School of Historical and Philosophical Studies - Theses

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    An imaginary economy : gambling, commodity, meaning
    Livingstone, Charles Henry ( 2005)
    This thesis draws on the example of the contemporary phenomenon of electronic gaming machine (EGM) use in the Australian state of Victoria in order to construct an argument in the mode of social theory, relating the psyche's demand for meaning to the nature of consumption in contemporary capitalism. The thesis argues that EGM consumption may be viewed as an example of commodification of the 'interiority' of the subject. Two paths are utilised. The first is a theoretically oriented discussion of the necessity impelling humans to the generation of meaning, and the manner in which this meaning is created. This discussion also encompasses the importance of signification and processes of institution for the maintenance of heteronomous society, and the pseudo-mastery of social institutions. It involves a discussion of the creation of the social individual as consuming individual. The second path is a discussion of empirical material (including official data and the accounts of gamblers) which is used to generate an argument about the socio-economic processes maintaining heteronomous society, and the development of an ethic of life focussed on intensified forms of capitalist consumption. Arguments drawn from Nietzsche, Weber, Castoriadis and others are utilised to illustrate the fragmentation of the originary monad, required for successful creation of the social subject, and how this process of socialisation draws and must draw on processes of meaning creation and signification to create a social relationship formed between society and the psyche, via the concatenation of the social and radical imaginaries. The centrality of the significations of commodity and money is utilised to argue that consumption of EGMs is an exemplary example of contemporary consumption, the consumption of interiority, in which consumption has become a duty and an ethic, providing apparent access to a much desired state where monadic unity is apparently available, at a price.
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    Neither bad nor mad : the competing discourses of psychiatry, law and politics
    Greig, Deidre Ngaio ( 1999)
    Garry David's dramatic threats of violence against individuals and the community, as well as his acts of gross self-mutilation, set in train a discourse between psychiatry, the law and politics, which focused on the place of the severely personality-disordered in the institutional context. The Victorian Labor Government's determination to detain him in custody, in the absence of either criminality or a legally-defined mental illness, tested the way in which the historically uncertain boundary between 'madness and 'badness' is drawn, as well as the differences between the concept of a mental illness and a mental disorder. It is argued that Garry shared many of the characteristics of other personality-disordered prisoners', who are ultimately released and, therefore, the reasons for his preventive detention and singular actions of the Government need to be understood, especially in the light of the social justice strategies, which had enhanced the rights of mentally disordered offenders by limiting their detention in custody. A major theme explores why he was singled out, and the significance of the Government's decision to proceed with the implementation of 'one-person' legislation, which was clumsily drafted, out of step with fundamental legal principles, and came dangerously close to making him a martyr through the exercise of powers of attainder. A sub-theme considers the interaction between psychiatry and the law, particularly in the courtroom, and the different way in which each discipline constructs its response to the same problem. It was concluded that the state's unusual action was triggered by the coalescence of a number of factors, rather than any clear demonstration of Garry David's propensity for dangerousness, apart from his sel-mutilation. Of particular importance were: the arousal of intuitive fears about dangerous persons in the wake of some recent multiple killings; the Government's need to reaffirm its support for the Victoria Police; the influence of structural changes within forensic psychiatry; and finally, the way in which Garry's dramatic and articulate threats were intensified by his ability to violate his own body and by his unusual tenacity in resisting carceral pressure. The legacy of Garry David was three fold: more general preventive detention legislation was implemented under the provisions of the Sentencing Act 1991 (Vic); a niche was created for the treatment of some of the more severely personality-disordered; and the High. Court of Australia rejected singular legislation for dangerous persons. This case is a palpable demonstration of the need to safeguard the traditional distinction between the Executive and Judiciary, and it points to the inadvisability of governments directly intervening in professional areas of decision-making.
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    The provision of hospital care in country Victoria 1840's to 1940s
    Collins, Yolande M.J ( 1999)
    Many hospital histories have been written whose authors have usually made exaggerated claims about the significance of individual hospitals. This narrow approach fails to take into account the influences of ideological and economic changes such as the rise of the Labour movement between 1890 and 1915, the erosion of the charitable ideal, the secularisation of Australian society and the increased acceptance of certain welfare provisions as a right rather than a privilege. This results in some misconceptions and a blinkered view of hospital development. A comparative analysis of how country hospitals were administered during this early founding period is important because it reveals that prior to 1862, three categories of hospitals were established, namely, working men's hospitals, custodial or hospital/benevolent institutions and semi-voluntary hospitals. All were controlled by hospital committees dominated by lay community leaders. Country hospitals provided an important focus for small communities with hospital committees defending their independence and resisting attempts by central authorities to wrest administrative control from them. The control exerted by an increasingly centralist State government over hospitals in country Victoria (heavily influenced by the medical profession), hindered their development to a greater degree than those in metropolitan areas. The mechanisms for achieving this were the enforcement of the Appropriation Acts from 1862 and the rigid implementation of the 1923 Hospital and Charities Act. Both of these kept hospitals tied to the voluntary/philanthropic model (or semi-voluntary model because charities received significant funding from the state) until the 1930s thereby delaying the establishment of more viable community hospitals. After the early 1930s, a transition from charities to community hospitals occurred. A major source of their concern was the already inequitable levels of funding compared to metropolitan hospitals. This inequity meant that Hospital Committees spent much time raising funds through enlisting subscribers, fund-raising and soliciting bequests. Their first collective action was the formation of the Country Hospitals Association in 1918. The number of charitable hospitals in country Victoria grew rapidly from fourteen in 1859 to thirty-four in 1891 and sixty-one in 1923. In that year there were also 476 private hospitals, which prior to the 1890s were little more than nursing homes. Whilst the Charities Board sought to control the spread of public hospitals, hospitals established by the Bush Nursing Association proliferated outside their control, leading to conflict between the Board and the Association. Funding for public hospitals dropped significantly between the 1890s and 1930s. At the same time there was an increase in the demand for beds in public hospitals by the lower middle classes who found private hospital costs prohibitive and wanted the higher standard of care provided in public hospital facilities. An increased dependence on medical technology led to an urgent need for the upgrading of Victorian country hospitals' technologically obsolete equipment. Additionally, Victorian hospitals were heavily influenced by North American views on efficiency and standardisation. Finally, the impetus to improve hospitals came in the 1930s when unemployment relief funds and a gambling tax levy subsidised new hospital facilities.
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    Homefront hostilities: the first world war and domestic violence in Victoria
    NELSON, ELIZABETH ( 2004)
    This thesis examines the influence of the First World War on domestic violence in Victoria, Australia. A reading of court cases, newspaper reports, official records and oral testimonies reveals a connection between the war and individuals' violent behaviour within marriage, apparent during the war and in the decade following the cessation of hostilities. This connection explains what appears to be an increased incidence of domestic violence in the immediate aftermath of the war. A link between veterans' war trauma and domestic violence - frequently assumed in the historiography - existed, but this was just one aspect of the war's impact on domestic violence and did not account for all cases of returned-soldier wife abuse. The war contributed to both veterans' and civilian men's wife abuse by idealising male aggression and by provoking a range of experiences that personally disempowered men. Against the masculine ideal of the fearless Anzac, many men's self-esteem diminished. Failure to enlist, failure to fight, and failure to cope with horrifying memories of battle were some of the ways in which men fell short of their own and society's expectations of manliness. Male insecurity was further exacerbated by women's increased self-assertions. The war afforded many women greater social and economic autonomy, a situation which made wives' separation from violent husbands more viable. The war was influential, too, in shaping social responses to domestic violence. The new masculine hierarchy of wartime affected judicial determination of who was, and who was not, accountable for acts of violence. Official leniency towards returned-soldier perpetrators was noticeable both during and after the war, and in the post-war years such leniency also extended to civilian defendants. While the outbreak of war sparked renewed enthusiasm for male chivalry towards women, this ideal disappeared rapidly after 1918. ln a context of male antagonism towards women's apparent advancement, a new male ambivalence towards wife abuse emerged within the public realm. The notion of men as victims, rather than as brutal tyrants, informed much official reaction to actual cases of domestic violence. Greater official indifference to men's violence against their wives after the First World War was the result not only of men's fears of female encroachment on male privilege, but of a changing interpretation of the causes of domestic violence. The widespread phenomenon of shell shock in soldiers served to further the currency of psychological theories of human behaviour. In the post-war decade, the stereotype of the disturbed violent veteran both emerged from, and influenced, the proceedings of cases of domestic violence in Victorian courts. The idea that returned-soldier violence was a product of battle nerves weighed on cases of wife abuse, regardless of whether the facts of individual cases evinced such a connection. The violence of civilian men also increasingly came to be understood in a psychological framework during the 1920s. As the community's awareness of psychological factors burgeoned, the belief that domestic violence was an outcome of extraordinary stresses on ordinary men's minds began to prevail in the public sphere. Such an understanding helped to dismantle the dominant pre-war stereotype of the working-class 'wife-beater'.
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    Factory girls: gender, empire and the making of a female working class, Melbourne and London, 1880-1920
    Thornton, Danielle Labhaoise ( 2007)
    Between 1880 and 1920, something remarkable happened among the women and girls who worked in the factories of the British Empire. From being universally represented as the powerless victims of industrial capitalism, women factory workers in the cities of Melbourne and London burst onto the stage of history, as bold, disciplined and steadfast activists and demanded their rights, not merely as the equals of working-class men, but as the equals of ladies. The proletarian counterpart of that other subversive fin de siecle type, New Woman, the factory girl became visible at a time when the nature of femininity was being hotly contested, and coincided with the growing militancy of the organised working-class. Her presence in the streets, economic autonomy and love affair with the new mass culture, represented a radical challenge to conventional bourgeois ideas of how women should behave. Her emergence as a new social actor also coincided with a crisis of confidence in Empire, radical disillusionment with the project of modernity and a growing unease about the consequences of urban poverty. As middle-class anxieties proliferated, so surveillance of the factory girl intensified. In this way, female factory workers came under the scrutiny of missionaries, medical men, demographers, social workers, socialists and sociologists. This study traces the role of female factory workers in the emergence of a transnational movement for working-class women's rights. As more women entered the factories in search of independence, their shared experience of exploitation emboldened and empowered them to demand more. During this period, increasing numbers of female factory workers in both cities thus confounded the stereotype of female workers as submissive, shallow and innately conservative, by organising and winning strikes and forming unions of their own. Such explosions of militancy broke down trade unionist prejudice against women workers and laid the foundations of solidarity with male unionists. They also forged of a new model of working-class femininity; based not on the pale imitation of gentility, but one which expressed a profoundly modern sensibility. In the process, women workers fashioned a new political culture which articulated their common interests, and shared identity, as members of a female working class. Yet the rise of working-women's militancy also coincided with the mature articulation of a racialised labourism and the rise of male breadwinner regimes. As the white populations of Empire were re-configured as one race with a common imperial destiny, the corresponding preoccupation with the white settler birth rate, increased hostility and suspicion of women workers. The first decades of the twentieth century thus saw the solidification of a regulatory apparatus which sought to police and discipline young working women in preparing them for their racial destiny as mothers. The contemporaneous demand of the labour movement for a family wage worked to further marginalise wage-earning women, and ultimately reinforced the sexual division of labour.
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    A hidden history: the Chinese on the Mount Alexander diggings, central Victoria, 1851-1901
    Reeves, Keir James ( 2005)
    This thesis interrogates the history of the Chinese on the Mount Alexander gold diggings. Viewing the diggings as a cultural landscape, it argues that goldfields Chinese were more than simple sojourners. It reframes their place in local and national histories as 'settlers' rather than 'sojourners'. In so doing the thesis contends that Chinese-European relations on the goldfields were more complex than orthodox historical interpretations have acknowledged, and that the Chinese were active parties in the international mid-nineteenth century gold seeking phenomenon. A key aim of this thesis is to locate the Chinese gold seekers within the polity of a dynamic expanding imperial British society on the periphery of the settled world. It also considers the enduring Chinese role, albeit on a smaller scale, in these Pacific Rim neo-European settler societies after the gold rushes as the goldfields communities consolidated themselves from the 1860s onwards. While it is true that many returned to China either voluntarily or as a result of state pressure, the initial objective was to examine the continuing history of the goldfields generation of Chinese and their descendants in Australia. That history continued well beyond Federation into the twentieth century. The raison d'etre of this thesis is to challenge the historical neglect of the role of the Chinese in diggings society. This thesis has three complementary themes. The first examines the need to refine the concept of sojourner, and add to it the concept of Chinese 'settler' experience. The second is to portray the Chinese as socially active, politically engaged participants in goldfields life society and the third is to contextualise the experience the Castlemaine Chinese in broader national and international histories of the gold seeking era.
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    Imperial game: a history of hunting, society, exotic species and the environment in New Zealand and Victoria 1840-1901
    Brennan, Claire ( 2004)
    Hunting was a popular and prestigious pastime in Britain and her colonies during the nineteenth century - indeed, during that period, the word 'sport' was used to mean hunting. The Hunt was valued as a form of social and cultural display, and its practice was tightly bound to the Victorian Imperialism, and to the British class system. It was as a result of its cultural connotations that the Hunt arrived in New Zealand and Victoria. The Hunts that developed in these two colonies provide an interesting comparison: while the colonies were very similar in settler culture, they differed enormously in their natural environments. However, the natural environments of New Zealand and Victoria were not conducive to the types of sport seen in Britain, in India, and in Africa. Both New Zealand and Victoria lacked the large, prestigious game animals that Imperial Britons had come to associate with the colonies. What sport was available was judged to be inadequate - the European settlers of New Zealand and Victoria brought with them cultural assumptions about the types of animal worth pursuing (for example, foxes, deer, grouse, pheasants, trout, salmon, and elephants, hippopotami, rhinoceroses, antelopes, lions, tigers and bears) and the Antipodean colonies could not supply them. Other prey species were killed but, lacking cultural significance, they were not considered satisfactory 'sport'. As a result, the wild environments of both New Zealand and Victoria were modified to accord with settler notions of appropriate prey. Both places were settler colonies, and so the animals introduced to provide game were generally those of the British Isles. Once suitable prey became available settlers energetically reproduced culturally familiar hunting forms in the Antipodes, often participating in culturally familiar, but personally unknown, forms of the Hunt for the first time in their new homes. The colonies allowed many settlers to make new claims to authority, and to try to create a more egalitarian society, and these aspirations were both expressed through the Hunt. Settlers used symbolic game species to express cultural relationships with each other, and with their new, colonial landscapes. In a colonial context culturally important animal species were used to express belonging, and possession. This thesis examines the cultural phenomenon of 'the Hunt' in the Antipodes, and its embodiment in symbolic species of animal.
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    The Australian Railways Union: railway management and railway work in Victoria 1920-1939
    Churchward, Alison Ruth ( 1989)
    This thesis takes the Australian Railways Union as a focus for an examination of the Victorian Railways between the two World Wars. The development of the union is traced through the optimistic expectations of the early 1920s, the disillusionment which followed the union’s affiliation with the ALP and registration under the Commonwealth Arbitration Court, to the increasing polarisation of the union on political lines as the 1930s progressed. At the same time the union’s relations with, railway management are explored. The innovative management style of Harold Winthrop Clapp, whose term as Chief Railways Commissioner covered the two decades under discussion in this thesis, is examined and set in the context of developments elsewhere in Australia and overseas. The repercussions of Clapp’s administrative and technological changes in railway work are discussed throughout the thesis, and particular attention is paid to the relationship between such changes and job loss. The problems arising from lack of clarity over control of the Railways Department, which are also examined in a separate chapter, were common to other statutory authorities as well. The financial situation of the railways is discussed in relation to that of other Australian railways. The problem of transport regulation to prevent uneconomic competition between motor transport and railways, which received growing recognition during the period of this thesis, also receives special attention. During the Great Depression, the Victorian Railways Department and the ARU played a central role in the national arena. The railway basic wage case of 1930, which resulted in a ten per cent cut in wages, set a precedent for all major industries. The analysis of transcripts of this lengthy case has produced much which is of general significance for economic and labour history. In the final chapters of the thesis, the ARU is shown approaching the radicalism of the 1940s, when large scale industrial action was carried out under Communist leadership. The union in 1939, following two decades of activity as part of a federal railways union, and experience of arbitration and affiliation to the ALP, was very different from the union which had existed up until 1920 in Victoria, with its narrow sphere of activity bounded by ‘the railway fence’, and this thesis explores that transition.
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    Intersections of conflict: policing and criminalising Melbourne’s traffic, 1890-1930
    Clapton, E. Rick ( 2005-07)
    Every single person on earth is a road-user; and, although an integral part of our society, the management of traffic is a low priority for most. Authorities constantly work to lessen the tension between the free-flow of traffic and traffic safety. Consequently, the management of traffic and its subsequent problems has consumed more time, money and resources than any other item on the public agenda. Between 1890 and 1930, urban road-traffic in Melbourne, Victoria, Australia, as in other world cities, underwent a revolution as speeds increased 500%. The motor-vehicle exacerbated existing traffic problems with increased trips and vehicle numbers. Authorities separated the various road users with road demarcations, and placed upon the Victoria Police the responsibility of managing the heterogeneous and complex traffic mix. By the close of the 1920s, all the components—policing, case and statute law, and the physical infrastructure—of the contemporary traffic management system were firmly in place. Introducing motor-transport into a centuries old road network designed for much slower modes of transport, was similar to putting high speed trains, capable of hundreds of kilometres an hour, onto conventional tracks. The marriage of old systems and new technology required a plethora of controls, procedures and safeguards to attain an acceptable level of traffic deaths. Nonetheless, no matter how many modifications, it persisted as a hybrid system. It could not be made to work efficiently.
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    Migration, work and community: Italian speakers in the Walhalla gold mining district 1865-1915
    Davine, Annamaria ( 2005-12)
    This thesis studies migration, work and community among Italian speakers in the Walhalla (situated in Victoria, Australia) gold mining district between 1865 and 1915, and analyzes the outcomes for those who either lived here for a time (as ‘sojourners’ in conventional historical parlance) or settled permanently in the district. It proposes to look way from the ‘big picture’ historical approach to Italian settlement in Australia, with its focus upon the large migrant communities in the capital cities, and instead examines the finer texture of small places and particular lives. The thesis offers a reconstructed history of Walhalla’s Italian community that challenges the prevailing emphasis of the district’s Anglo-centric history by using seemingly small and ‘insignificant’ events in order to develop broader themes which test and re-define ‘big picture’ history. In doing so, the thesis seeks to push the boundaries of understanding about what early Italians may have made of their lives, in terms of the experiences of specific individuals and family groups. Firstly, the thesis questions the adequacy of contemporary understanding of what it means ‘to migrate’, and its use in historical analysis. It employs the Walhalla study in order to re-assess and re-apply the term ‘migration’ so as to provide a broader and better understanding of its meaning to Italians in a nineteenth century context. Has the word ‘migration’ changed over time, or has its use oversimplified and formularized a complex and diverse process in time, place and belonging? Is there a useful place for re-applying the term in a more constructive and inclusive way? Secondly, the thesis re-examines and reconsiders the concepts of ‘migrant’, ‘sojourner’ and ‘work/migrant cluster’ and their application in our historiography. In particular, it focuses on the role of sojourners and their place within the migration process. A distinction between ‘migrant’ and ‘sojourner’ can only be drawn artificially and with hindsight and the use of these expressions in conventional historiography is unhelpful. Their application is problematic as strategies put into place prior to emigration could shift after arrival and the decision to settle permanently could be an imperceptible process made on an individual basis over time. Thirdly, the thesis evaluates Charles Price’s well-accepted theory that migrant settlements often developed in certain Australian districts because pioneer migrants were involved in the same type of work which, in turn, led to the ‘accidental’ development of migrant communities. Should Price’s theory be re-formulated to address the possibility that early migrant settlements may have been more complex than previously understood, and that there were many facets contributing to the evolution of a migrant community not exclusively attributable to one occupational group? Fourthly, the thesis reviews and examines the concept of ‘community’, its construction and what it may have meant to an early settler society and Italians within it. It explores the possibility that our national history may have been more inclusive, fluid and open ended than previously understood and that to completely separate, or isolate, different national or ethnic groups may be an incorrect modelling of early Victorian settlements. The thesis questions whether a broader theory should be applied to challenge the idea of a dominant British versus a non-British position towards the construction of ‘community’. By re-constructing an Italian community, the thesis teases out the dynamics at work within the Italian migrant settlement and its interaction and dialogue with Walhalla’s wider society. My thesis emphasizes the relevance of micro-studies of this nature and its findings need to be extended by studies of other minority groups in other small places. Their accumulated implications should influence the broader historical understanding of the national and international patterns of Italian immigrant settlement in Australia and other New World countries.