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Chapter 5 addresses a major demographic puzzle concerning thousands of New York slaves who seem to have gone missing in the transition from slavery to freedom, and the chapter questions how and if slaves were sold South. The keys to solving this puzzle include estimates of common death rates, census undercounting, changing gender ratios in the New York black population, and, most importantly, a proper interpretation of the 1799 emancipation law and its effects on how the children of slaves were counted in the census. Given an extensive analysis of census data, with various demographic techniques for understanding how populations change over time, I conclude that a large number of New York slaves (between 1,000 and 5,000) were sold South, but not likely as many as some previous historians have suggested. A disproportionate number of these sold slaves came from Long Island and Manhattan.
Chapter 1 establishes the context and extent of Dutch culture in New York to demonstrate that Dutch slavery in New York was distinct and extensive. This chapter provides a demographic argument for the importance of Dutch slaves in the history of New York slavery. This chapter combines an argument drawn from census data with anthropological observations about the nature of violence and mobility in Dutch New York slavery.
Drawing inspiration from Ian Hacking's claim that new modes of description generate new possibilities for action, this essay explores the impact of changes to the mode of description through the 1901 Census in Ceylon. It begins by exploring the modes of description used in the censuses prior to 1901 to demonstrate that in Ceylon, the census was yet to emerge as the critical tool of colonial governance claimed by dominant scholarship around colonial census taking. This leads to an exploration of how the changes that Sir Ponnambalam Arunachalam, the first Ceylonese Census superintendent, made to the Census Ordinance, Census Manual, and Census Report impacted the function of the census as a mode of description. It then explores the possibilities for action generated by these changes in the mode of description, paying particular attention to the ways in which the census shaped elite, indigenous activism leading to the first major reforms of the colonial governance structure in Ceylon, including the introduction of limited franchise. Thus, Ceylon's 1901 Census affords a unique opportunity to examine the impact that shifts in modes of description have on possibilities for action.
It has been widely recognized that how languages behave, particularly under conditions of contact with other languages, depends on their context. Using the Ethnolinguistic Vitality framework, this chapter describes the demographics, linguistic attitudes and institutional supports for heritage languages, defining the concepts and illustrating them with examples from Toronto, the context in which the HLVC project is conducted. Demographic information includes population sizes, language shift rates, and history of settlement in Toronto. Status information includes both reflections on the status of heritage languages, as a whole, in Canada and labels attributed to the specific varieties. The institutional support section reports on the number of language classes available for each language. The chapter also includes discussion of language policy, particularly for education, and the demographics of the university where the research is centered, enabling other researchers to best consider what aspects of the project might need adjusting for adaptation in other contexts.
Academia can instigate policy debates. Data collection instruments like the Census are framed in a monolingual mindset that makes it difficult to obtain a full picture of language diversity, while the smart city concept can be applied to language to capture a wider range of data. In using language to determine origin and entitlement to refugee status, we interrogated prevailing concepts and enriched judicial procedures by offering new methods of analysis and interpretation, helping to ensure a more just consideration of claims. The chapter also describes the managerial culture of control over the public narrative around the value of modern languages that aimed essentially at protecting the sector and existing ontologies. The chapter concludes with a consideration of locality studies as a new, alternative framework through which to engage in the study of local languages and forge international connections.
The pro-Brexit campaign leading up to the 2016 referendum in the UK and in its aftermath was accompanied and driven by a narrative that was hostile to immigration and its cultural implications. Language played a role, with Leave campaigners criticising the presence of multiple languages in UK society and government agencies embarking on an 'English first' campaign that linked community languages to lack of integration and social incoherence. At the same time some arguments in support of foreign language learning embraced the Brexit narrative claiming that language skills will help post-Brexit Britain gain global influence. The chapter surveys different strands of UK language policy and concludes with an assessment of latest Census figures on language pointing to the increase in multilingualism.
A construction like the colonate is known in the Heroninos archive (249–268). It is the paramonè agreement, where the estate owner grants credit and the debtor provides labour at the wish of the creditor, as a kind of interest. For the period from 364 to 293 constitutions are considered as issued originally. Retrogradely, several additions become visible. In the middle of the fourth century the coniugium non aequale is applied to coloni and some groups of workers, as is the senatusconsultum Claudianum. In 319 the coloni on imperial estates may be recalled: the essential mark of subjection. The same is shown in 332 for coloni on private lands: they are alieni iuris, may be recalled, and tax must be paid for them. Connected with the similar condicio for monetarii in 319, the colonate may have existed essentially in the beginning of the fourth century and can now be connected with a rescript of 293/4.
This chapter takes us to the start of the 1930s, to explore the colonial production of knowledge on mental illness in mandate Palestine. It does so not through the writings of any psychiatric expert, but rather the report on the 1931 census and its extensive analysis of the return of the ‘insane’ population. Rooted in a very particular encounter around mental illness – between enumerator and enumerated – the census report’s analysis, and the debates surrounding it, reveals how the question of mental illness could be used to locate both Palestine, and its different communities, in relation to empire, development, and modernity. This chapter eschews the usual focus on identity in relation to the colonial census to instead foreground translation: from myriad terms in multiple languages to the single term – ‘insanity’ – adopted by the report; from the often messy testimonies of the enumerated to the record of the enumerator; and from encounter into theory.
“Shanghai’s Filipinos and Manila’s Chinese” situates the sojourning communities in their respective cities. This chapter highlights the precarious but important position Chinese in Manila and Filipinos in Shanghai found themselves in, contrasting their lives with those of privileged colonizers, like the British, French, and Japanese in Shanghai; sub-imperial agents, like Sikh and Vietnamese police across the British and French Empires; and Asian settler colonists, like Japanese and Chinese migrants in Hawai’i. The first section explores Filipino contributions to the Shanghai Volunteer Corps, comparing their willingness to defend the city with Chinese participation in Philippine revolutionary moments. The second section follows the steamships that linked the two cities and sojourning communities to explore how Chinese people supported one another and navigated exclusionist policies to establish themselves in Manila. Both sections dive into the demographics of the communities, examining how skewed gender ratios and mixed marriages impacted families and individuals. This chapter pioneers the bilateral model that centers Chinese and Filipino actors in the history of Asia that ensuing chapters adopt.
Environmental and anthropogenic factors may significantly affect the diffusion of wild animals, enhancing the interface of human–wildlife interactions and driving the spread of pathogens and vector-borne diseases between animals and humans. However, in the last decade, the involvement of citizens in scientific research (the so-called citizen science approach, henceforth abbreviated as CS) provided a network of large-scale and cost-effective surveillance programmes of wildlife populations and their related arthropod species. Therefore, this review aims to illustrate different methods and tools used in CS studies, by arguing the main advantages and considering the limitations of this approach. The CS approach has proven to be an effective method for establishing density and distribution of several wild animal species, in urban, peri-urban and rural environments, as well a source of information regarding vector–host associations between arthropods and wildlife. Extensive efforts are recommended to motivate citizens to be involved in scientific projects to improve both their and our knowledge of the ecology and diseases of wildlife. Following the One Health paradigm, collaborative and multidisciplinary models for the surveillance of wildlife and related arthropod species should be further developed by harnessing the potentiality of the CS approach.
This chapter lays out the legal framework that enabled Hong Kong’s multiracial residents to engage with Britishness. It explains how the British nationality law enabled multiracial inhabitants in pre-war Hong Kong to make claims to Britishness. Using immigration cases, guidebooks, and census reports, this chapter shows when, by whom, and to what extent this inclusive legal status was recognized. Racial presumptions often prompted officials to deny people of colour access to their legal entitlements as British subjects. Nevertheless, colonial subjects in Hong Kong became increasingly aware of their British status, with some making active claims to their rights. In exploring the understanding and usage of British nationality law in 1910–45 Hong Kong, this chapter illuminates how nationality and citizenship were understood in an era when such concepts remained relatively new.
Between 1930 and 1980, the U.S. census bureau moved from using a Mexican as a racial category to Hispanic as an ethnicity. In between, the census bureau tried multiple ways to count Mexican Americans, Spanish Americans, or Latinos. Each measure the bureau tried ran headlong into differing subnational understandings of ethnicity, race, and Americanness. To understand Latino racial formation in this critical period, then, requires looking to the states. This paper explores the census counts in the southwest states between 1930 and 1970. Contextualizing these numbers with a history of differing state policies on language, marriage, and political inclusion reveals the importance of state-specific understandings of race and identity to understanding United States racial formation.
The population of critically endangered white-thighed colobus monkeys (Colobus vellerosus) at Boabeng-Fiema Monkey Sanctuary (BFMS) is possibly the only growing population of this species in West Africa. We assessed the current population status of C. vellerosus in BFMS and the surrounding fragments in Ghana. We undertook a complete count of the population in 2020, and this data was combined with previously conducted complete counts from 1990 to 2014. Results show that the total population growth rate of colobus monkeys at BFMS and the surrounding forest fragments was 353.9% between the 1990 and 2020 censuses (at a rate of 11.8% annually). In the BFMS alone, the total population growth rate was 252.3% between 1990 and 2020 (i.e., at a rate of 8.4% annually). The total population growth rate in the surrounding forest fragments was 97.0% between the first census year of 1997 and the 2020 census (i.e., at a rate of 4.2% annually). The mean group size in the BFMS was 16.7 individuals (SD = 4.0; range = 9–25), while that of the surrounding forest fragments was 14.4 individuals (SD = 4.6; range = 9–23). The overall mean group size was 16.1 individuals (SD = 4.3; range = 9–25). An approximate ratio of one adult male to three adult females (1:3.4) and one adult female to one immature (1:1.2) is an indication that the population of C. vellerosus still has the potential to increase further when new suitable forest fragments are explored in the future. C. vellerosus has the potential to increase further in population in small, suitable fragments if habitat destruction and settlement expansion are managed with primate conservation intentions.
Chapter five explores definitions of citizenship in jurisprudence, royal law, and municipal ordinance. Ecclesiastical statutes tended to shape policy for indios under the assumption that they were to be administered in their own “republic” (i.e. within their own pueblos, separate from Spanish settlements). This chapter highlights how the city of Santafé responded when numerous indios ladinos emigrated out of their pueblos and into the settlement of Santafé.
This paper takes, as its starting point, Preston and Haines’ observation in Fatal Years that social class was the most important influence on infant and child mortality in England and Wales in the early twentieth century. A subsequent study suggested that this could in part be due to the spatial distribution of the different classes across different types of place, and that some of the mortality differences by social class might actually reflect the contextual effects of healthy and unhealthy places. Although this line of argument has received a considerable amount of attention in health geography literature, it has rarely been examined for a specific historic period, and then only within particular urban areas. In this paper, we apply multi-level models to a complete count individual-level dataset of the 1911 census of England and Wales, comparing influences on infant and child mortality at the level of the individual couple and for two spatial levels. We find that although most variation in infant and child mortality operates at the individual level, there is also important variation at the two spatial levels and part of the mortality differences between social classes is better explained by the areas in which people lived rather than by their social class. A consideration of independent variables at all three levels suggests that different spatial scales capture different sorts of influences on early age mortality.
Cicero claims that states were created for the protection of property, so a statesman should try to avoid levying property taxes. A contrary principle holds that, as long as the state is common to all, those who benefit from it most should compensate those who benefit least to maintain distributive justice. With this frame of reference, the article asks two related questions. First, to what extent does Cicero differ from Dionysius of Halicarnassus, Livy, and the Stoics, who describe compensation or common ownership as a principle of fiscal fairness? Second, how does Cicero's political theory reflect the misgivings of wealthy Romans about state power and redistribution in the absence of compensatory taxation from 167 to 43 b.c.e.? I argue that his interpretation of the Servian census entrenches the ‘pre-fiscal’ distribution of property in the Roman constitution, which compromises the impartiality of the state and weakens its ability to respond to fiscal crises.
Structural racism requires racialized economic agents. Racial identities are a strategically determined social norm, designed for governing differential access to resources, especially wealth, power, and information, as well as protection from other-group antagonism. When applied to the labor market, the differential power of racial groups means that racial identity is a sorting mechanism, such that persons of otherwise equal productive capacity will have racially differential access to employment, compensation, promotion, training, and the probability of layoff according to the manager–worker identity match. Racial identity norms evolve from social interactions between and among persons of alternative ancestral groups. Within these interactions persons select strategies that strengthen or weaken racial identity norms. These social interactions increase the productivity of persons if they are mutually altruistic. Mutually antagonistic social interactions reduce each person’s productivity. Racialization is an ongoing process of social and economic evolution. Self-identification and labeling conventions are social norms that emerge to distinguish social groups. Both actual and perceived skin shade and other physical differences are imprecise and subjective.
Nine servants were murdered on the night of October 23, 1789: five men and four women. In contrast to Dongo, his uncle, and the killers, every detail of the biographies of these working people has disappeared. This chapter attempts to restore their place in history by imagining what three of these humble employees did on the day of the crime, a recreation of the typical experiences of plebeian daily life in late eighteenth-century Mexico City.
Finally, in Chapter 10 I close the book by discussing some broader conclusions about the study of ethnicity and ethnic change, while also speculating about future prospects for the relationship between industrialization and assimilation. In the former case I focus on such topics as future quantitative work using data on ethnicity, our understanding of individuals who change their ethnic identities, the role of the state in enforcing or promoting ethnic identification and policy implications as regards promoting industrialization. In the latter case I return to my original dataset of country censuses from Chapter 4 to see if the relationship between industrialization and ethnic diversity changes over time. Upon introducing an interaction effect, I find evidence for a declining effect over time, although it appears that the interaction effect is driven by observations from the Americas, a result for which I find evidence in the secondary literature as well.
This chapter examines the development of modern population statistics, c.1860s–1910s. It describes the institutionalization of population statistics in Japan, first in tandem with the making of a modern official administration in the 1860s–1880s, and, from the 1890s, alongside colonial rule of Taiwan. It explores how the emerging cohort of individuals centering around bureaucrat Sugi Kōji established a scientific community, by taking advantage of their positions within the new government. At the same time, it depicts these modern statisticians’ coterminous position to political authority did not automatically grant them power to implement the scientific practices for which they lobbied. It illustrates this point by exploring their campaign to implement a national census in Japan. The chapter also shows how statisticians campaign came to fruition not in the metropole, but initially in the context of Japan’s colonial rule over Taiwan. Gotō Shinpei, a high-ranking officer in colonial Taiwan, promoted a population census, deeming it a valuable tool for scientific colonial governance. Finally, this chapter examines the activities of Mizushina Shichisaburō to describe how the scientific practice and community thrived in Taiwan surrounding the census work, and how the Taiwanese experience ultimately fed back to the statistical activities in the metropole.