people are incessantly either reproducing, nuancing,
or refusing established identities, and trying to create some space for new ones” (p. 11).
Linguistic communities, particularly immigrant communities, often have been studied with
a focus on inter-group process, sustaining a reductive and essentialist analytical gaze on cultural
communities (Hammers and Blanc, 2000; Pavlenko, 2002). From this perspective, the essential
correlation is between language and identity and, hence, Pavlenko and Blackledge (2004) suggest
that,
the monolingual and monocultural bias . . . conceives of individuals as members of
homogeneous, uniform, and bounded ethnolinguistic communities and obscures hybrid
identities and complex linguistic repertoires of bi- and multilinguals living in a
contemporary global world.
(p. 5)
At the same time, extant theories of literacy often do not account for the multimodality of
communication of the new media age and the complex and hybrid repertoires non-dominant
students bring to schooling and learning experiences. “Language alone cannot give us meaning
to the multimodally constituted message” (Kress, 2003: 35). As an example, long-term work
with Latino, African-American, and Pacific Islander children in an after-school computermediated learning club in a port-of-entry elementary school in Los Angeles provides persistent
evidence of the hybridity of language and social practices of the participants. In this setting
“language-crossing” is a valued normative practice, and children consistently produce rich texts
of high value and meaning to themselves and peers (Gutiérrez et al., 2001; Nixon and Gutiérrez,
2007). These literacy events often entail students writing and talking about media events,
television programs, and music that are highly valued practices in popular culture, even crosscultural programs.
Las Redes (Networks) is a multilingual, multicultural space where multi-literacies are
privileged; yet, it is a space largely dominated by Latino children whose first or home language
is Spanish and who participate in a range of media practices, from World Wrestling
Entertainment to Spanish language programs. One particularly popular program among the
young Latinas is a Spanish language ‘tween television program, Rebelde, which features a famous
group of young Mexican singers who play a group of students forming a pop band. The young
girls at Las Redes had become obsessed fans, talking and writing about the beautiful stars, their
fashion sense, and their music, often importing Rebelde pictures into their digital stories. The
normative practice in this intercultural space involved the production of texts in Spanish and
English, or other hybrid varieties.
And because Latina youth were over-represented in this setting, as they were in the school,
their language and social practices were salient and highly valued by peers. And it should have
come as no surprise to find that young African-American girls, who knew little to no Spanish
nor watched Spanish-language television, wrote about and included Spanish words and digital
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photos of Rebelde in their own productions as well (Nixon, 2008). Such language-crossing
and intercultural activity were normative and often served as the basis for rich literacy production. At the same time, it also made visible the consequences of hegemonic language and
cultural practices for under-represented groups and how race and gender are indexed and how
identities are formed in recurring language practices (Alim, 2009). The ways racial and
ethnic identities always intersect with class, gender, sexuality, (trans)national, and other social
identities and are contested through language should highlight the need to focus attention
on both (dis)identification and (dis)alignment among individuals and social groups. Further,
the contradictions that emerge in schooling practices and among language groups should
be the object of study and examination in multilingual and multicultural learning environments,
including those attempting to promote democratic and robust forms of education.
The reality of the multiplicity and hybridity of the everyday lives of students from nondominant communities and new theories promoting their understanding complicate traditional
notions of race, racism, and cultural communities (Luke, in press). Historical racialized practices,
Luke argues,
were premised on two essentialist beliefs: (1) that there were inextricable phenotypical,
genetic and structural isomorphisms between race and one’s intrinsic human characteristics,
virtues and value, and; (2) that race, culture, identity, affiliation and nation could be
assembled by the state in homologous and singular correspondence.
(Hall, 1993, as cited in Luke, in press, p. 17)
Ignoring the inherent hybridity in human activity has particular educational consequences
for speakers of languages other than the dominant national language. Viewing students’
language and literacy practices as static and bounded by culture belies the stable and
improvisational nature of cultural practices. Today’s students are much more adept in reading
and talking about multimodal texts than conventional written texts. Their language and literacy
practices are the product of the intercultural and hybrid practices of which they are a part. This
hybridity can serve as a resource for expanding students’ linguistic repertoires and for new
learning if cultivated and not squelched.
Understanding the regularity and variance in an individual’s sociohistorical life and the
consequences of intercultural exchange can promote opportunities to engage students in
literacy activities that build upon difference, rather than trying to ignore or eliminate it.
However, the language practices of non-English speakers are rarely understood in social and
institutional settings. Their linguistic toolkit has limited capital in reform pedagogies organized
around autonomous forms of literacy (Street, 1984) delivered in English-only medium.
Sociohistorical understandings of the language practices of non-English speakers could provide
more accurate, robust, and useful descriptions of people’s language practices, including their
genesis and the sources of their mediation. From this perspective, educators and educational
policymakers would focus less on students’ linguistic “deficiencies” and instead would want to
know more about students’ history of involvement with language and literacy practices
(Gutiérrez, 2008a).
The language practices of Latinos, and in this case Chicana/os, for example, exhibit the
significant language contact they have experienced; their language practices the product of
intercultural exchange (Santa Ana and Bayley, 2005). Sociolinguists (Santa Ana, personal
communication, February 17, 2009) surmise that the linguistic features attributed to Chicano
English in Los Angeles, California, actually originated as second-language learning features that
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Euro-Americans made salient in the English/Spanish contact setting (p. 422). These stigmatized
language markers were modified and reworked into some of the most distinctive elements of
Chicano English phonology. As Santa Ana and Bayley’s work has noted, this reworking reframed
stigmatized linguistic features into a set of linguistic variables and discourse markers that instead
affirmed ethnic solidarity,
In the sociological sphere, it can render precise the human processes by which ethnic
communities reformulate linguistic features of out-group markers of stigma into in-group
solidarity features.
(Santa Ana and Bayley, 2005: 432)
For example, in Los Angeles, California, between 1920 and the 1950s, Chicano English features,
ridiculed and stigmatized by Anglo Angelinos, were actually part of a small set of phonological
features of other second-language learner groups. These now salient features in Chicano English
inverted the social valoration by using them to signal solidarity in the community, rather than
avoiding their use because of their previous stigmatization (Santa Ana, personal communication,
2009).
In Canadian contexts for example, “ethnolinguistic difference has long been used to mask
or legitimize class hierarchies” (Porter, 1965: 511). Historically, linguistic difference has served
to maintain social hierarchy and dominance rather than valuing the sociocultural toolkit that
individuals and cultural communities offer. Explanatory power based on linguistic difference
engenders forms of “othering” and helps to sustain reductive and narrow views of students
from non-dominant communities, their potential, and the expertise they bring to learning events.
This focus necessarily centers on identifying and addressing the “deficits” in students’ linguistic
and literacy toolkit and gives support to one-size-fits all pedagogical approaches organized around
weak forms of learning and marginalizing practices.
Developing powerful and syncretic literacies
The practices of nation, home, citizenship, that fundamentally undergird how we understand
race, ethnicity, and culture are shifting in dramatic ways. With more than 125 million people
living outside their country of origin, and another 2–4 million are added every year, traditional
narrations of identity are necessarily challenged (Lipsitz, 2004). As Lipsitz (2004) has noted,
“the new realities of our time have enacted a fundamental rupture in the relationships linking
place, politics, and culture” (p. 3). This new world order requires an exploration of newer
forms of public identities based on new iterations of social relations:
These new times also require new strategies, new tactics, new ideas and identities, although
our old identities have not disappeared. We still speak about race, class, gender, nation,
and sexuality, but in different ways. Identities never exist in isolation; they are always
intersectional, relational, and mutually constitutive. New times do not so much create
new identities as much as they give new accents to old intersections, resulting in new
associations, affinities, and equations of power.
(Lipsitz, 2004: 7)
Another way to think about the language and literacy practices of non-dominant students,
particularly new immigrant and diasporic communities, is to use the notion of syncretism to
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make sense of their hybrid and heteroglossic character (Hill, 2001). From this perspective,
syncretic linguistic practices are best understood as,
active and strategic efforts by speakers, who draw on their understandings of the historical
associations of linguistic materials to control meaning and to produce new histories by
variably suppressing and highlighting these histories through linguistic means.
(Hill, 2001: 243)
Hill’s work (2003) has documented the ways speakers both obscure and highlight their histories
in talk and interaction. For Hill, one strategic step in the analysis of syncretic practices involves
the identification of “relevant oppositions” (p. 241). From a cultural historical theoretical
perspective of learning and development (Engeström, 1987), these contradictions can serve as
the engines of change in expansive forms of learning (Gutiérrez and Larson, 2007).
Parallel views have emerged in the study of literacy and in the design of educational
interventions (Gutiérrez, 2008a). In work with high school students from migrant farmworker
backgrounds, robust forms of academic literacies, termed sociocritical literacies, where diversity,
variance, and hybridity provided additive value, were advanced. Through a syncretic approach
to literacy development, the hybrid character of migrant students’ social and linguistic practices,
most of whom were Mexican immigrant or first-generation students, served as a resource in
the development of powerful literacies (Crowther et al., 2001) that far surpassed traditional
instructional approaches. At the same time, a syncretic approach recognizes how intercultural
exchange and the resulting “linguistic bricolage” both extend and suppress the practices of
diasporic communities. This tension necessarily became an object of analysis and study in the
curricular project with students and instructional staff.
In contrast to most approaches to academic literacy that dichotomize everyday and schoolbased literacy practices, the syncretic approach to literacy developed with migrant students
brought together seemingly dissonant genres found in everyday and literary practices with
academic genres and the conventions of academic writing to increase students’ engagement
with text, and new forms of discourse across reading and writing activity. Specifically, the strategy
involved taking a language practice that was familiar in students’ cultural communities and
combining it with an academic genre to ground the everyday in new understandings and forms.
For example, this syncretic approach integrated the testimonio—a cultural practice of testifying
orally about one’s life and witnessed by peers in an intimate and respectful community—and
the extended definition, a writing genre essential to academic writing. Here, culturally familiar
and valued forms of language and literacy were extended and elaborated with conventional
writing tools, and academic literacy was made relevant, meaningful, and more authoritative
with testimonios of migrant and immigrant life and accounts of border crossing. Using Spanish
and English in various combinations, students produced powerful texts that were generalized
subsequently to traditional literacy tasks and community organizing efforts. Such practices helped
students develop insight into the organizational structures of written texts, including those most
often employed in the academy, and provided a means to locate one’s own experience in a
sociohistorical context, both proximally and distally.
The cases of the complex linguistic and sociocultural practices of students from non-dominant
communities presented in this chapter are intended to extend the ways we view the relationship
of language, race/ethnicity, and culture in educational environments; to challenge reductive
empirical and theoretical approaches that fail to capture the dynamism and hybridity of cultural
communities and their cultural practices. Ignoring new understandings of the continually shifting
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linguistic demands of cultural communities functions to preserve the white innocence that has
been employed historically in studies of non-dominant communities and in the design of
educational arrangements for students from non-dominant communities in the US and globally.
Notes
1
2
3
We wish to thank Christine O’Keefe, Sandra Naranjo, Jessica Robles, Janet Rocha, and Anne Vo
for their editorial assistance.
The term ‘non-dominant’ is used here to refer to students who have been historically marginalized
in educational processes and to more accurately capture the collective historical circumstance of
these students and issues of power relations in schools and other institutions.
The term and concept of “racing-language” is attributed to H.S. Alim (2009), who uses the term
to emphasize the relationship between race and language.
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33
Dilemmas of race-rememory buried alive
Popular education, nation, and
diaspora in critical education
Grace Livingston
Because so much in public and scholarly life forbids us to take seriously the milieu of
buried stimuli, it is often extremely hard to seek out both the stimulus and its galaxy and
to recognize their value when they arrive.
(Toni Morrison, 1984: 185)
Critical knowing and remembering matters
Race and the hemispheric Americas remain intractably linked. In significant measure this is
owing to the role and legacy of the transatlantic slave trade and enslavement in the Americas
as grounding, generative, and globalizing projects of the Western Modern project itself. Race
thus lives as a social problematic of the political that carries loaded narratives about difference,
disparity, and distance and thus has been pivotal in (re)inventing and (re)instituting the
hierarchical geo-political, economic, and social relations that shape our living, knowing, and
remembering. Regarding the US region of the hemisphere, Plummer (2005) speaks to
dimensions of the knowledge-producing labors of race as routed through the logic of White
supremacy, which I suggest persist even in the face of the much-heralded November 2008
election of Senator Barack Obama to the US presidency. Plummer argues that, “blackness has
not been dissolved and . . . remains a flashpoint in this society. Blackness continues to represent,
for immigrants and others, the lowest common denominator, the absolute floor from which
the only way is up” (p. 113).
Commenting on this racial logic in another part of the hemisphere, the Caribbean, Nettleford
(1994) takes note of “the tenaciously held perceptions among Caribbean people that there exists
a seemingly impregnable and lasting nexus between race and skin-colour on the one hand, and
the deprivations of power, influence, authority, legitimacy and status on the other” (pp. 14–15).
For example, the twenty-first-century steady upsurge in skin-bleaching (Brown-Glaude, 2007;
Charles, 2003; Tafari-Ama, 2006) in Jamaica, among predominantly poor and lower-income
urban people between the mid teens and mid thirties, despite health risks and mortality rates,
bears witness to the entangled and contested endurance of this supremacist racial logic.
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DILEMMAS OF RACE-REMEMORY BURIED ALIVE
However, such visceral forms of knowing race are subject to structures of silencing and a
“beleaguered status” (Livingston, 2006: 24, 26), even as we shall see, on the critical educational
terrain. Amidst this silencing, the role of race in relating knowing to remembering as an act of
“re-membering,” “putting back together . . . what has been obscured, . . . forgotten, . . . [and]
disappeared from view” (Scott, 1999: 80) does not relent. The racialized relationship between
remembering or memory “as a social, political, and historical enterprise” (Said, 2000: 178) and
the politics of knowledge production is the muse of this chapter. This relationship and its salience
have been dramatized through several critical public and pedagogic moments or events in recent
years that have had national, international, and Black diasporic traction and have also formed
the social texts of formal classroom learning and teaching and that of other educational
constituencies, including those of which I am part.
For example, this relationship was palpably at work in evoking the internationally broadcast,
race-related memory, or what I call race-memory,1 expressions of joy and disbelief, along with
those of criticism, indignation, and dismay, which met Barack Obama’s election as US
president. This interaction between memory and knowledge also routed the historical racememory undergirding the differential readings of “Americans of different races” (HarrisLacewell, 2007: 28) regarding the US government’s response to the breaking of the levees
in New Orleans in the wake of hurricane Katrina in 2005, with “Black Americans [feeling]
abandoned in their grief ” (p. 41) and visited by the memory of another disaster, the 1927
Mississippi flood.
Critical events such as these serve as “primal scenes” for the “discovery” and performance
of race-memory and the production of further “memory” “associations.”2 The focus of this
chapter is on probing and problematizing the race-memory knowledge produced by the interplay
of the logic of selectively visiting or remembering and forgetting particular moments or events,
especially when such race-memory enacts a form of silencing on the political knowledge that
race carries. In order to do this, I also engage a particular conceptual inflection of the term
memory, called “rememory,” and turn geopolitically to the Caribbean, specifically Jamaica. In
this part of the Americas, I look at a critical educational practice within civil society, one that
is linked to the project of nation formation. I examine the practice of popular education, one
with which I worked for almost a decade, so as to gather and interrogate primal scenes of racememory. In order to do this, I must say some crucial things about memory and rememory in
general.
Connecting memory and rememory to critical education in the
Caribbean
Rememory, arguably a signal infusion into the lexicon of the terms of critical inquiry into
memory, has been made available to the multidisciplinary deliberations on memory by novelist
and literary scholar Toni Morrison. It grows out of Morrison’s own work which “depend[s]
heavily on the ruse of memory” (Morrison, 1984: 386) as a “form of willed creation” (p. 385),
“ignit[ing] some process of invention” (p. 386), and is particularly vital due to the untrustworthiness of mainstream “literature” and “sociology” as regards “the truth” of Black diaspora
“cultural sources” (p. 386). Morrison’s work with memory predated what is recognized as the
“scholarly boom” (Klien, 2000: 127) in the turn to memory during the 1980s threshold of the
crisis over what counts as historical knowledge, the distances between academic and popular
historical knowledge, and methods of accessing and knowing the past.
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Toni Morrison’s approach to the two terms of memory and rememory emboldens them
with discernable political and epistemological properties. Rememory, coined and demonstrated
most fulsomely in Morrison’s 1987 novel, Beloved, rivets her sense of the importance of memory
as “dwell[ing] on the way” an event or any other social formation is recollected, “the way it
appeared and why it appeared in that particular way” (Morrison, 1984: 385) on a new register.
The rememory register is attentive and brings significance to the revisitation of a particular
appearance or recollection and why it gets revisited and repeatedly so. This new register allows
us to ask why a particular appearance or memory related to issues of race is repeatedly visited,
operating then not only as a race-memory but as a race-rememory. The matter of what is at
stake politically and epistemologically in this revisitation of race-memory or race-rememory
surfaces as crucial. In a conversation between Sethe and Denver, mother and youngest daughter
in Beloved, which takes place, like several encounters in the novel, in the haunting of Sethe’s
killing of her first daughter, Beloved, at two years old, so that she would not have to be sold
away from her into enslavement, Sethe speaks of rememory in this way.
Some things go. Pass on. Some things just stay. I used to think it was my rememory.
You know. Some things you forget. Other things you never do. But it’s not . . . [T]he
picture of it . . . stays, and not just in my rememory, but out there, in the world.
(pp. 35–36)
Turning to the Caribbean, specifically Jamaica, and diachronically to two significant
ideological and institutional waves in the formation of popular education and new forms of
Jamaican nationhood,3 I probe a particular historical rememory of race or a particular revisiting
and “staying” of memory regarding race. This race-rememory is one that I argue enacts a specific
form of silencing on the political knowledge that race carries, framed as a triumphalist and an
exceptionalist relation to race, especially as it relates to the positioning and figuring of Blackness
and Black life. The Caribbean, “the Other America” (Glissant, 1989a: 4), is an apt site for probing
silencing dilemmas in patterns of race-rememory and the national, international, and diasporic
forces that condition them. On one hand, the Caribbean persists in the commonsensical political
imaginary, particularly, though not solely outside of its borders, as a territory of “Caribbean
beaches waiting to be visited, invested in, and exploited” (Mignolo, 2005: 96). On another, it
is simultaneously grounded as a signal part of the unsettling “‘preface’ to the American
continent” (Glissant, 1989b: 561), a site of colonial “encounter” and “complicity” (p. 561) and
“a product of [the] globalization” (Hall, 1997: 29) instantiated by the transatlantic slave trade
and slavery, both as part of its “back end” (p. 29) and “leading edge” (p. 29).
Popular education—with its deliberate commitments to critical nation building through a
community development ethos as a basis for “popular participation,” “popular sovereignty,”
fostering “views alternative to those in the dominant State,” “protest action,” and reputation
as a “lively, at times turbulent ‘space’” 4—serves as a vivid and sobering site on which to stage
the paradoxes of race-rememory. While bearing important ideological distinctions, popular
education of both waves, as it battled within twentieth-century post-(slave) emancipation,
colonial and neo-colonial Modern Jamaica, has sought to bring and fashion the circumstances
of the social fray as social texts for educational processes in the name of exploring socio-political
possibilities. This proximity of the social and the educational is done in a way that brings
educational sensibilities to incite and facilitate skill capacity development, social action, and
political struggle through consciousness-raising activity across local communities and
constituencies of interest.
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DILEMMAS OF RACE-REMEMORY BURIED ALIVE
In discussing the connections between race-rememory and popular education, I draw on
particular moments or events related to both waves as primal scenes of race-memory and
rememory, starting with the second wave—the wave of my involvement in the 1980s and 1990s.
The second wave emerged in the late 1960s and early 1970s through Non-Government
Organizations (NGOs), called Development NGOs (DNGOs) and Community Based
Organizations (CBOs), with an investment in shaping an anti-colonial, independent nation.
The first wave arose in the 1930s through NGOs mostly known as Private Voluntary
Organizations (PVOs), with a commitment to securing a decolonized nation. The moments
or events related to both critical educational and nation practices to which I draw attention
serve as “point[s] of entanglement” (Glissant, 1989a: 26) for critical educational practioners,
thinkers, and researchers, to which we “must return” (p. 26). Such a return is crucial because
“our problems lay in wait for us” there (p. 25) concerning how race is remembered, especially
accumulated recollection tendencies that effect a race-rememory pattern that inflicts modes of
silencing on race. My interest is in uprooting historical and ideological moments or events and
their national, international, and Black diasporic tugs, which serve as primal scenes and “buried
stimuli” (Morrison 1984: 385) that I propose are attached to the production of the troubling
form of race-rememory—a triumphalist and an exceptionalist relation to race. Further, I suggest
that such scenes have been mis-recognized, “disremembered,” “buried alive”5 and “unaccounted
for”6 in critical educational and national practices.
Primal scenes of race-rememory trouble in critical education
and nation
Jamaica 1994: recoiling from embattled Blackness
The instigating primal scene that served as a sign of trouble in race-rememory made its
appearance in a moment of reflection on praxis in 1994. Around September 1994, there was
a particular gust of tension in the air within one of the second-wave DNGOs and affiliated
CBOs that had been working in both rural and urban Jamaica for, at the time, over thirty-five
years. A 1994 follow-up evaluation (to one done in 1991) focused on the following program
components: “animation, consciousness raising and skills training; economic and housing
projects; and community organizing and mobilization” (Heron, 1994: i).7 Its completion was
marked by a notably disturbing set of findings. The findings that sparked the climate of unease
stated that 53 percent of the community respondents across CBOs in a particular parish8 in
which the DNGO and CBOs worked said that the notion that “Black people can’t run tings”
(p. 36) was as a significant contributing factor to the economic problems at the community
and national levels. Only 33 percent were definitive that this was not a factor at all, with the
responses of the remaining 14 percent placed in the category, “don’t know” (p. 36).
“Run things” is a much beloved and used idiomatic phrase in modern urban Jamaican
vernacular language, most often articulated as “a wi run things.” It could be understood as
the defiant capacity to formulate and execute a task exemplarily, with almost bravado expertise
and style. The nuance of defiance in its meaning figures at a racially inflected decibel that
denotes the will and ability to do better than expected and out-do in a context of structural
and psychic odds set up by elite and supremacist power relations. “Black people can’t run
things” thus meant that respondents were indicating that this was not a faculty of Black
people, or a dubious one at best. “[R]espondents were asked to give their opinion on the factors
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which may or may not contribute to Jamaica’s economic problems” (Heron, 1994: 36). This
kind of inquiry was pursued, at least in part, to get a sense of what was happening and what
issues were being “covered in the educational sessions” of popular education (p. 36).
The inquiry also served as a broader investigation of the key “indicators of social change in
the community organizations.”9 Many did raise and link factors such as the International
Monetary Fund (IMF) and World Bank, national “corruption,” “mis-management” and lack
of (national) self-reliance.10 However, that such a significant number articulated and indexed
“Black people can’t run things” as a strong factor said that there was a relationship or an
“attribut[ion]” being made between socio-economic problems of society and “their blackness.”11
As if to exacerbate the conditions of reception of this kind of finding, the evaluation also
exposed that, in trying to ascertain the “social profile” of the communities under investigation,
there was a notable resistance from some respondents when it came to placing their social
identities in relation to race. While the process of getting responses about “gender,” “occupation
and employment,” and “age” went relatively seamlessly, the process of getting racial “identity,”
“heritage,” or “classification” responses from the 93 percent of the community group members
who eventually affiliated or placed themselves as of “African descent,” involved significant
moments of “unwillingness” and “difficulty.”12 “It should be noted” the evaluation said, “that
. . . Chinese and Indians who were covered in the survey were not reported as having a problem
in acknowledging their racial identity” (Heron, 1994: 33).
This was the DNGO and related CBOs with which I was working at the time in community
mobilization, popular education, and administrative roles. This 1994 moment has persisted in
returning to me through the years as a primal scene for working through the politics of racememory and race-rememory, as I have moved and worked across critical educational sites of
learning–teaching, non-formal and formal. I recall that verbal and non-verbal expressions of
disappointment and anger, and disavowal and disbelief were intense and marked the hesitant
and spontaneous discussions and interactions that came in the wake of these findings from the
evaluation. There was a sense of incredulity that “Black people can’t run things” as a statement
of an embattled and a shameful relation to Blackness could feature (still) so pronouncedly in the
social belief systems and actions of Jamaicans, given that the nation was then over three decades
into its formal independent status. Also, there was a sense that the prominence of such a belief
system contradicted the influence of the radical political practice of “development-oriented,”13
second-wave popular education, with its conceptual and ideological frameworks including
liberation theology, Marxism, or “some form of socialism to meet the manifestly oppressive
conditions of the poorer classes in the country”14 and Freirian conscientization.15 This mood of
incredulity concerning race and the figure of Blackness came into more pivotal focus, given that
this conception was at work in and among social actors who were at the forefront of community
mobilization work at the grassroots and were creative and resilient participants in popular
education and consciousness raising processes in some of the most challenging circumstances,
particularly in the traditional (slave) sugar plantation areas of Jamaica.
Emerging further as part of this mood came paths of questioning and commentary that made
it more clear that there was a troubling silencing of the social problematic of race being wrestled
over. The questioning and commentary amplified the tangle of possible Black diasporic, national,
and international routes contouring the production of this silencing, particularly with regards
to the triumphalist and exceptionalist relation to race. Perhaps the report from the evaluation
merely gave a melodramatic16 representation or perverse sampling17 of a lingering relic and
now aberration of modern Jamaican life, was the flavor of some conjectures. Black enslavement
in the Americas ended (de jure) too long ago for “Black people can’t run things” to be (still)
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DILEMMAS OF RACE-REMEMORY BURIED ALIVE
rearing its head this pronouncedly, was the tone of other interjections. After all, Jamaica has
earned and worn the reputation as an imprimateur of exemplary and resilient “Black
consciousness,” which has influenced those beyond its shores. Such consciousness has been
carried through the cherished Black diasporic race-memory agency of Jamaica’s legendary slave
rebellions; fierce-fighting and relatively autonomous Maroon communities; Crown colonial
uprisings; national heroes, notably Paul Bogle, Sam Sharpe, and Nanny of the Maroons; cultural,
spiritual, and ideological forces of Garveyism, Rastafari, Reggae; and a Jamaican inflection of
democratic socialist state governance.18 Additionally, from the mood shaped by the evaluation
report came versions of the ever so (in)famous and almost commonsensical sorts of assertion
that surface often in Jamaican life, particularly in times of crisis, when social predicaments and
antagonisms that spin from the axis of race and power come to the fore. Such assertions may
be placed in this manner: “But after all, are we not a majority Black independent nation?” and,
in tandem, the barely screened bravado and exceptionalist kind of utterance, “After all, this is
or we are not the US.”
This 1994 moment and the issues of race that give it weight have yet remained unremarkable,
unnamed, and thus disremembered in the albeit small body of descriptive and analytic scholarly
literature and published reports on Jamaican NGO mobilizational and educational work.19 In
order to help make sense of this 1994 primal scene of race-memory, which enacts a simultaneous
recoiling from a struggling and debased Blackness and preferential attachment to a triumphant
and an exceptional one, I move to a buried stimulus found in an earlier critical moment within
the breaking of second-wave popular education in 1968 to which this 1994 moment triggers
attention. The 1968 moment, which played a key role in constituting the font of social texts
conditioning the late 1960s emergence of the second wave yet still begs analysis as a “usable
past” 20 in the production of the history of popular education, works as another primal scene
of race-memory. It allows 1994 to be viewed as representing a particular pattern in the way
race-memory is visited and renders the attachment to a triumphalist and an exceptionalist relation
to race a significant dilemma of race-rememory.
Jamaica 1968: soiling special Blackness
Grounding this 1968 primal scene is the presence of Walter Rodney in Jamaica and his banning
and denouncement as “persona non grata” (Gray, 1991: 157) by the government on October
15, 1968. In January 1968, Walter Rodney, an Afro-Guyanese, arrived in Jamaica to work as
a lecturer in African history at the University of the West Indies (UWI), Mona campus, Jamaica,
after teaching in Africa for approximately a year and a half and, prior to that, having pursued
doctoral studies between 1963 and 1966 in London at the School of Oriental and African
Studies. Rodney’s coming to Jamaica was actually “a return,” given that he was a student at
the UWI, Mona, between 1960 and 1963. At the time of Rodney’s second coming, the UWI
was still deeply attached to the colonial impetus of the “university’s civilising role”21 even amidst
the momentum of national independence formalized in 1962. The University was a site where
it was greeted as anomalous and revolutionary when a Black Jamaican faculty member
referenced and differentiated his national identity in the midst of an academic presentation as
being “one of those Jamaicans of the color of the black in flag [of independence]” (Brodber,
1997: 70).
Rodney not only set about to teach his assigned classes in African history. Within weeks of
his arrival on the campus, he had begun to give public campus lectures on African civilization,
committed to “filling the emotive and cognitive gap” (Lewis, 1998: 14) that he had recognized
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in himself as an undergraduate and one that was particularly endemic to much of the formally
schooled of the British colonies up until that time. Along with focusing on Africa’s past,
Rodney’s talks were distinguished by tying a “reexamination of African history . . . directly to
the scrutiny of the black experience in Jamaica” (Gray, 1991: 152) and “an appraisal of the
current condition” (p. 152). Additionally, very soon after beginning the public campus lectures,
Rodney moved to taking his lectures beyond the University to constituencies that would come
to be key participants and sites of second-wave popular education work. He could be found
“discussing aspects of African history in working-class districts in Kingston” (p. 152), notably,
Western and Eastern Kingston, and “at workers’ sports clubs and among the unemployed in
the ghettos of West Kingston” (p. 152). Crucially, Rodney did recognize that, especially with
respect to Rastafari, Garveyism, and Rudie or Rude-boy culture,22 he was not bringing in
“brand new” (Sunshine, 1988: 59) ideas, noting Rastafari as “the leading force of [the]
expression of Black consciousness” (p. 59) on the Jamaican terrain.
The growing critical, political, and educational momentum and alliances highlighted and
generated by Rodney’s type of activism and scholarship “frightened the daylights out of . . .
the government” (Abrahams, 2000: 251), triggering the head of the Ministry of Home Affairs
(now known as the Ministry of National Security) to declare “I have never come across a man
who offers a greater threat to the security of this land than does Walter Rodney” (Lewis, 1998:
113). In mid August of 1968, the government “summoned the vice-chancellor of the university
to protest Rodney’s activities” (Gray, 1991: 157). However, their meeting did not end with
“assurances that the university would put a stop to Rodney’s activism” (p. 157). By mid October,
still unable to build a secure legal case against Rodney, the government tried to press the
University into withdrawing his contract in a specially convened “extra-ordinary meeting of
the national cabinet” (p. 157). With these efforts yielding no definitive agreement from the
University, the government seized the opportunity of Rodney being out of the country attending a Black writer’s conference in Montreal, Canada, and prevented him from disembarking
on his return to Jamaica, October 15, serving him, when his plane landed, with expulsion papers.
In response, protests emerged.
Enacted in the then prime minister’s commentary on the events surrounding Rodney’s
expulsion from Jamaica was a silencing on race matters within the nation in a way that expressed
a triumphalist and an exceptionalist relation to race similar to the silencing relation in motion,
yet buried alive, in the 1994 critical event in the life of popular education and primal scene
of race-memory. Such an enactment of silencing was arguably not unaffected by the tugs of
cold war circumstances that confronted newly de-colonizing, “less developed” countries with
insinuations and coercions about alignments with one of the “great powers.”23 Consonant
with the racialized signal sent by the government’s banning, earlier in 1968, of publications
related to Black diaspora activism coming out of the US, such as those by Stokely Carmichael,
Elijah Muhammad, and Malcolm X, and “The Crusader” by Robert Williams,24 the prime
minister’s articulations placed matters at the nexus of race and power outside of the independent
Jamaican experience.
The prime minister accused “people from other islands” (Gray, 1991: 161), “‘foreigners’ and
‘non-Jamaicans’ at the university, . . . [of] fomenting dissidence among ‘our sons and daughters’”
(p. 162). Prominent spokespersons for the labor union constituency—one that would become
an important site and ally in second-wave popular education—represented and positioned this
constituency as colluding in the production of this triumphalist and exceptionalist form of
silencing race. The leader of the Bustamante Industrial Trade Union (BITU) pronounced:
376
DILEMMAS OF RACE-REMEMORY BURIED ALIVE
People in the world have come to point at Jamaica as a leading example—as a small country
where reason, law and order are fundamental to the country and our people, and where
races work and live in harmony with ever increasing respect for each other.
(Gray, 1991: 54)
In racial silencing tandem, from the leader of National Workers Union (NWU) came the
following words:
Ugly forces are rising in our country. All over the land people have begun to preach race
hatred—colour against colour, race against race. Movements are being formed dedicated
to the destruction of the very idea of inter-racial harmony. [They are] a dangerous throw
back into the past.
(Gray, 1991: 56)
Importantly, Gray (1991) does not allow for the significance of political knowledge
production of this critical 1968 moment, especially in relation to race, to pass by unnamed.
Gray characterizes the knowledge produced in a way that uncovers conundrums of nation,
diaspora, and the international that route the production of a triumphal and an exceptional
race-memory. He perceptively, if in too discretely nationalist terms, calls it “Jamaican
Exceptionalism” (p. 54), a “defensive political ideology” (p. 54) formed out of the pressure of
the “Rastafarian challenge” (p. 53) and as “a counter-ideology meant to stem challenges to
class inequalities posed by expanding race consciousness, and . . . a means to secure the moralideological framework for the country’s development strategy” (p. 54). It “sought to purge the
antagonistic elements from the ideology of the urban unemployed by hailing the subordinate
classes as exemplary racial neuters” and to “appeal to the overwhelming black population was
that they were a special people in the world” (p. 82).
This 1968 primal scene, while undoubtedly significant, does not illustrate the primary
momentum of the appearance and visitation of a triumphalist and an exceptionalist relation to
race in modern Jamaica, as Gray’s (1991) position on Jamaican exceptionalism as a “novel
ideological invention, designed to address the dilemmas of the incipient independent state”
(p. 54) suggests. Earlier critical moments during the first wave of popular education, which live
hidden and unrelated, disclose stimuli producing this silencing relation that resonate with the
national, diasporic, and international patterns shaping its 1968 and 1994 second-wave
manifestations and thicken the basis for its consideration as a crucial, if buried, rememory matrix
underwriting popular education and the modern Jamaican nation. Turning to this earlier history
deepens my arguments about race-rememory.
Jamaica 1938: combustible Blackness staining show-window
Blackness
At the time of the birth of the initiative that marks the emergence of the first wave of popular
education, the Jamaica Welfare Limited (JWL), in June 1937, Jamaican life “very much reflected
the island’s two main historically formative experiences . . . chattel slavery and Crown Colony
oligarchy” (Munroe, 1972: 1), “split into ‘Black,’ ‘Brown’ and ‘White’ sections” (p. 5) functioning as “a system of social and economic apartheid based on skin colour” (Birbalsingh, 1970:
29). Also a time of “tremendous intellectual and social ferment” (Levy, 1995: 349), that very
377
GRACE LIVINGSTON
year of the JWL’s birth saw “the whole country rumbl[ing] with huge marches and strikes”
(Williams, 1970: 446). Activities such as the “blocking of roads, cutting of telephone wires,
breaking down of bridges, burning of [sugar] cane, destroying [of] banana trees and, on several
occasions, the ambushing [of] armed police with nothing but sticks and stones” (Post, 1969:
376) were increasingly visible across the Crown Colony Jamaican landscape.
Less than a year later, in May 1938, rural and urban upheavals, significantly stirred by the
strike actions of workers at “the largest sugar [plantation] estate in the country” (Sunshine, 1988:
38), reached to the scale and sound of rebellions that served as “a symbol of region-wide
upheaval” (p. 38). “East and West, North and South, on Properties and Roads, Labour
Demand[ed] More Pay” read the headlines of the Jamaica Daily Gleaner (Brown, 1979: 93).
“Street cleaners, power station workers, pumping station employees and municipal workers
joined the throng of people who surged through the street. Traffic was halted, business places
closed. Shops were invaded. Passing cars were stoned . . . the military moved in” (Sunshine,
1988: 39). “Police Fire To Drive Back Mob,” “Sugar Workers Mown Down By Police Fire,”
“Labour Leader . . . Arrested and Held Without Bail,” and “Another Hectic Day and Night
in the City” reflect the tenor of additional newspaper headlines” (p. 39).
These events and the interpretation of them played a centripetal role in charting the
ideological and institutional direction of the national decolonization commitment of first-wave
popular education. As understood through the JWL’s founding chairperson and prime mover,
Norman Washington Manley, this vision of decolonization also connected with the nationalist
and later Fabian socialist orientation of the People’s National Party (PNP), launched after the
rebellions with Manley’s leadership. This vision carried tenets of “self government,”
“collectivisation,” “egalitarianism,”25 and “support[ing] the progressive forces of this country
. . . to raise the living standard of life of the common people” (Nettleford, 1971a: 13) and was
expressed through a program strategy of integrated community development. This strategy
included such features as: establishing contacts with key people in the community; social surveys
conducted with the help of local leaders in order to learn or verify demographic information
and community priorities; identifying existing groups and leaders through house to house visits;
strengthening and expanding existing village organizations; engaging indigenous culture; and
developing local leadership (Francis, 1969; Girvan, 1993; Levy, 1995).
However, amidst this critical educational praxis, a silencing of race ensued that illustrated
the deeper historical tracks of the problematic triumphalist and exceptionalist relation to race
and how this problematic feeds a buried-alive dilemma of race-rememory. Rastafari, which
was coming into being during the 1930s, along with some resurgence of Garveyite ideas and
practices among rural and urban low-income groups who participated in the 1938 rebellions,
did not form an integral part of the mobilizational and educational approaches deployed by the
JWL. Though Garveyites and Rastafari were engaged in community education, organizing,
and economic activity, the first wave did not turn to such social texts for their work of
learning–teaching, consciousness raising, and building alliances. Even in the dimensions of the
JWL’s work that engaged in facilitating the expression of cultural–religious forms, the musical
genres associated with such African-inspired spiritual and cultural ways of life as Pocomani and
Revival Baptists were deflected. Rhythmic forms more closely resembling British Christian
Protestant hymns were more often incorporated, as if in attempt to stay away from the deemed
“vulgar”26 and uncivilized bodily moves and vocal sounds of Black Jamaican life.27
As found in the 1968 primal scene of race-memory during the emergence of the second
wave of popular education, there was an emphasis in the first wave on interpellating Jamaicans
as a people-in-common and a people apart, setting up the social problematic of race as belonging
378
DILEMMAS OF RACE-REMEMORY BURIED ALIVE
to an unusable past, a past over which there had already been triumph and thus outside, and
an interruption of a decolonization vision for the nation. Tantamount to missing from even
the critical historiography of popular education is that while, for instance, Manley “understood
the implications and indulged the Rastafarians in their quite valid demands for recognition and
status” (Nettleford, 1971b: lxviii), his caution about them resembled a position that surfaced
in the second wave. Manley was weary of “a recrudescence of race-consciousness in the assertive
stance of groups like Rastafari and in the revival of UNIA [United Negro Improvement
Association] enclaves against the persistent force of slave heritage viz the correlation of blackness
with poverty and deprivation” (p. lxviii; italics in original).
Such a position was echoed in the lament of foundation JWL staff person, D.T.M. Girvan,
who noted that with the rise of “Rastafarianism . . . [as] a national phenomenon” and also “race
feeling and class antagonism,” there was a “breakdown of national consensus and togetherness”
(Girvan, 1993: 18). Additionally, casting race in a strident political position was viewed by
Manley as precluding any “reconcil[iation] of black nationalism with plural democratic
nationalism” (Nettleford, 1971b: lxvii), as race spoke to a “sectional identity” (p. lxvii). Matters
of race and color were considered ones of “cultural identity” (p. lxvi), through which the core
subjectivity of decolonized Jamaican nationhood could be articulated in exceptionalizing terms
as an “African-European creolized fusion” (p. lxvi) capable of facilitating “the emergence of a
class of colour indifferent persons” (p. lxx).
Further, in pursuit of unearthing the tracks of the triumphalist and exceptionalist racerememory dilemma, such first-wave positions and practices regarding race may be understood
as folding into and complicit with other silencing strategies coming from the international ground
in the wake of the 1938 rebellions. Britain was “especially worried” (Johnson, 1977: 66), in
the light of “possible repercussions of the strikes and disturbances” (p. 66), about the opinion
of the US with regards to race relations in the British empire, and more so, the treatment of
Black people who were viewed by “the white population of Jamaica” as “combustible blacks”
(Bryan, 1991/2001: ix) capable of rendering the Jamaican colony “as volatile, potentially
unstable, subject to incendiary and insurrectionary action”(p. ix). There was worry about the
“American tendency to judge British colonial administration by the West Indian colonies”
(Johnson, 1977: 66). The contents of a 1938 memo by a British cabinet member reveal the
role of international entanglements in co-scripting an exceptionalist racial gaze on Jamaica that
is reminiscent of that which faced the first wave:
One sees signs of a growing interest in the administration of these territories [the British
colonies] on the part of Americans, reflected in the American magazines. The W. Indies,
are to some extent, the British show-window for the USA. I am afraid it is not a very
striking exhibit. For the moment, “the differentness” and the picturesque aspect,
predominate; but criticism is already there; and it will I think grow.
(Johnson, 1977: 66)
Conclusion
The triumphalist and exceptionalist relation to race that inhabits the rememory logic of modern
Jamaican life is pernicious, even as its harmful silencing lives buried in an often benign and
normative bravado disposition. Such a silencing rememory habit continues to position Jamaican
phenomenology at an exoticized distance from contemporary analyses of the layered brutalities
379
GRACE LIVINGSTON
of race and power in the broader Americas; it obscures and misrecognizes the constitution of
some of the challenges facing the nation, especially matters of the political that operate at the
nexus of race and power; and it renders usable pasts irrelevant. Critical educational practice
faces the imperative of helping to “generat[e] and sustain a public culture of memory” (Scott,
1999: 81) regarding this rememory dilemma and the buried stimuli complicit in its production
and re-articulation.
Acknowledgements
I am thankful to Michael Apple for the invitation to write this chapter and for the opportunity to process
these ideas that it has afforded me. I am also appreciative of the valuable reviewer and editorial feedback.
For responding to my writing, and for crucial spaces of listening and conversation, in different measures
and at important times, Jay Hammond Cradle, Dexter Gordon, Suzanne Livingston and Hannah Tavares
have my thanks.
Notes
1
2
3
4
5
6
7
8
9
10
11
12
13
14
15
16
17
18
19
380
The idea of historical memory routes is developed and discussed in Grace Livingston (forthcoming)
“Historical memory and the foundations of the critical categories of justice in education.”
See Rushdy’s (1990: 303) discussions.
See, for example, Girvan (1993), Hart (1993), and Nettleford (1971a, 1971b, 1989) for references
to transforming Jamaican nationhood as building a “new” Jamaica.
See Baker (1983), Brown (2000: xii–xiii), and Levy (1994: 1–2, 2000: 101).
“Buried alive” is developed and discussed in Grace Livingston (under journal review) “Silencing
habits: race-memory routes of the production of the political in critical educational research.”
See Morrison (1987: 274) for the use of the terms “disremembered” and “unaccounted for.”
These program areas under evaluation are also mentioned at different points throughout Heron
(1994).
Jamaica is organized into fourteen main geographical spaces, known as parishes.
See Heron (1994: Chap. 4).
See Heron (1994: Chap. 4, 34–36), for instance.
See Heron (1994: 36)
See Heron (1994: 33–34) for the social profile terminology and broader discussion of findings.
See Levy (1994, 1995) for the ideological significance of a development orientation to
popular education of the second wave, in contrast with the more “welfare” approach of first-wave
work.
See Levy (2000: 102–103, 113) about the role of these ideological frameworks.
See Hope and Timmel (1984) for examples of the role of Freirian conscientizaton and also versions
of Marxism and liberation theologies.
See Dash (1989) for the use of “melodrama” in a comment on race in the modern Caribbean. Dash’s
commentary for me is exemplary of a type of Caribbean thinking that tends to use such terms to
deflect and deride harsh representations of racial problematics.
I adapt this phrase from Soyinka (1982: 10).
See for example Thomas’s (2005) commentary on some of these features as constitutive of modern
Jamaican Blackness.
For example, I think of this absence in Levy’s (2000) contribution to investigations of Caribbean
NGO work through his valuable study of the DNGO Social Action Center that I have been
discussing here.
DILEMMAS OF RACE-REMEMORY BURIED ALIVE
20
21
22
23
24
25
26
27
See Hershatter’s (1997: 34, 393) use of the notion of a “usable past” and the related idea of when
pasts “enter into the historical record.”
This notion appears throughout Mathurin-Mair (1969).
Rudie or Rude-boy refers to a cultural form and social disposition of protest that emerged among
Black, urban, male life in western, central and eastern Kingston around the late 1950s and early
1960s. See, for example, Lewis (1997, 1998).
Mills (1989), for instance, places independence movements and other transitions happening in British
colonies in the context of cold war pressures.
See, for instance, Abrahams (2000: Chap. 10) and Lewis (1998: 112–113) for discussion of these
bannings.
These principles are discussed throughout Nettleford (1971a).
See Cooper’s (1993) use of this term.
See Girvan (1993) and Hart (1993) for this tendency in the JWL’s work.
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383
34
Momentum and melancholia
Women in higher education
internationally
Louise Morley
The melancholia of missing women
Women have become highly visible as students, or consumers of higher education, while
simultaneously remaining invisible or partially visible as leaders and knowledge producers.
Hence, there is a curious two-step of recognition and misrecognition that threatens to confuse
and confound debates on gender in the academy. Women’s under-representation in leadership is international and multi-sectoral (Davidson and Burke, 2004). Some women have
been allowed into higher education, embassy style, as micro-level representatives of a wider
diverse community. However, women continue to be benchmarked in relation to masculinist
norms, entering a matrix of declared and hidden rules. Organisational environments can create
and regulate subjectivities and identities. Inclusion and exclusion both appear to produce dangers
and opportunities. Women are simultaneously constructed as winners and losers. Winners
because they are gaining access, as students, in significant numbers, but losers because of their
lack of entitlement to leadership and prestigious disciplines. In this chapter, I will attempt to
discuss these topics in a global context.
It would be easy to rehearse yet another pessimistic repertoire of challenges for gender
equity in the academy. Gender and melancholy are often deeply connected (Butler, 2002),
with a sense of loss, hurt and grief often underpinning studies of gender and power in higher
education. Desire, as well as loss, needs to be considered. Indeed, writing on gender equality
means that we have to refer to something that does not yet exist. The tendency therefore is to
critique, rather than to engage in futurology. Questions about the desired morphology of the
university of the future seem to be eclipsed by pressing concerns in the present. The melancholia,
however, has been productive! There have been multiple questions about the obduracy of gender
inequalities in the face of equality interventions, and recognition of how gender is formed and
reformed in the spatial and temporal context of higher education. Studies have been conducted
on gender (in)sensitive pedagogy (Sandler et al., 1996; Welch, 2006); sexual harassment
(Townsley and Geist, 2000); gendered curricula and subject choices (Lapping, 2005); gendered
micropolitics (Morley, 1999); women’s access (Kwesiga, 2002), and how differing spatial and
temporal modalities impact on women’s engagement with higher education (Moss, 2006).
384
WOMEN IN HIGHER EDUCATION INTERNATIONALLY
Employment, representation and exclusion have been explored in relation to women’s limited
opportunities for promotion and professional development (Knights and Richards, 2003;
Morley et al, 2006); the under-representation of women in senior academic and administrative positions (Blackmore and Sachs, 2001; Husu, 2000), or in high-status disciplines
(Bebbington, 2002), and prestigious institutions (Dyhouse, 2003). Women’s relation to
knowledge itself has been theorised in terms of the way in which gender structures relations
of production and reproduction and is linked to knowledge construction, research opportunities
and dissemination (Mama, 1996; Spivak, 1999; Stanley, 1997). Studies have revealed how liberal
and strategic interventions for change, such as equality policies (Bagilhole, 2002; Deem et al.,
2005), and gender mainstreaming, are poorly conceptualised, understood and implemented
(Charlesworth, 2005; Morley, 2007a). All reasons to be cheerful indeed, raising questions about
what it takes to challenge the irrational mayhem of gender inequalities.
Marginson (2006) reminds us about global connectivities and how higher education is
becoming a single, worldwide arrangement. Without wishing to advocate an economy of sameness for women in different national locations, it seems that some gender inequalities are also
globalised (Morley et al., 2005). For example, there is consistently low representation of women
in positions of seniority in a range of countries in divergent cultural and geopolitical contexts
(Brooks, 1997; Morley et al., 2006; Singh, 2002, 2008). Curiously, in a culture of measurement
and audit in higher education, women’s representation in leadership is not always perceived as
sufficiently important to measure, monitor or map. International data on gender equity among
heads of universities are noticeably uneven. Since 1998, the Association of Commonwealth
Universities (ACU) has attempted to address this lack of data with five yearly analytical reports
of data (Lund 1998; Singh, 2002, 2008). Its most recent publication (Singh, 2008) reports that
in twenty-three of the thirty-five countries in the Commonwealth from which the ACU
receives gender disaggregated data, all universities are led by men (Singh, 2008: 12). The
organisation notes ‘the depressing reality . . . of a still relatively stable hierarchical pyramid
in which there are fewer and fewer women the higher up the ladder of seniority one looks’
(Garland, 2008: 4). As Figure 34.1 on page 386 shows, women’s participation in leadership of
universities in the Commonwealth has remained stable over the past decade. Throughout this
period, only one in ten vice chancellors or presidents of Commonwealth universities has been
a woman (Singh, 2008: 12).
While patterns of representation among women have remained largely unchanged in
leadership, women are faring slightly better in some academic positions (Singh, 2008). Women’s
participation as professors and associate professors has increased slightly since 1997, as Figure
34.1 shows. However, women still only comprise 15.3 per cent of professors, and 29.1 per
cent of associate professors, readers and senior lecturers across the Commonwealth.
Among Commonwealth countries, women’s participation in management and academic
leadership tends to be higher than average in high-income countries such as Australia, Canada
and the United Kingdom. Very few women are appointed as head of administration in South
Asian or African Countries (Singh, 2008).
At this stage of the argument, it might seem as if patterns of gender and leadership directly
map on to economic contexts, and that women’s under-representation in senior positions in
higher education correlates, or indeed is caused by, poverty and under-development. So, it is
worth shifting the focus to another geopolitical area.
The European Union examines systematic evidence of gender imbalances among scientists
and researchers and maps progress towards gender equity through the She Figures series launched
in 2003 (European Commission, 2006). She Figures 2006 provided gender disaggregated data
385
% female
LOUISE MORLEY
50
45
40
35
30
25
20
15
10
5
0
1997
2000
2006
Executive heads
Heads of administration
Professors
Associate Professors
Figure 34.1 Whispers of change? Women’s participation in the leadershipa of Commonwealth
universities between 1997 and 2006.
Source: Singh, 2008: 45.
a
% female
Executive heads defined as vice chancellors, presidents, rectors. Heads of administration defined as registrars,
secretaries. Professors defined as full professors only. Associate professors defined as associate professors, readers,
principal lecturers and senior lecturers.
100
90
80
70
60
50
40
30
20
10
0
Executive Heads
Australia
Heads of Administration
Ghana
India
Pakistan
Professors
Tanzania
United Kingdom
Associate Professors,
Senior Lecturers
Commonwealth
Figure 34.2 Women’s participation in management and academic leadership in selected
Commonwealth countries, 2006.
Source: Singh, 2008: 11-33.
for the twenty-five member states of the enlarged European Union and seven countries
associated with the 6th Framework Programme, namely Bulgaria, Switzerland, Iceland, Israel,
Norway, Romania and Turkey. The European Commission revealed that only 15 per cent of
those at the highest academic grade (Grade A1) in higher education in the European Union
were women (European Commission, 2006). This can be seen in UK figures. In 2006/7, women
386
WOMEN IN HIGHER EDUCATION INTERNATIONALLY
50
45
40
% Female
35
30
25
20
15
10
5
0
Finland
France
Germany
Spain
Grade A
Greece
Hungary
United
Kingdom
EU 25
Grade B
Figure 34.3 Proportion of female academic staff by gradea in the European Union, 2004.
Source: European Commission, 2006: 57.
a
Grade A: highest grade or post at which research conducted, professor. Grade B: researchers not as senior as top
position but more senior than newly qualified Ph.D. holder, e.g. associate professor, senior lecturer, senior
researcher.
comprised 42.3 per cent of academics, but only 17.5 per cent of professors in higher education
institutions in the UK (Guardian, 28 February 2008: 1).
The disappearance of women in the higher grades is evocative of Sen’s construct of ‘missing
women’ (Martin, 2008; Sen, 2003). Women disappear when power, resources and influence
increase. So a question to consider is whether gendered opportunity structures only relate to
women staff, as women students appear to be flourishing?
The momentum of women’s increased participation
One major success is the increased numbers of women entering higher education as undergraduate students. If we consider that women were barred in the UK until the late nineteenth
century (Dyhouse, 1995), this represents quantitative progress. Indeed, there is a morality to
the whole widening participation debate that suggests that a democratising state intervention
is promoting meritocratic equalisation and redistributing an unquestioned ‘good’ (Morley and
Lugg, 2009). Whatever the sociopolitical drivers, it is worth noting that, in the UK in 1995,
there were two and a half times more women in the system than in 1970–1971 (Abbott and
Wallace, 1997). Participation rates for women in higher education have increased between 1999
and 2005 in all regions of the world, with a global gender parity index of 1.05, suggesting that
there are now more undergraduate women than men in higher education (UNESCO,
2007:132). However, the increase in women’s participation has been unevenly distributed across
national and disciplinary boundaries. Women’s participation rates are higher than those of men
in North America and Europe, but lower in regions such as East Asia and the Pacific, South
and West Asia and Sub-Saharan Africa.
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LOUISE MORLEY
Globally, women students are concentrated in non-science subjects. There is still a sense of
what constitutes a gender-appropriate discipline in many high- and low-income countries, with
worldwide concern about the under-representation of women in the science, technology,
engineering and mathematics (STEM) subjects. Men predominate in subjects related to
engineering, manufacturing and construction, and maths and computer science (OECD, 2007).
In many countries, two thirds to three quarters of graduates in the fields of health, welfare and
education are women (UNESCO, 2006). Thus, women continue to be concentrated in subjects
associated with low-wage sectors of the economy, in particular health and welfare, humanities,
arts and education.
What do all these facts about women’s increased participation or exclusion add up to in
terms of how women experience the academy? I have conducted studies on the micropolitics
of academic life and frequently find that the gendered relays of power that cause the most distress
and discomfort are the everyday transactions and relations (Morley, 1999; 2006). Blending
quantitative ‘facts’ with interview data helps to reveal both the scale and the lived complexities
that structure women’s participation in higher education, as students and staff. Focusing on
everyday micro-level incidents can provide important information about more macro-focused
challenges for gender equality. The personal is political, or to use more contemporary
vocabulary, the self can become an object of reflexive knowledge (Beck and Beck-Gernsheim,
2002; Hey and Leathwood, 2007). The following sections will attempt to relate some of these
concerns to a global feminist polity.
The feminisation hysteria
An equity paradox seems to have arisen. Instead of celebrating the fact that some women have
succeeded in entering the academy in certain disciplinary and organisational locations, a moral
panic over the feminisation of higher education has emerged. Happily, some Western feminist
scholars are taking issue with popularist beliefs that women are taking over the academy and
that their newly found professional and economic independence is responsible for societal
destabilisation and a crisis in masculinity (Evans, 2008; Leathwood and Read, 2008; Quinn,
2003). The feminisation debate itself is partial and exclusionary. First, it does not include
consideration of leadership in higher education and only seems to relate to female participation
at undergraduate level in some programmes and in some geopolitical regions. Second, it is
debatable as to whether quantitative change has allowed more (or perversely less) discursive
space for gender? Third, it fails to intersect gender with other structures of inequality, including
social class; and, fourth, it silences advocacy for gender equality.
Issues of silence, voice and participation have long been a concern of feminist theorists
(Gatenby and Humphries, 1999). Speaking as a woman can mean speaking as a gendered
self that is often at odds with the putative ungendered or gender-neutral representations and
assumptions of academia (Evans, 2008). However, voice is not just about women speaking, but
about the inclusion of gender equality in policy, pedagogy and planning. In the UK, gender
is a disqualified discourse in higher education policy. Quantitative change seems to imply to
policymakers that gender is no longer an issue in a post-feminist era (Morley, 2007b). For
example, the former minister for higher education in the UK – John Denham – made a speech
about priorities for the next fifteen years, and these all relate to innovation and wealth creation,
rather than to wealth distribution, inclusion and equalities. Gender equality was not mentioned
once (Denham, 2008).
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WOMEN IN HIGHER EDUCATION INTERNATIONALLY
Transnational challenges
A criticism of much of the scholarship on academic women is that it focuses on the experiences
and voices of socio-economically privileged white women in high-income countries (Twombly,
1999). Theorising links between differently located practices can produce a sense of the patterns
and scale of gender challenges. I would like to draw, first, upon some research findings
from Morley et al. (2006). This study explored gender equity in higher education in five
Commonwealth countries. It aimed to go behind the statistics and explore women’s everyday
experiences of higher education in Nigeria, South Africa, Sri Lanka, Tanzania and Uganda.
Identifying key sites of gender-differentiated experiences of the academy was a purpose of the
research. The countries were selected for their varying national policies on gender equity and
their commitment to international policies to end discrimination against women. There were
209 interviews held with students, academic staff and managers. Observation of classrooms and
boardrooms was conducted, and statistics and policies were analysed. A noticeable finding was
how gender inequalities appear to be globalised. While transnational feminism is problematic
in terms of the diversity of women’s oppressions (Mills and Ssewakiryanga, 2002), observations
from women in low-income countries can sound remarkably similar to women’s voices in
the west.
In the study, a strong sense of a hidden curriculum emerged (Margolis, 2001). The overt
and the hidden curricula are not mutually exclusive but form a complex mechanism of production and reproduction (Apple, 1980). The hidden curriculum is irrational and contradictory.
Negative attitudes to women’s academic abilities do not correlate with their actual achievements.
One aspect of the hidden curriculum relates to the conjunction between gender and academic
ability and authority. Studies have reported how discrimination against women can involve not
taking them seriously and doubting their ability and motivation (Seymour and Hewitt, 1997).
Discrimination due to perceived incompetence is based on descriptive gender stereotypes
(Rudman and Glick, 2001). Difference is frequently expressed in terms of deficit and located
within particular bodies rather than in the ‘invisible values and assumptions structuring
curriculum and pedagogy’ (Abu El-Haj, 2003: 411).
Femaleness is repeatedly perceived as irreconcilable with intellectual authority (Shah, 2001).
In many cultures, the higher-educated woman is in antagonistic relationship to other discursive
practices. In Morley et al. (2006), there was widespread reporting of negating women’s academic
abilities and hostility from male students and staff, as a South African student illustrates:
I have also noticed how we’ve had maybe two or three female lecturers and how the
guys in our class just do not listen to them, they do not respect them. And I mean these
women are really good, they are brilliant, they know their stuff they worked hard they
have their PhDs, but guys laugh at them, ridicule them.
In an observation evocative of Spender’s early work in the UK (1982), and Brooks’ early
work in the USA (1982), the Sri Lankan team relate how their classroom observations revealed
male students receiving more pedagogical attention:
Towards the end of the lecture when the lecturer was relating real-life examples to the
theory he had been teaching, he mentioned a project the female student was involved
in and briefly asked her a question related to it but he did not give her any time to answer,
smiled and moved on to the next question very swiftly.
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LOUISE MORLEY
The Sri Lankan team also note how, generally, male students were invited to comment and
question more than females. Consequently, male students became more confident, more assertive
and relaxed than their female counterparts. This gendered interaction did not go unnoticed by
students. A Sri Lankan student describes discriminatory behaviour from some male lecturers:
There are some who try to put the women down by asking a question and then laughing
at us when we can’t answer it, or ask something just to put us down.
The gendering of pedagogical interactions poses questions about the full meaning of the concept
of women’s participation.
Women students in Morley et al. (2006) were also perceived as impeded by internalised
oppression, i.e. their interior worlds or psychic narratives that constantly played recordings
of inferiority. Women’s academic self-worth was often presented as fragile and unstable. A
Ugandan student states:
The problem most girls have is lack of confidence.
A Sri Lankan policymaker in Morley et al. (2006) also attributed the low level of women
in management to women’s reluctance to apply for the posts:
Managerial posts are not held by women in large numbers. In universities, if you take
generally speaking how many heads of departments are females . . . no not even 20 per
cent are held by the females . . . That is because they don’t come forward. That is the
reason.
The problem with affective explanations and attributing problems to psychic narratives, such
as lack of self-confidence, is that they suggest that women are in deficit and lacking the personal
attributes to succeed. Cognitive, rather than organisational, restructuring is seen as the solution.
Problems that are largely collective and social are individuated. It represents the privatisation
of the public. The myth of meritocracy is reinforced. As Knights and Richards (2003: 218)
suggest:
Meritocracy has the power to pass the responsibility for unequal outcomes back onto the
individual and therefore to stigmatize the unsuccessful as incompetent or incapable.
The power relations that create structures and barriers and, indeed, that undermine women’s
confidence in their abilities, are overlooked. By offering very conventional indicators of
professional success, it also marks out women as losers who prefer not to occupy managerial
roles.
The gendering of academic ability has been a theme that has emerged in my recent study
on widening participation in higher education in Ghana and Tanzania (Morley et al., 2009).2
This study utilises statistical data, life history interviews with 200 students and semi-structured
interviews with 200 staff in two public and two private universities. It focuses on how gender
and socio-economic status intersect and constrain or facilitate participation in higher education.
The interview data so far suggest that any activity that is perceived as difficult is seen to be
inappropriate for women. A Tanzanian female student describes how female students frequently
believe that they need to be academically rescued by male students:
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WOMEN IN HIGHER EDUCATION INTERNATIONALLY
You know that for example this question is tough and only boys can tackle it . . . and a
girl cannot, and we have to look for a boy, who we think can tackle it.
Success criteria for gender equality frequently relate to women’s increased participation in
male-dominated areas. It is almost if, by working and studying with men, there will be
disidentification with the inferior world of women and a type of positive contagion of male
values and behaviours. Success is constructed as crossing a gendered threshold to become more
like a man, rather than removing the gendered code from the activity.
Hegemonic codes of femininity and masculinity continue to influence subject choice
(Lapping, 2005). Women are constructed as poor choosers when it comes to academic
disciplines. Their entry into ‘non-traditional’ disciplines is seen as a form of empowerment and,
hence, a cause for celebration. In Tanzania especially, where affirmative action interventions
have created access or pre-entry programmes for women to enter science, quantitative change
is widely acknowledged as success. Women’s academic identities are frequently constructed in
terms of remediation or absence. A Tanzanian Dean of a Science Faculty discusses women’s
under-representation in high-status disciplines:
When it comes to gender, I think it’s the girls who are not well represented particularly
in some disciplines. Sciences is less than fifteen percent . . . When it comes to Physics,
Mathematics, Geology there is huge imbalance between the girls and boys . . . In
Mathematics it could be up to . . . you know between eighty and twenty percent. Even
in Geology you know twenty percent girls, eighty percent boys.
Under-representation usually features in relation to certain high-status STEM subject areas.
Men’s under-representation in female-dominated disciplines is rarely mentioned in policy terms.
The question of what and where women are accessing can also be related to the type of higher
education institution (HEI). In Ghana, women comprise 35 per cent of the overall university
population (NCTE, 2006a,b), although they make up 41 per cent of the students in private higher
education (NCTE, 2006b). In Tanzania, 33 per cent of the overall undergraduate population
is female, with women comprising 38 per cent of students in private higher education (Ministry
of Higher Education, Science and Technology (MHEST), 2006). If rates of participation for
women are higher in lower-status private higher education, this poses questions about core and
periphery provision. Socially disadvantaged groups could be getting diverted into peripheral
higher education, thus reinforcing stratification of the sector and social differentiation. In this
analysis, widening participation in higher education can be conceptualised as a process of diversion, i.e. a rerouting of members of socially disadvantaged groups into lower-status institutions
in order to reserve the higher-status universities for the elite (David, 2007). ‘Buying an education
becomes a substitute for getting an education’ (Kenway et al., 1993: 116).
Policy evaporation
An ongoing source of grief and melancholy for many feminist scholars is the way in which
policy commitments to gender can evaporate during implementation (Goetz, 1997; Longwe,
1995). In the UK, gender is no longer included in higher education policy. Elsewhere, there
are gender policies that fail to be implemented. In Ghana, an academic relates how gender
remains at the level of policy text, with no strategic implementation plans:
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LOUISE MORLEY
They are all making any noises about tertiary education. All they said was they
recommended 50–50 and that was it, that was it . . . The only one I can think of is with
regard to women, it’s a little bit more of lip service, if anything.
These observations about the implementation gap are evocative of findings from a UKbased study that I conducted with Rosemary Deem and Anwar Tlili (Deem et al., 2005: Deem,
2008). The research involved six case studies of higher education institutions across England,
Scotland and Wales. The project’s aims included exploring staff experiences of equity issues
and institutional equity policies. A central finding was that, although all six institutions studied
had equal opportunities policies in place, not all the policies were comprehensive, completely
up to date or easy to understand. Policies were often communicated to staff via email, which
may not reach those with email overload or staff with no computer access at work. Some policies
gave the impression of often having been reactively rather than proactively constructed and
with an eye to compliance with legislation rather than empowerment of the work force and
enhancement of their working conditions. Staff were wary of utilising grievance procedures
for fear of recrimination and professional suicide. The policies were not integrated into strategic
management, and there was little action planning or pro-activity. The problem of senior and
middle management inactivity was observed by an academic trade union representative from
one university, who felt that, for some, it was sufficient simply to note the numbers rather than
take any action to rectify under-representation:
Now on sex equality last year there was a round of promotions to principal lecturer and,
it was noted that I think the proportion of women who applied, as compared to the
proportion of women employed, and the proportion of women I think, was one out of
six appointees. And the personnel office simply in their report, noted the numbers. But
we tried to push them to think about what might they do about it but they were quite
content to just note the disparity between the number of women employed in the
academic role and the outcome of this round.
Many of the staff that we interviewed frequently noted how policies existed at a textual
level – often to meet the requirements of audit and funding bodies – rather than building
momentum at the grassroots level of day-to-day work.
Conclusion
Women’s exclusion from higher education is a historical injustice sometimes framed today in
terms of a human rights violation. Today, women are participating, in increasing numbers, in
higher education, in a range of national locations. Yet, women’s academic identities are often
forged in otherness, as strangers in opposition to (privileged) men’s belonging and entitlement.
This means that gender in higher education is often encoded in a range of formal and informal
signs, practices and networks. The gender debates are full of contradictions. Quantitative targets
to let more women into higher education can fail, or be meaningless, while femaleness continues
to be socially constructed as second-class citizenship. Women are positioned as holding back
as a consequence of low confidence and self-esteem, while simultaneously threatening to take
over or feminise (and, hence, devalue) the sacred space of academe. A further contradiction
between policy as text and as lived experience is a noticeable feature of gender architecture.
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WOMEN IN HIGHER EDUCATION INTERNATIONALLY
Policy interventions, including gender mainstreaming and gender equality, suggest that now
gender sensitivity and strategic actions should be everywhere – including the curriculum,
management and resourcing of academic life – yet informants in my studies report that it is
nowhere!
Feminist scholars and researchers will continue to critique, theorise, audit and grieve power
and privilege in higher education, as it is a major site of cultural practice, identity formation
and symbolic control. Whereas the former UK minister for higher education (Denham, 2008)
has a wish list for the next fifteen years that includes the expansion of technology, innovation
and research-based wealth creation, we also need to build on the momentum of women’s
increased participation and imagine or re-imagine a different future.
Notes
1
2
Grade A as a marker of seniority corresponds to ‘full professor’ of the highest grade/post at which
research is normally conducted (European Commission, 2006: 50).
For further information, see www.sussex.ac.uk/education/wideningparticipation.
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35
Sociology, social class and education
Diane Reay
Introduction
The relationship between the educational system and social class inequalities is one of the most
fundamental issues in the sociology of education. Schools have been held up as both the means
of achieving equality in society but also as centrally implicated in the reproduction of inequalities.
So we are confronted with a conundrum. How is schooling to be understood in relation to
social class? Is it a source of social mobility or even emancipation for the working classes or
does it remain a means of controlling the lower orders and maintaining upper- and middleclass advantage? What is clear is that sociology has struggled to understand the complexities of,
let alone provide solutions for, social class inequalities in education.
A variety of causes for educational inequalities, together with possible ways of addressing
them, have been posited over the last seventy years. These can be divided into three main
approaches. The first focuses on internal school factors, exemplified most recently in the school
effectiveness and improvement movement (Hallinger and Heck, 1998). Enshrined in this
internalist perspective is the view that schools can and do make a difference to social class
inequalities, that a focus on improving practice at the micro level of school and classroom is
enough. However, this approach, which was at its most popular in the 1990s, is on the wane,
as increasingly research states that the effectiveness of schooling in addressing social class
inequalities is relatively small. Olive Banks’ conclusion in 1955, repeated in 1970 by Basil
Bernstein, that schools have limited capacity to compensate for economic and social inequalities
is being borne out in contemporary research across the globe (Cassen and Kingdon, 2007;
Freeman-Moir and Scott, 2003; Gamoran, 2007; McLeod and Yates, 2006). Furthermore, the
worrying tendency has been for such approaches, especially in their interpretation by media
and politicians, to degenerate into blaming teachers, without any recognition of the impact of
wider external influences. There remains a lack of consensus about the extent of the role schools
play in social class inequalities. However, what is now generally agreed is that internal
educational processes are not in themselves sufficient to explain class inequalities in education.
As Gamoran (2007) succinctly points out in relation to the US, differences in school
performance are rooted in inequalities that lie outside the school, and, as long as wider social
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inequalities persist, so will educational inequalities. More influential within sociology have been
factors that are seen to be external to schooling, ranging from the labour market to workingclass culture. However, here too a blame culture has often been in evidence. Within this
externalist perspective, the working-class family is often positioned as the villain. With
depressing frequency, the media, politicians and even academics have tended to focus on
interpretations that view the working classes in terms of a range of cultural deficits that are then
portrayed as the reasons for working-class underachievement. Most position the working classes
as either victims or deficient in one way or another, and nearly all focus on the home as the
locus of class practices.
In both the two approaches outlined above, states shift the blame for educational inequalities
from themselves onto individual schools, parents and children (Apple, 2003). The third
approach, which spans internal and external causes, concentrates on educational policy as key
to remediating social class inequalities. However, here sociological understandings come up
against the fluctuating presence of class in educational policy, a case of ‘now you see it, now
you don’t’. Too often within political elites, a commonsense view of social class, namely that
we are all classless now, is espoused. Across the globe, class inequalities become overlaid, and
partially masked, by dominant discourses, for example of race in the US and rurality in China
and Latin America. This other terminology works to bury class as a key marker of educational
inequality. The consequence is that all too often social class does not count within education.
So, in different countries at different times, in some policies but not in others, social class is
recognised as a problem to be addressed in educational policy. Currently, the main discourse
within education is one that uses the language of social exclusion, yet another way of avoiding
social class. As a result, within educational policy the main division is seen to lie between
deprived minorities on the one hand and a large mainstream on the other.
However, even when policymakers and politicians recognise the importance of social class
in education, there is often contestation, primarily between policymakers and academics, as to
whether educational policy can make a difference to social class inequalities in education. While
politicians and policymakers are increasingly preoccupied with targeting policies to address class
inequalities, research over the last half century indicates that ‘in most places at most times,
educational policy has contributed relatively little, if anything, to reducing social inequalities’
(Paterson and Iannelli, 2007: 330). In fact, depressingly, much of the research evidence indicates
that current policy initiatives are worsening rather than improving social class inequalities. So
research focusing on policies that impact on internal aspects of schooling, such as assessment
(Reay and Wiliam, 1999) and tracking, setting and streaming (Gillborn and Youdell, 2000;
Kelly, 2007; Oakes, 1985), illustrate the ways in which school processes of testing, tracking
and streaming result in inequitable outcomes for students that remain strongly related to social
class. Similarly, research on marketisation and selection policies reveals polarised educational
systems, with the high-achieving, well-resourced, popular schools with largely middle-class
intakes at the top of school league tables, while less successful, unpopular schools with mainly
working-class students are clustered at, or near, the bottom (Ball, 2003; Brantlinger, 2004).
In this brief overview, I have separated out these three approaches, but they are also to a
degree overlapping. So some key educational policies such as No Child Left Behind in the US
and Sure Start in the UK specifically target the working-class home and are premised on a
cultural deficit view of working-class families, while there is a fuzziness between school level
and wider systemic educational policies. In the next section I attempt to bridge internalist,
externalist and policy-centred approaches through a focus on social class experiences of
education that centres dimensions of the relationship that are often muted in contemporary
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accounts. I want to argue that we cannot begin to make adequate sense of contemporary class
relationships to schooling until we include notions of temporality, spatiality and relationality.
The past in the present: a brief history of social class in
education
In relation to temporality, class relationships to education constitute a significant continuation
of the past in the present (Teese et al., 2007). Freeman-Moir and Scott’s (2003: 10) retrospective
analysis of the last half of the twentieth century concluded that, under the most favourable
possible conditions, even the most liberal of capitalist societies still operated with educational
systems that restricted access and achievement for working-class children in myriad ways. In
relation to social class mobility, education across the globe is still about social reproduction and
reinforcing the status quo. The reasons are of course partly economic: it remains a question of
the level of resources, material as well as cultural, that families can bring to their relationship
with schooling. But there remain issues of representation and othering that both feed into and
are fed by social and economic inequalities. Any notion of education as liberatory has always
been undermined by ruling elites’ instrumental view of education as a form of control of the
working classes.
A focus on temporality centres not only collective class trajectories but also family histories.
The working classes bring to their experience of schooling family memories of educational
subordination and marginalisation. Children negotiate schooling not only directly through their
own experiences but also through the sedimented experiences of parents and even grandparents.
Ruth Lupton’s (2004) research in the UK and Annette Lareau’s (2003) in the US found that
working-class families’ expectations of social mobility through education are often minimal,
conditioned by their own experiences over several generations.
Specificities of historical time are also critical in understanding class relationships to education.
Paul Willis’s (1977) lads were leaving school in the late 1960s and early 1970s, at a time when
there was a buoyant labour market with an abundance of male manual jobs in the UK. Their
oppositional rejection of schooling was, in part, made possible by the opportunities awaiting
them in the labour market. The American working-class young men in Lois Weis’s (1990)
Working class without work were dealing with very different economic conditions. Their more
positive attitudes to schooling and desires for credentials were, in part, a response to the lack
of working-class male jobs in the US economy of the 1980s. And economic conditions have
also changed dramatically in the UK and much of Europe over the last forty years. While the
working classes in the global South remain outsiders in education, across the global North
(Connell, 2007), they often resemble Bourdieu’s ‘outcasts on the inside’. The current global
economic recession and changing labour market demographics leave them trapped in schooling,
and increasingly further and higher education, because there is no longer sufficient non-degree
employment.
Middle-class relationships to education, while maintaining many common features with the
past, have also evolved in response to an increasingly competitive globalised labour market (Ball,
2003; Raveaud and van Zanten, 2007). The middle classes have had to engage in more and
more academic, practical and emotional work in order to ensure their social advantage (Lareau,
2003; Reay, 1998). Middle-class relationships to schooling, particularly in the inner cities, have
become characterised by high levels of anxiety. Here, as with the working classes, relationships
to education have changed along with economic conditions. In particular, the premium put
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on educational credentials has grown as graduate jobs have diminished relative to the number
of graduates.
While economic circumstances change, the negativity with which the working classes are
viewed within education does not. It is this historical legacy of being the inferior ‘other’ within
education that resonates in the present. Deference always has been, and still is, expected of the
working classes (McDowell, 2007). In fact, what is surprising is that some of the working classes
still make enormous efforts to succeed educationally in educational systems that hold little
prospect of a positive academic outcome. The working classes across the globe continue to
have access to relatively low levels of the kind of material, cultural and psychological resources
that aid educational success. Most can neither afford the private tuition and the enriching cultural
activities that many middle-class parents invest in for their children, nor do they have the same
degree of confidence and sense of entitlement that the middle classes possess in their interactions
with schooling. So the negative representations and othering that characterised the past continue
in the present. This lack of positive images of the working classes contributes to them being
disqualified and inadequately supported educationally. Just as the tendency has been to locate
behavioural problems in minority ethnic rather than white students, so the working class across
ethnicity has become the universal repository of educational failure. But educational success
and failure are necessarily relational. Those who succeed do so at the expense of others’ failure.
In the next section I examine relationality and its contribution to class experiences of schooling.
Schooling: a classed culture of winners and losers
In place of ‘the usual suspects’, namely either working-class culture or ‘failing’ schools that
invariably have predominantly working-class intakes as key to working-class failure, a focus on
relational aspects of educational achievement reveals the crucial role of power within education.
And, as Wilkinson and Pickett (2009) point out, educational failure becomes more prevalent
as societies become more unequal. Under the new educational hegemony, we have all become
personally responsible for our own educational success and social mobility. Within the highly
individualised and competitive cultures that characterise the global North (Connell, 2007), large
sections of the working classes are pathologised as unmotivated, unambitious and underachieving.
The irony is that the rhetoric of social mobility and equal opportunities within education has
increased in volume and intensity as both have become less possible in practice. The objective
of many middle-class parents is to ensure that their children are educational winners, but not
all children can be winners, and the provision of systems that cater for winners also helps reinforce
the position of losers (Butler and Hamnett, 2007: 1166). We cannot all succeed academically.
If we did, what counts now as educational success would lose its value. Neither is there any
glimmer of recognition that the middle classes’ intense and increasingly anxious preoccupation
with educational achievement can be as damaging as working-class underachievement.
Numerous studies indicate that one of the key lessons middle-class children learn is that failure
is intolerable, unwanted and belongs somewhere else. We can glimpse this in what white middleclass Camilla says about class differences in her multi-ethnic London state secondary school:
I had everything that the working-class kids didn’t have. You know everything that my
mum and dad had given me and I was more intelligent than they were and there was
more going for me than there was for them. And I think also because my mum and dad
had achieved so much I think I probably felt quite second rate to them and being friends
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with these people made me feel like the one you know who was achieving you know
and was superior to them.
(Camilla)
Here we are presented with the pervasive middle-class sense of intellectual superiority. Camilla
was part of the sample in an ESRC project on the white middle classes sending their children
to urban comprehensives in England. In the 250 transcripts, there were 574 allusions to ‘being
bright’, all references to white middle-class students and their friends. This monopolising of
‘brightness’ by the middle classes within schooling yet again positions the working classes across
ethnicity as the ‘lesser other’ within educational systems.
I am going to draw briefly on a number of empirical research projects, in order to further
highlight relationality and the ways in which students experience a zero sum game in which
one child’s educational success too often means another child’s sense of educational failure.
They also illustrate what I have called the psychosocial dimension of class in education (Reay,
2005, 2008). The two quotes below, both from working-class students, one in the US and the
others in the UK, are infused with a potent sense of unfairness and unequal treatment:
Girl: What I don’t like about my school is how they treat us like animals, like they cage
us up and like they keep putting more gates and more locks and stuff though they expect
us to act like humans.
(US quote from Fine et al., 2007: 229)
And:
Martin: Teachers look down on you.
David: Yeah, like they think you’re dumb.
David: We don’t expect them to treat us like their own children? They’re not. But we
are still kids. I’d say to them ‘you’ve got kids. You treat them with love but you don’t
need to love us. All you need to do is treat us like humans.
(UK quote from Reay, 2006: 297)
In both quotes we can see powerfully how the system of value that produces the middle
classes as valuable, academic stars simultaneously generates a working class that is represented
as incapable of having a self with value (Skeggs, 2004). While entitlement and access to resources
for making a self with value are central to how the middle classes are formed within education,
the consequence is too often a residualised, valueless working class. Class destinies in the twentyfirst century remain tied to academic achievement. Furthermore, class has entered psychological
categories as a way of socially regulating normativity and pathology within the educational
field. However, although children expressed anxieties about school achievement across class
differences, in the studies on which I am drawing it was not the white middle-class boys
panicking about being exposed as no good through school tracking, testing and assessment
procedures. Rather, it was the black and white working-class girls agonising that they would
be ‘a nothing’ (Reay and Wiliam, 1999). Working-class students, such as the girl in Michelle
Fine and her colleagues’ study, and the two boys in my UK study with Madeleine Arnot (Reay,
2006), inhabit a psychic economy of class defined by fear, anxiety and unease, where failure
looms large, and success is elusive, a space where they are positioned, and see themselves as
losers in the intense competition that education has become.
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Relationality raises issues not only pertaining to the relationships between classes but also
of how different aspects of identity co-exist within class. At the most basic level, class is always
gendered and raced. This is evident in the extent to which girls across class express higher levels
of anxiety about educational performance than boys (Arnot et al., 1999). Of course there are
an array of intersectionalities that cross-cut class. Social classes are striated not only by gender,
ethnicity, sexuality and (dis)ability but also by differing class fractions. Relations differ widely
in terms of how different groupings within the same class position themselves and are positioned
by others, and in terms of how their relationships to education have evolved. So to take one
example, the white working class have a different relationship to education to many minority
ethnic working-class groups. While the white working classes, as we have seen in the earlier
section on temporality, often bring a collective memory of educational subordination and
marginalization to schooling, some minority ethnic groups in the global North bring histories
of educational achievement in their countries of origin, although migration has often brought
economic impoverishment and downward mobility. Others, despite a lack of educational
credentials, bring a strong conviction that a fresh start in a new educational system will provide
crucial opportunities for educational advancement that were denied to their parents. Yet other
ME groups, such as the African Caribbean in the UK, have, like their white working-class
peers, learnt to live with educational failure, compounded, in their case, by racism. And these
different ethnic groups are viewed very differently within the white middle-class imaginary,
with the white working class regularly ethnicised as too white and labelled as white trash (Wray
and Newitz, 1997), while some minority ethnic groups, such as the Chinese and Indians, are
singled out as the acceptable face of working classness (Archer and Francis, 2006) – the socalled ‘model minorities’ (Leonardo, 2004).
Geographies of schooling: classed places and spaces
Finally we need to examine the extent to which place and space generate unequal classed
relationships to schooling. Spatial protection and insulation have become a key strategy of the
white middle classes in protecting their children, and their academic achievement, from classed
others. For example, the private school system in the UK has historically been an effective
mechanism for the affluent middle classes to separate their children off from polluting differences.
But spatial separations are increasingly operating within a range of educational systems that crisscross the globe (see, for example, Gulson (2007) in relation to the Australian educational system
and Thrupp (2007) in relation to New Zealand). As Beverley Skeggs points out (2004: 15), in
the twenty first century ‘geographical referencing is one of the contemporary shorthand ways
of speaking class’. This geographical referencing is particularly visible in schooling. The
emergence of predominantly working-class schools as deprived, failing and disadvantaged and
so needing either remediation or closing down has become a pervasive feature of educational
debates, particularly in the US, Australia and the UK.
Recent research (Narodowski and Nores, 2002) provides many examples of educational
spacialisation as schools are represented as either ‘good’ or ‘bad’ places by the media, the general
public and school students themselves. As Brantlinger (2004) points out in the US context,
increased emphasis on parental choice and diversity of school provision has allowed middleclass parents and schools to choose one another, leaving the working classes stranded in an
increasingly segregated system mediated in many cases by housing costs and the ability to move
house.
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Over and above processes of increasing segregation and polarisation, education markets have
an everyday spatial–temporal quality that varies between classes (Ball et al., 1995). A rich body
of research reveals relationships to both time (Reay et al., 2005; Vincent and Ball, 2006) and
space (Butler and Robson, 2003; Gewirtz et al., 1995; Reay et al., 2007) vary both across,
and within, the working and middle classes. The middle classes are future-oriented. As Ball
(2003: 163) argues, ‘middle-class ontologies are founded upon incompleteness, they are about
becoming, about the developmental self, about making something of yourself, realising yourself,
realising your potential’. This encapsulates the middle-class relationship to schooling. It is about
‘the making of the middle-class self ’. In contrast, we could argue that schooling is about ‘the
unmaking of the working classes’. The working classes often lack the resources and requisite
confidence for the futurity that characterises the middle classes. Time richness and poverty are
also key, with the working classes relatively constrained in terms of how much time they can
devote to their children’s education. Different class groupings also have very different relationships to the local. While working-class groups are more likely to envisage their children’s careers
developing within a familiar locality and in familiar ways, the middle classes tend to have a
more cosmopolitan orientation, characterised by an investment in children moving beyond the
local into unfamiliar spheres and possibilities (Moore, 2004).
Such class relationships to educational places and spaces are all part of the ways in which,
across the globe, economic inequalities become internalised, embodied in both those advantaged
by the economic and social status quo and those who are disadvantaged. This lived experience
of class varies across time and place, so class is experienced in different ways in different national
contexts. The rural poor in China and the urban working class in the UK have very different
classed relationships to education but share ‘injuries of class’ (Sennett and Cobb, 1970) that
come from being educational outcasts (Bourdieu, 1999). Despite a continuing pervasive denial
of class, it lies at the core of individuals’ relationships to education, and a key sociological task
is to uncover and understand its many varied manifestations. Only then can the gross educational
inequalities class generates begin to be addressed.
Conclusion
History, geography and the relationships between social classes, as well as within them, are key
to understanding not only social class inequalities in education but also the substance and texture
of those inequalities; how they are enacted and experienced on an everyday basis in different
cultural and national contexts. The history of educational systems (see, for example, Green,
1990) focuses our attention on the continuities, the ways in which social class inequalities are
perpetuated despite changing economic conditions, and very different educational systems to
those of a hundred, fifty, even twenty years ago.
A focus on spatiality emphasises the differences both within social classes as well as between
them, revealing the differing forms of class inequalities across educational spaces and places.
Clearly, class takes on a very different form and texture in Croatia to, say, Chile. And within
different national contexts, the experience of educational inequalities of a working-class child
in a predominantly working-class school is qualitatively different to that of the working-class
child in a predominantly middle-class school. Geography increasingly matters within educational systems as diversity within schooling proliferates (Tomlinson, 2005) and segregation and
polarisation increase (Söderström and Uusitalo, 2005; Webber and Butler, 2007). However,
we also need to focus on class relationships within schooling in order to grasp the part education
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plays in social class inequalities. Increasingly, educational systems across the globe enshrine an
educational competition premised on middle-class levels of resources and defined by rules that
advantage the middle classes. As I have argued earlier, too often, for too long and across too
many educational spaces, education has been about the making of one class at the cost of the
unmaking of another.
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36
Interfaces between the sociology
of education and the studies
about youth in Brazil
Marília Pontes Sposito
Translation: Jessé Rebello de Souza Junior and Sophia Marzouk
The birth of sociology in Brazil and the studies about education have clustered, since the mid
twentieth century, around several centers of research, many of which were dismantled by the
authoritarian regime of the 1960s. Part of that tradition, which will be examined in this text,
refers to a heuristic and suggestive way of articulating the interfaces between the sociology of
education and the studies on youth that must be considered these days. It is not a case, therefore,
of carrying out an appraisal of the vast sociological production about education in Brazil
developed in recent years, but of problematizing important perspectives that have been guiding
the development of this discipline in this country.1
In the 1950s, the budding sociological reflection, particularly that practiced in São Paulo
under the guidance of Florestan Fernandes, considered that the specific domains of sociology—
education, labor, culture, among others—should not imply excessive segmentation and
specialization:
As in any science, the sociological methods can be applied to the investigation and
explanation of any particular social phenomenon without, for that reason, making it
necessary to admit the existence of a special discipline with its own object and problems!
. . . In other aspects the more or less free usage of such expressions facilitates the
identification of the content of the contributions, thereby simplifying the relations of the
author to the public. This seems to be sufficient to justify their usage, once the intention
of indefinitely subdividing the fields of Sociology lacks logical sense.
(Fernandes, 1960: 29–30)
At that time, those guidelines were intended to understand the Brazilian society from the
perspective of its historical singularity, an attitude that demanded a position of critical dialogue
in the incorporation of the theories produced abroad. The sociologists of the so-called São
Paulo School of Sociology were concerned with the issue of underdevelopment and
consequently with questions related to development, but they defended a breakaway from the
predominant dualist view that saw social change as part of a continuum that moved from
underdevelopment to modernization. Thus, Brazil was seen as a peculiar form of realization of the
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capitalist system where the economic vitality did not exclude, but rather associated with, the
archaic elements of organization of the society and the persistent forms of inequality. The tensions were therefore not conceived as anomie, but as constitutive elements of society.
History and totality were the hallmarks of these theoretical–methodological guidelines, that
is, it was necessary to understand the historical specificity of the Brazilian society in its multiple
dimensions (political, economic, and cultural) (Bastos, 2002; Martins, 1998).
From this spectrum of orientations emerge the first works about the school institution, which
takes center stage in the reflections of the sociology of education practiced in Brazil. However,
these studies limited their concerns to the scenario of the recent processes of migration,
industrialization, and urbanization, which brought to the school life a series of tensions that
required analysis (Pereira, 1967, 1971, 1976).
At that time, an important text for research about the school, put forward in 1953 by Antonio
Candido, already disclosed Durkheim’s pedagogical illusion, which in its formulation defined
the educational act as the unilateral action of the adult generation upon the immature,
considered as a “clean slate” (Durkheim, 1970). It examined, and this may be the pioneering
and most stimulating aspect of Candido’s analyses, the conflictive potential and the tensions
that were to exist in the relations between the adult generations and those under education,
the latter offering resistance to the educational work carried out by the former.
Candido proposed study of the sociability inherent in the group of students and investigation
of their expectations, which were not exhausted by the formal relationships predicted by the
institution, and limited to the processes of teaching–learning. There is already at that point an
analytical opening to the examination of aspects of school life that related to forms of student
sociability that could be interfering with the life of the institution. He proposed an analytical
perspective sufficiently open to less institutionalized and visible dimensions of school life, which
were recovered by the sociology of education only after the 1970s, with the crises of explanations
of purely structural slant within the context of theories about the school.2
The same theoretical and methodological inspiration—the historical singularity of Brazilian
society and the totality of social processes—was present in the first studies about youths in Brazil.
One of the central ideas of this perspective, which clearly produced a way of constructing the
research problems, lay on the premise that, from the periphery and margins, one would better
understand the movement of society as a whole, making it possible to inspect the principles
that structure it (Bastos, 2002: 184). By situating youth as a social category, inspired by Karl
Mannheim (Mannheim, 1968, 1973), Marialice Foracchi examined in her works the relative
marginality of youngsters before the social structure and centers of power. Along these lines,
her research positioned Brazilian university students as emerging actors in a dependent society
who became protagonists of the political radicalism of the student movement of the 1960s
(Foracchi, 1965, 1972).
The theme of juvenile radicalism was also investigated by Octavio Ianni in the 1960s, when
he proposed the strong interrelation between the history of the capitalist regime and the history
of the political awakening of the youth (Ianni, 1968). Thus, for these authors, the singularity
of youth as a social category would contain the omissions, benefits, and tensions of a social
configuration, because youth would represent the social category upon which “the crisis of the
system falls in a particular way” (Foracchi, 1972).
Based on such framing of the historical problems and of the totality of the conditions that
constitute the cultural and social specificities of Brazil, the interfaces between the sociology of
education and youth are made clear, taking this theoretical–methodological assumption as a
point of departure. These orientations refused an inadequate specialization of the sociological
406
SOCIOLOGY OF EDUCATION AND YOUTH IN BRAZIL
studies that were then being initiated both in the sociology of education and in the sociology
of youth.
In the 1970s, when graduate studies were being structured in Brazil, the sociology of
education reappears, albeit with significant difficulties to establish itself as a field of study (Cunha,
1981, 1992, 1994; Gouveia, 1989). Several studies were already pointing out these limitations,
because some of the dilemmas experienced by academic research were due to difficulties in
understanding the singularities of Brazilian society and of its system of education, in addition
to the lack of deeper discussion about the theoretical frameworks, often born abroad, which
founded the investigations. At any rate, the research centered around the processes of school
inequalities, although the sociology of education could cover an extremely wide field beyond
the school format, for “the mechanisms through which a society transmits to its members the
knowledges, the know-how, and the know-how-to-be that it regards as necessary to its
reproduction are of infinite variety” (Duru-Bellat and van Zanten, 1992: 1).3
With the birth of the new sociology of education in England after the studies about
curriculum and language developed by Michel Young (1971) and Basil Bernstein (1975) in the
early 1970s, and with the theoretical diversification of the 1980s through the incorporation of
interactionist and ethnographic perspectives, the interest in the school institution persists.
However, the research and analyses shift to the processes internal to the institution, attempting
to understand how the routines, practices, modes of teaching and learning, the selection of
contents, and the interactions in the classroom between teachers and pupils constitute elements
of control, establish power relations, and engender inequalities, not just related to social classes,
but also of ethnical and gender origin (Zago et al., 2003).
In Brazil, the emphases on the micro social situations favored by these researches renewed
the sociological studies about the school, albeit with quite uneven results. The widening of
theoretical frameworks also raised criticisms due to the clear difficulties in articulating the
perspectives around a careful study of the school institution with the wider processes of
a structural nature, as stated by Zaia Brandão in the field of educational research in Brazil
(Brandão, 2002).
At any rate, the expanded theoretical arch and the new studies developed alongside the
movement for the democratization of the country, reincorporating into the public debate the
relevance of school education as a democratic right and the need to investigate and propose
deep changes in school practices, thereby preventing the more perverse elements of the school
system in what concerns the reproduction of inequalities.
The majority of studies about the school developed by the sociology of education in Brazil
for some decades have not offered elements for the study of an important part of the school
educational processes: the pupil. In its development, the sociological research about the school
has increasingly been faced with the elements that constitute the school practices and in them
the pupil’s situation, obscured or absent in most analyses. In this period, an intense process of
expansion of opportunities of access to schooling takes place, alongside the recognition of the
crises in efficacy of the socializing action of the school institution, that is, aspects of the cultural
and social domination and reproduction would be affected by the current school organization
and its new public.4 Somehow, the students became a problem for the practices and processes
of cultural and social reproduction, and demanded a new perspective in the field of research.5
In this way, the studies that constituted the school reality as an object of analysis gradually
turned to the examination of the pupil, reinforcing that set of possibilities proposed by Candido
in the 1950s. As observed by Duru-Bellat and Agnes van Zanten, the situation of being a pupil
must be a problematic object of investigation in the context of the sociological study of the
407
MARÍLIA PONTES SPOSITO
school: one is not born a pupil; one becomes a pupil (1992). In order to consider such a perspective,
at least three assumptions are needed: the dissociation between teaching and learning, which
gives rise to the notion of school work to be carried out by children and youngsters; the
recognition that this work by the pupil is not limited to respond to the explicit demands inscribed
in the official programs and regulations, but to the implicit expectations of the institution and
teachers. In this case, it is important to integrate the perceptions elaborated by the student in
his/her extra-school socialization in the family and others spheres, with emphasis on the
orientations that derive, not just from their social or ethnical origin, but from the fact of having
been born male or female. Finally, the third assumption is “the need to recognize that the pupil is
also expression of a peculiar form of his/her insertion in the life cycle—the childhood and youth—
specific categories endowed with relative autonomy in society and in the sociological literature” (DuruBellat and Van Zanten, 1992: 179; our emphasis).
Around the investigation of the situation of the pupil (Perrenoud, 1994; Sacristan, 2005)
and of the multiple agencies that constitute nowadays his/her process of socialization, some
investigations are thus resumed about the youth in Brazil, particularly in the field of education.
It aims therefore at thinking beyond the pupil, about the juvenile experience as a social condition
built and rebuilt from vectors inscribed in social, gender, and ethnic-racial inequalities of
contemporary society.
Partly owing to the loss of the monopoly of the process of educating new generations, as
already observed, and also because of the internal characteristics of the current school systems,
which are incapable of responding to the new challenges posed by their expansion, reflection
about the school has been accompanied by a certain diagnostic of its crisis in which violence
would be one of its main expressions (Sposito, 1998, 2001).6
The new public attending schools, mainly adolescents and youngsters, constitute an ever
more autonomous universe of interactions within these, removed from the institutional
references and bringing again in its specificity the need of a non-school perspective in the study
of the school, what Barrère and Martuccelli (2000) call the non-school path. According to these
authors, the autonomization of an adolescent sub-culture engenders for the pupils of mass
education a reticence or opposition to the action of the normative school universe, which is
itself in crisis. The school gradually ceases to be molded only by the criteria of adult sociability
and witnesses the diffusion of the adolescent criteria of sociability, which demand a peculiar
way of understanding and investigation (Barrère and Martuccelli, 2000: 256).
A consolidated idea in the studies of youth regards the fact that the modern juvenile condition
would follow from the effects of the expansion of schooling and from the gradual withdrawal
of children and youngsters from the world of labor, in such way that some authors state that
“schooling creates youth” (Fanfani, 2006; Parsons, 1974). However, since the expansion of
schooling in Brazil is recent, considering that in the last fifty years a significant fraction of the
Brazilian youth remained outside school or had access only to the initial level of the school
system, we should problematize some of these classical statements that attribute the modern
constitution of youth to the school mediation. In other words, looking beyond the pupil, we
need to understand that these agents experience today the juvenile condition in non-school
spaces, and that they come into the institution with these practices and ways of life already
consolidated, because they have sociability alternatives that they certainly want to preserve.
Those who do not find, outside the school space, possibilities of rich interactions within their
peer groups, either in leisure activities or in cultural consumption or production, share this
symbolic universe filled with expectations, and thus hope to realize them as students. They
certainly constitute these demands from the moment they leave childhood, because school is
408
SOCIOLOGY OF EDUCATION AND YOUTH IN BRAZIL
not the only agency that offers them cultural models for the experience of being young. We
cannot fail to consider that styles, habits, and ways of life are also shaped by other agencies,
which brings us to the idea of the multiple socializing spaces or ways of life that inscribe
interactions and practices that go beyond the school boundaries and family life; that is, they
pose the challenge of understanding how a stage of life—youth—and the insertion of subjects
into the social structure are articulated in unequal and heterogeneous societies such as the
Brazilian one.
Knowledge of the sociability, of the forms of solidarity, and of its conflicts and practices
has been the incipient object of a sociology of youth in Brazil fairly articulated to the studies
of the sociology of education.
Despite constituting important interfaces with the sociology of education, the studies of
youngsters in Brazil embrace theoretical sources that derive from contributions from other
domains of sociology.
A first outlook is related to the importance of the constitution of a specific field that appears
in the sociology of the life stages or cycles, conceived as socio-historical constructions, that is
to say, the constitution of sociological studies of childhood, youth, and old age.
Under this perspective, not just the specificities of each moment, but also the relationships
between generations—adults and youth—are again studied, and characterized more by a certain
notion of crisis than by the traditional idea of generation conflict (Barrère and Martuccelli, 2000;
Dubet, 1987).
Sirota points out that within the sociological studies about childhood there can be observed
a movement that goes from a sociology of schooling towards a sociology of socialization, in
an attempt of “de-schooling” the approach to the child (2006, 2001: 27).
The studies about youth in Brazil, although still under consolidation, have opened up paths
for the understanding of the condition of youngsters beyond the school universe. By centering
on the young subjects and their dilemmas in the outlines of a society, which until recent years
had increased the levels of social inequality, and faced with profound changes the world of
labor, the sociology of youth has also dedicated itself to examining the conditions of insertion
and maintenance of youngsters in a labor market in sharp evolution, interacting with several
of the studies that have occupied the fields of interest of sociology in the world of labor and
unemployment (Corrochano, 2001, 2008; Guimarães, 2005; Nakano, 2004).
Incorporating the issue of the multiple spaces of the circulation of urban youngsters,7 several
studies offer important clues for the understanding of the bonding elements of juvenile life
through style groups and the so-called juvenile cultures (Abramo, 1994; Caiaffa, 1985; Carrano,
2002; Costa, 2003; Dayrell, 2005; Herschmann, 1997, 2000; Magnani and Mantese, 2007; Pais
and Blass, 2004; Sposito, 1994; Tella, 2000; Vianna, 1987, 1997).
However, most of these studies have sought to break away from the classical models for the
study of juvenile groups, which were anchored in the tradition of functionalism that privileged
deviance and anomie as categories of analysis. A relative influence of the studies of the juvenile
sub-cultures developed by the researchers of cultural studies from Birmingham, England, could
be observed. The contributions from the sociology of the Portuguese youth made by José
Machado Pais (1993, 2004) were also very important, as were the anthropological studies
developed by Carles Feixa (1998, 2004), which examined this sociability based on the idea of
juvenile cultures (somehow overcoming the assumption of sub-culture). More recently, the
studies of urban anthropology conducted by José Guilherme Magnani (2007) about the juvenile
circuits and trajectories in the city have also widened the perspective of analysis of the
juvenile groups.
409
MARÍLIA PONTES SPOSITO
Similarly to the reflection carried out during the 1950s and 1960s, the research into youth
in Brazil seeks to understand the outlines and practices that build youngsters as political actors.
Some of the studies still devote their efforts to the analysis of the forms of student militancy,
but have enlarged the spectrum of subjects investigated beyond the universe of higher education.
Thus, the study of new formats and young collective actors that express new modalities of
presence in the public sphere, both through cultural and artistic expressions and within
movements that have marked the social struggles of the Brazilian society in the last years, as
well as the movement of the agrarian society and the struggles of blacks against discrimination
and racism has constituted an important challenge. The analysis of the presence of youngsters
in collective actions draws from the theoretical tradition of the sociology of the social
movement, of collective action, and of political participation (Sposito, 2000), preserving to some
extent the perspectives of analysis that emerged in the 1950s.
The density of the field of studies about the youth under a sociological perspective resides
in the challenge to articulate the analysis of the domains regarded as classical to sociology, namely,
labor, culture, political action, and social movements. The studies of Brazilian youngsters in
their diversity of modes of circulation, of practices, and of orientations derived from social,
gender, and race conditions cannot be confined as a domain of analysis constituting a specialty
refused in Brazil by the sociological tradition examined in this article.
The trajectories analyzed here illustrate a possible path for the interaction between the
sociology of education and the studies about youth that reinforces theoretical–methodological
orientations of the 1950s/1960s in Brazil. By seeking support in the sociological studies of the
school institution within historical and cultural processes that constitute the singularities of
Brazilian society, we reinforce the practice of sociology of education not restricted to a strictly
school perspective of the domain of study. Inscribing the sociology of youth in the processes
that give shape to contemporary Brazilian society, both from the point of view of the
transformations of the world of labor, and under the optics of the sociology of collective action,
social movements, and cultural practices, we rescue a theoretical–methodological point of view
focused on the understanding of the singularities that constitute Brazil in its constant dialogue
with international production. By examining the interfaces and specificities of this field of
investigation, such a perspective refuses to inscribe the sociology of education or the sociology
of youth into the segmented mode of the special sociologies. On the contrary, the basic
assumption rests on the idea of a theoretical domain—the sociology—that tries to understand
how the conflicts and tensions around the social reproduction, and the socialization and
individualization processes take place from some privileged protagonists—the youngsters—in
the condition of iceberg tips of contemporary social dilemmas (Melucci, 1997).
Notes
1
2
410
In another article—Uma perspectiva não escolar no estudo sociológico da escola [A non-school perspective
in the sociological study of school]—I have analyzed the fruitfulness of that perspective for the analyses
of social struggles somehow affected by the place that the school has acquired in contemporary
society (Sposito, 2007).
The North American and European studies about the school establishments offer important
contributions to the study of school life in its less visible and formalized aspects. An assessment of
these orientations and their impacts on the sociology of education in Brazil can be found in the
article by Leila Mafra (2003).
SOCIOLOGY OF EDUCATION AND YOUTH IN BRAZIL
3
4
5
6
7
A promising example of inflexion in the field of sociological studies on education in Brazil can be
seen in the studies about families and their relations to schooling developed since the 1990s by
researchers such as Marialice Nogueira, Zaia Brandão, Nadir Zago, and Geraldo Romanelli,
amongst others (Nogueira et al., 2000).
Since the 1980s, an important group of sociological studies about education tried to understand the
perverse consequences of the expansion of schooling out of precarious conditions, fostering an intense
debate about the quality of the public education offered in Brazil. Education in conservative times
has been the object of analysis in recent works that examined the neoliberal inclinations in
educational policies (Haddad, 2008; Hypólito and Gandin, 2000).
When examining the emergence of the sociology of childhood, Sirota affirms that, in the context
of the sociology of family or sociology of education, the child was a ghost character, almost invisible
(Sirota, 2006). The same could be said about the young students in the works about school developed
until recently within the context of the sociology of education in Brazil (Dayrell, 2002).
The studies conducted by François Dubet about the crisis of the socializing action of the school
have inspired some of the works developed in Brazil about the relationships between youngsters
and the school (Dubet, 1991, 1994, 1998, 2002).
One of the fragilities of the research about youth in Brazil is the little emphasis given to the study
of rural youngsters.
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413
37
Social class and schooling
Lois Weis
Researchers have long argued that school outcomes, whether achievement or attainment, are
linked in large part to social class background (Coleman et al., 1966; Gamoran, 2001, 2008;
Gamoran and Long, 2007). In the United States, what is particularly stunning, perhaps, is that
in spite of the massification of the US system of education during the twentieth century,
differences by class have persisted at largely consistent levels. Campbell et al., (2000), for example,
suggest persistent relative class differences in achievement related outcomes (as linked to NAEP
data over three decades), while Hout et al., (1993) indicate that class differences in attainment
have remained relatively constant over the course of the twentieth century.1
Raftery and Hout’s (1993) theory of “maximally maintained inequality” helps explain such
persistence. Under the theory of “maximally maintained inequality,” as the privileged classes
are generally better positioned to grasp new opportunities than their non-privileged counterparts,
it is only when a level of attainment is saturated for the privileged group that members of the
less privileged classes have the opportunity to catch up. Under conditions of massification, then,
“maximally maintained inequality” demands that educational allocation must be understood “as
an expanding pie: each group’s piece of the pie becomes larger, but the relative differences among
pieces are preserved” (Gamoran, 2008: 170). Lucas (2001) tweaks this theory by suggesting that,
even as quantitative distinctions fade in access to the overall educational system, inequality will
be “effectively maintained” through increased differentiation within particular strata (Gamoran,
2008; Shavit et al., 2007), a phenomenon empirically documented in the US and elsewhere.
With careful attention to empirical trends, Gamoran (2001, 2008) predicts that educational
outcomes as related to social class background will continue “largely unabated throughout the
twenty-first century despite much rhetoric and a few policies directed against it” (2001: 135).
While there is ample evidence to suggest that this is the case, such research fails to address the
mechanisms through which parents and schools are actively linked to the reproduction of social
class inequalities. Close attention to empirical work on such “enabling mechanisms” both allows
us to chronicle the ways in which class is produced via the concrete, everyday practices of
parents and schools, and simultaneously opens up possibilities for intervention.
Here I outline the ways in which parents and schools contribute actively to the reproduction
of inequalities of social class; in other words, the ways in which parents and schools embody
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class-related practices while simultaneously producing class-linked economic and social
outcomes. While not intended to be a comprehensive review of the literature on this set of
issues, I highlight work in three key areas: official knowledge and its distribution; valued parental
capital and the ways in which such capital is linked to schools; and the production of youth
social identities.2 Although these issues must be explored in contexts other than first-wave
industrialized nations, examples here are drawn largely from the US and UK. I will raise the
question of class production in an increasingly globalized context at the end of the essay.
Social class has been defined in a variety of ways and, as Erik Olin Wright notes, “the concept
of class is one of the most contested within sociology.” (2008: 25). While class must be
understood and theorized primarily in relation to the economy, we must additionally recognize
that class rests fundamentally in the “lived” realm in that it organizes the social, cultural, and
material world in exceptionally powerful ways. The books we read, or if we read at all; our
travel destinations and mode of travel; the clothes we wear; the foods we eat; whether we have
orthodontically straightened teeth; where (and if) our children go to school, with whom, and
under what staff expectations and treatment; the “look” and “feel” of home- and school-based
interventions if our children “fail”; where we feel most comfortable and with whom; where
we live and the nature of our housing; and, specifically in the United States, whether we have
health insurance and, if so, what kind and with what coverage, are all profoundly classed
experiences, rooted not only in material realities but in culturally based expectations and
practices. Given massive shifts in the global economy and accompanying neoliberal policies
and practices, which produce deepening inequalities both within and between nations (AronDine and Shapiro, 2006; Piketty and Saez, 2003; Reich, 1991, 2001), a recognition of the
structuring effects of social class has never been more pressing.
This is not to deny the ongoing and partially independent effects of race in relation to the
production of class, a point that is particularly salient in the United States, yet increasingly
important in the UK, France, Germany, and Canada, where large immigrant populations
of color have significantly altered the social and economic landscape. Rather it is to suggest
that class is a fundamental organizer of social experience, both “objective” and subjective,” an
organizer that has been largely eclipsed over the past twenty years by other forms of social
interrogation and analyses. As Cameron McCarthy (1990) reminds us, however, the experiences and subjectivities of racially subordinated groups cannot be read entirely off class.
I now turn to research on three specific drivers of social class formation as linked to families
and schools.
Official knowledge and its distribution
Spurred by calls in England in the 1970s for a “new sociology of education,” scholars address
questions related to what constitutes “official” knowledge and the ways in which such
knowledge is differentially distributed through schools .The theoretical starting point for most
of these analyses is articulated by Michael F.D. Young (1971), who argues that there is a
“dialectical relationship between access to power and the opportunity to legitimate dominant
categories, and the processes by which the availability of such categories to some groups enable
them to assert power and control over others” (p. 31). Young (1971), Bernstein (1977), Anyon
(1979), Bourdieu (1977), Apple (1979/2004), Whitty (1985) and others argue that the
organization of knowledge, the forms of its transmission, and the assessment of its acquisition
are factors in the production of class and class relations in advanced capitalist societies.
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As Geoff Whitty (1985) makes clear, and as Weis et al. argue elsewhere (2006), mainstream
sociologists often assume that the most important school-related question is that of “access” to
a range of educational institutions—who has it; what blocks it; and what might encourage it.
While not an unimportant set of questions, the assumption in most such research is that simple
access to schooling will ameliorate the apparent handicaps associated with a working class and/or
poor background. In sharp distinction to this research genre, scholars began to focus on the
nature of knowledge itself and the ways in which “legitimate” knowledge works for some and
not others. Young (1971), for example, discusses the ways in which particular kinds of
knowledge are validated in the academy—knowledge that is “pure,” “general,” and “academic.”
In contrast, knowledge that is “applied,” “specific,” and “vocational” is marginalized. Although
this distinction is arbitrary, it powerfully serves to keep particular (elite and relatively elite) groups
in control of the official school curriculum and, by extension, tightly linked occupational and
economic outcomes (Weis et al., 2006).
Important research has also been done on the ways in which knowledge is distributed across
groups. Jean Anyon (1980, 1981) offers a compelling set of essays related to the ways in which
knowledge is differentially distributed across student social class background in the US.
Working-class students, for example, are offered knowledge as rote memorization and a series
of structured tasks, while knowledge distributed to students in executive elite public (statesupported in the US parlance) schools is far more challenging. Students in these latter schools
are socialized into an academic culture of excellence, while working-class students are socialized
into a culture of rote memorization.
The school-based practice of tracking (placing low- and high-achieving students in
instructional environments tailored to their current level of academic achievement) is heavily
implicated in the reproduction of social class. Although the assumption is that all students benefit
from such an arrangement, Sean Kelly (2008) argues that four decades of empirical research
lead to the conclusion that “low-track classrooms do not offer as rich an educational environment
as high-track classrooms” and that “high track students benefit the most from the practice of
tracking,” with low-track students being left far behind (Kelly, 2008: 211). Significantly, track
placement is a strong, independent predictor of college entrance patterns (Erigha and Carbonaro,
2006; Rosenbaum, 1976), with social class being a consistently strong and independent
predictor of track placement (Kelly, 2004, 2008; Oakes, 1985).
Given massive changes in the global economy and accompanying class reconfiguration in
countries all over the world, it is important to broaden research on the official curriculum (both
nature of and distribution of), with particular attention to the ways in which certain groups are
creating class through the instantiation of a newly forged (or re-affirmed) selective tradition,
one that works to the benefit of some and not others. The hegemonic role of English as the
language of science, technology, and the academy is key here, as some groups are better
positioned to access and function in this now indisputable language of power. While some such
work has been done over the years, we have remarkably little scholarship that tracks and theorizes
social class in relation to schooling under new global conditions. In sum, then, we need to take
seriously the emerging stratification map as related to contested notions of “official” knowledge
and its distribution globally.
Valued parental capital
Large-scale studies attest to the importance of family background in children’s academic
achievement, academic attainment (how far children go in school), occupational status and
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income. Given this uniformly strong finding, it is important to probe what it is about the family
and the family’s relationship to the school that produces outcomes of interest.
Engaging in extensive ethnographic work, and employing Pierre Bourdieu’s (1977, 1984)
theoretical insights, Annette Lareau (1987) argues that middle-class parents, in contrast to
working-class parents, have the cultural capital necessary to actualize positive ties with schools,
in that they have more information about schooling, as well as the social capital to connect
with other parents. More recently (2003), she turns her attention to class habitus, specifically
the ethnographically informed cultural logic of child rearing, arguing that middle-class parents
across race (African American and White in the United States) engage in a process of “concerted
cultivation,” which results in a “robust sense of entitlement” among middle-class youth (2003:
2), a sense of entitlement that “plays an especially important role in institutional settings,
where middle-class children learn to question adults and address them as relative equals”
(p. 2). Working-class and poor children, in contrast, are raised under strictures more closely
approximating the “accomplishment of natural growth” (p. 30). While working-class and poor
parents may similarly love their children, “the cultural logic of child rearing at home is out of
synch with the standards of institutions” (p. 3), wherein schools, for example, value child-rearing
practices associated with concerted cultivation, suggestive of the fact that middle-class children,
simply by virtue of parenting practices, will always have an edge in school.
Drawing on follow-up data, Lareau and Weininger (2008) find remarkably consistent
behavior with regard to decisions about college choice:
Class-specific cultural orientations to child rearing retain their purchase on family
behavior—at least in the area of relations to institutions—approximately ten years after
the original data collection took place. Thus the behavior of middle class parents in
managing their children’s high school career and transition into college can be viewed
straightforwardly as an extension of the same “concerted cultivation” child rearing
strategy they practiced earlier. Similarly, the propensity of working class and poor parents
to assume that their children’s education is the responsibility of professional educators
constitutes an extension of the “accomplishment of natural growth” approach.
(pp. 142–143)
Ellen Brantlinger (2003) further directs our attention to the role of parents in processes of
class-based stratification. Her ethnographic study of professional middle-class parents suggests
that members of the educated middle class generate bifurcated notions of students: those that
win based upon merit and those that lose based upon their own deficiencies. More specifically,
“losers,” students unfamiliar with the dominant, middle-class system of values and codes
(appropriate language, ways of behaving, and so forth), are deemed culturally and intellectually
deficient and therefore deserving of less; “winners,” on the other hand, those familiar with the
moral, linguistic, and behavioral codes privy to the middle class, are both rewarded for their
hard work and academic success, and discursively constructed as deserving of their privileged
status. Brantlinger’s research suggests that middle-class parents actively maintain and
simultaneously ideologically neutralize class-based stratification through schools.
Important work in the UK by Diane Reay indicates that, even when middle-class parents
intentionally send their children to mixed urban state schools, thereby being seen as “acting
against [class] self-interest educationally” (Reay, 2008: 88), they end up constructing themselves
and their children as privileged in such multi-ethnic, working-class settings. Paralleling
Brantlinger’s research, middle-class white parents increasingly work towards their own class
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interest, as both parents and children begin to define themselves as morally and educationally
superior to their working-class counterparts, although they send their children to working-class
schools with the opposite intent. The intractable nature of class as acted upon and transmitted
by parents is clearly apparent in this study.
Carol Vincent and Stephen Ball extend this discussion in their exploration of choices related
to childcare and class practices in the UK (2006). Based on an intense ethnographic investigation
of middle-class parenting choices and practices, Vincent and Ball indicate that, while such families
are highly dependent upon the involvement of these women/mothers in careers and highly
paid jobs as part of being middle class, they nevertheless practice “professional mothering,”
wherein they juggle intense work and family commitments in order to position their children
for comparable adult class status. Such juggling lies firmly in the gendered realm, where
women’s employment and mothering histories can be plotted on an “investment
continuum,” where women move between time-investments in their children or in their
paid work, in most cases trying to manage the two to the detriment of neither, and being
trailed by varying amounts of guilt, responsibility and anxiety.
(p. 164)
Adding a critically important gendered component to work in this area, Vincent and Ball’s
research extends the literature on the way class works through parenting choices, practices, and
linkages to schools.
Active production of identities
In the above sections, I focus on the ways in which schools and families directly shape and
produce class and class inequalities. This ignores the fact that students produce class on their
own located, cultural level, albeit in relation to parents, communities, schools, and the
economy. Paul Willis (1977) breaks important theoretical ground in this regard by focusing
our attention on students themselves in the process of class production and reproduction. In
his now classic Learning to labour (1977), Willis focuses on a group of working-class boys in the
UK Midlands as they proceed through the last two years of secondary school and into the work
force. Rather than passively accept the socialization messages embedded in the school, the “lads”
actively differentiate themselves from the “ear’oles” (so named because they simply sit and listen)
and school meanings in general, categorizing both as effeminate and unrelated to the “real”
masculine world of work, thereby reproducing at their own cultural level key elements of social
structure. As Willis notes, “The difficult thing to explain about how middle class kids get middle
class jobs is why others let them. The difficult thing to explain about how working class
kids get working class jobs is why they let themselves” (p. 1). Breaking new theoretical ground,
Willis probes the ways in which the semi-autonomous level of culture is implicated in the
sustainment of social structure.
Taking up the challenge afforded by Willis, we have excellent studies of class (and class linked
specifically to race) (re)production that theorize around the role of students as they engage
processes of identity construction in school (Foley, 1990; Lee, 2005; Solomon, 1992; Weis,
1990; Wexler, 1992). Most such studies have, however, been done in the industrialized West,
and it is important that we broaden our research to include studies of cultural production
in a range of national contexts. In addition, while acting back on school meanings appears to
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constitute a key element of identity work among specific groups of disenfranchised youth across
national contexts, scholars have yet to address, in a sustained fashion, the consequences of such
“resistance” over time, and in relation to new economic circumstances. While Willis suggests
that working class student “resistance” is tied to class-linked labor market possibilities, while
simultaneously limiting the intensification of demands for production on the shop floor, what
we do not know is where such resistance “sits” as youth grow older, particularly in shifting
economic times. Although this genre of study—and specifically the body of work known as
“resistance theory”—offers a great deal with respect to what we know about students and
schools, serving ultimately to invert understandings as to the absolute power of educational
institutions and their ability to “name” others, we must theoretically situate such studies within
massively changing economic context.
In Class reunion (Weis, 2004), a fifteen-year follow-up study of white working-class males
and females who originally appear in Working class without work (Weis, 1990), I take up this
challenge. Rather than growing up to be part of any kind of romantic collective that capitalizes
upon and engages oppositional behavior within the walls of the factory, the (1985–1986)
secondary school male resistors are, at the age of 30–31, almost uniformly bouncing between
the homes of their mother and current girlfriend, earning very little money, and having no
steady job to speak of. Given male wage-earning capacity under the former industrial economy,
in earlier decades they would, in all likelihood, have begun and sustained a family of their own,
cashing in on both the capital–labor accord and the secret guarantees of earning the family
wage: sacrifice, reward, and dignity. Now in their early thirties, the high school “resistors” are
almost uniformly marginally employed and bereft of collective, except that which is aimed at
the consumption of alcohol, drugs, car races, dirt bikes, and the like. This suggests that the shift
in the global economy demands that our entire notion of cultural resistance—what it is and
where it deposits as youth grow up—must be challenged.
Kathleen Nolan and Jean Anyon (2004) affirm this point, arguing that oppositional identity
as produced and enacted by black urban youth in high-poverty contexts “does not lead to the
shop floor. Rather, in this postindustrial era of mass incarceration, oppositional behavior by
working-class youth of color in educational institutions often leads them directly into the
criminal justice system” (p. 133).
Conclusion
This essay traverses territory on social class and schooling. I argue that research strongly indicates
that “official” knowledge and its distribution; parental capital and ways in which such capital
is linked to schools; and youth located cultures/identities as produced inside educational
institutions contribute in important ways to the reproduction of social class. Although this essay
is based primarily on quantitative and qualitative research rooted in the United States, and,
secondarily, the UK, issues highlighted here inevitably play out in a wide variety of countries,
although in specific national and local parlance. A variety of jobs—whether those for workingclass or middle-class individuals—are increasingly exported from highly industrialized countries
such as the United States, United Kingdom, and Japan to places where multinational companies
can hire both unskilled and highly skilled/well-educated laborers at lower pay and without
benefits. In the US, for example, we are witnessing decreasing economic opportunities for the
working class and poor who live in particular gender and racial/ethnic relational forms, as well
as intensified and pressure-packed expectations directed towards the privileged. This evolving
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set of international economic and human-resource relations affects the educational aspirations
and apathies of younger generations in a variety of countries, wherein the push and pull dynamics
of globalization (in the sense of pushing certain kinds of job outside the borders of first-wave
industrialized nations, while simultaneously pulling such jobs to nations such as China and India)
exert particular class-linked forms of pressure on schools, families, and youth.
In addition, the movement of peoples across national borders, including those who possess
“flexible citizenship” by virtue of possession of high-status knowledge—for example, highpowered intellectuals, engineers and medical professionals who are seduced to work in
economically powerful nations—bring new demands to school systems in economically
powerful nations. By way of example, upper middle class Hong Kong Chinese parents in
Vancouver have little use for what they see as the “soft” curriculum associated with North
American schooling (Li, 2005). Given class-linked cultural and economic capital, such privileged
world citizens are demanding more strongly framed knowledge and less of the “fluff ” that they
associate with Western, particularly North American, schooling, even though they currently
reside in Canada. This scene is being played out in schools up and down the Pacific North
American coast, where a new form of “white flight” is taking place as white parents are removing
their children from schools heavily populated by Asians, a phenomenon linked both to what
white parents often see as the inappropriate demand for more strongly framed and intensified
knowledge on the part of Asian parents, as well as the indisputable fact that their children are
not, overall, performing as well (see Lee, 2009, however, on the myth of the model minority).
Such intensifying transnational migration patterns have implications for class formation in the
US and elsewhere, as class is now being produced and re-aligned in relation to large numbers
of recent immigrants, whether those who possess “flexible citizenship” or those who enter
economically powerful nations with little more than the clothes on their back, a proportion of
whom do relatively well in school (Centrie, 2004; Rumbaut and Portes, 2001).
This means that class and class relations must be studied and theorized in relation to the
increasingly interconnected world (Crespo Sancho, 2009; Li, 2008; Weis, 2004, 2008). Given
shared international press in relation to the flight of jobs from first-wave industrialized nations,
as well as the movement of both unskilled and professional workers to such job-exporting nations
(at one and the same moment as a greater number and variety of jobs are being exported
to nations such as China and India), we must consider the ways in which class is constitutive
of newly articulated and lived out race/ethnic and gender dynamics in an international context
(for an important example, see Zhao, 2008). The movement of peoples and accompanying
processes of transnationalization wherein people live “here and there” (Crespo Sancho, 2009)
have deep implications for class formation, particularly in first-wave industrialized nations
that are increasingly host to new immigrants. As migrants position and reposition themselves
inside new global circumstances, the nature of class relations inevitably changes, ushering in a
new era of race/class relations.
The bottom line here is that our worldwide economic and social context is shifting dramatically, demanding both increased attention to the production of class and new ways of understanding such production in a wide variety of nations. In light of the review offered in this
chapter, we need to focus specifically on the ways in which parents and children of varying
social class background and across race/ethnicity/nation experience and interact with educational institutions from pre-K through post-graduate school, as well as the ways in which
educational institutions themselves change in response to new global circumstances. This all
must be tilted towards understanding the production of broader class relations and outcomes.
Updating and extending earlier important work on knowledge and its distribution; parental
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capital and its “effects”; and the production of youth culture and identities will enable us to
make great strides towards understanding schooling and social class in the twenty-first century.
Notes
1
2
Adam Gamoran (2001, 2008) powerfully highlights notions of “maximally” and “effectively
maintained” inequality in two recent essays.
It is not my intent to discuss all ways that families and schools are linked to the production of class
inequalities. High stakes testing, for example, is not covered in this essay, although there is ample
research that suggests that such testing is linked to such production.
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