Abstract The Greek word nomos is usually taken to mean a law or a convention governing human conduct. The concept has been developed to understand social and economic order comprising three aspects: appropriation, production and distribution. In the present paper, I focus on appropriation and define it as the knowledge claims being made and circulated in science-policy-society interactions. Three general rationales are identified: the linear (speaking truth to power), the co-production of knowledge (making sense together) and the post-truth (inventing facts for friends). The objective of the present paper is to examine how the environmental coalition has attempted to ease the problems of climate change and biodiversity loss and how the economic coalition has responded to these strategies as well as how both coalitions have used the three science-policy-society rationales. I will identify and discuss five game-theory inspired strategies that the environmental coalition has used as well as outline some examples on how the economic coalition has responded to the knowledge claims by the environmental coalition. The knowledge claims are not static but rather evolve dynamically in interactions between competing coalitions. This highlights the relevance of the recent idea that actors working at the science-policy-society nexus need to consider their opponents and tailor their knowledge claims not only based on science or on their own objectives but also in a way that counters and anticipates the opposite coalition's knowledge claims and decisions. Based on the analysis, I propose that the interactions between environmental and economic coalitions can be understood as a "Contested Emergency". This paper highlights the relevance of knowledge claims in shaping the complex landscape of environmental governance and the challenges for movement towards a post-fossil future. The knowledge claims regarding the contested emergency end up grounding certain visions of future spatial orders and imply fundamentally different possible nomoi ranging from sustaining the status quo build on economic growth through technological solutions to radical transformative measures seeking to avoid social-ecological collapse.
Abstract New forms of environmental governance are implemented with promises associated with more flexible and participatory decision-making. However, resistance towards these ways of doing decisions occurs also in relation to forests in northern Finland. This thesis seeks to explain this resistance and to discuss how participation in the context of multi-level environmental governance can be enhanced. A combination of anthropological fieldwork methods and concepts from environmental politics is used to create a bottom-up research strategy to examine forest governance. Based on theme interviews, planning documents and press releases of various actors, this thesis identifies problems for hybrid forest governance modes, which combine State, market, and civil society actors in decision-making processes. Based on selected topical case studies regarding state-owned commercial forests in Inari, Forest Lapland, Muonio, and Liperinsuo three different governance modes are identified: a State-based mode with a participatory dimension and two 'pressure' modes taking place via market-based campaigns of environmental NGOs and local protests. Concerning the protected areas, namely Malla Strict Nature Reserve and the Pallas-Ylläs and Oulanka national parks, one governance mode is identified as taking place on the vertical park managements – international conservation agencies – local resource users axis. A major explanation for resistance towards the different governance modes is that decision-making processes neglect site-specifics. Related problems include missing stakeholders, lack of site-specific discussions in planning processes, generalised concepts used in standardisation practices, engagement of 'faraway' stakeholders in decision processes, and lack of transparency. As a result, 'the site strikes back' responses, i.e. pressure campaigns, protests, opposition, and rumours have emerged. In order to mitigate resistance, this thesis proposes ways to enhance participation and deliberation in forest governance. However, the utility of these suggestions is challenged by polarised views and a lack of trust between the different parties. Finally, hypotheses explaining resistance towards decision-making are formulated. Also, contributions to environmental anthropology are outlined, and further questions relevant for research on environmental governance are posed. ; Tiivistelmä Uudet ympäristöhallinnan muodot lupaavat parempaa kansalaisosallistumista ja joustavuutta päätöksentekoon. Kuitenkin näitäkin hallinnan muotoja vastustetaan myös Pohjois-Suomen metsiin liittyen. Tässä väitöskirjassa pyritään selittämään vastarintaa metsien hallintaa kohtaan valtion omistamissa talousmetsissä ja suojelualueilla. Väitöskirjassa yhdistetään antropologisia kenttätyömenetelmiä ja ympäristöpolitiikan käsitteitä. Pohjaten teemahaastatteluihin, suunnitteludokumentteihin, lehdistötiedotteisiin ja www-sivuihin tämä väitöskirja määrittää ongelmia hybrideille hallinnan ja päätöksenteon muodoille, jotka koostuvat valtioon, markkinoihin ja kansalaisyhteiskuntaan liittyvien toimijoiden vuorovaikutuksesta. Pohjaten ajankohtaisiin metsäkiistoihin Inarissa, Metsä-Lapissa, Muoniossa ja Liperinsuolla kolme erilaista hallinnan muotoa erotellaan: valtiovetoinen hallinnan muoto, johon kansalaisyhteiskunta linkittyy osallistavien prosessien kautta sekä kaksi "painostusmuotoa", jotka koostuvat ympäristöjärjestöjen markkinapohjaisista kampanjoista sekä paikallislähtöisistä protesteista. Mallan, Pallas-Ylläksen ja Oulangan suojelualueisiin liittyen määritellään yksi hallinnan muoto, joka muodostuu puistojen hallinnoista, kansainvälisistä suojelutoimijoista sekä paikallisista luonnonkäyttäjistä. Näitä hallinnan muotoja yhdistää se, että niiden kohtaama vastarinta johtuu paikkakohtaisen päätöksenteon puutteista. Ongelmat liittyvät päätöksentekoprosesseista puuttuviin intressiryhmiin, suunnitteluprosesseissa käytyjen keskustelujen yleisluonteisuuteen, yleispätevien käsitteiden käyttöön standardoimisprosesseissa erityisesti suojelualueilla, läpinäkyvyyden puutteeseen sekä kaukaisten toimijoiden osallistumiseen paikallisiin päätöksiin. Näiden ongelmien seurauksena paikkakohtaisuutta ei huomioida riittävästi hallinnassa, mistä seuraa 'paikan vastaisku' protestien, huhujen, vastustuksen ja kampanjoiden muodossa. Vastarinnan syntymistä voitaisiin ehkäistä parantamalla osallistumista ja neuvottelua, joskaan parannusehdotuksetkaan eivät ratkaise luottamuksen puutteeseen ja osapuolten näkemysten napaistumiseen liittyviä ongelmia. Väitöskirjassa luodaan hypoteeseja, jotka selittävät ympäristöhallinnan kohtaamaa vastarintaa. Lisäksi väitöskirja tarjoaa antia sekä uusia tutkimuskysymyksiä erityisesti ympäristöantropologialle.
Abstract One of the objectives of the EU Common Fisheries Policy (CFP) is to increase the contribution of fisheries to fish food availability and self-sufficiency. Still, the use of catch is often a secondary concern in fisheries governance and management — or not a concern at all — while the focus is on harvesting. This paper examines how the use of forage fish for human consumption can be increased within the limits of sustainability, using Baltic herring as a case study. Baltic herring contains high levels of dioxins and the human consumption is very low: the catches are mostly used for industrial purposes. The paper uses a participatory backcasting exercise to define a desirable future vision for the use of Baltic herring catch and to develop pathways of actor-specific governance actions to increase the use of the fish as a safe-to-eat food. The results reveal that increasing the contribution of forage fish, such as Baltic herring, to food security entails a paradigm shift in fisheries governance that involves 1) inclusion of well-defined objectives for catch use in the EU CFP and the related regional multiannual plans, 2) broadening the scope of the MSY-driven governance and management to one that addresses catch use, and 3) proactive catch use governance.
Abstract The subarctic Teno River is one of the most significant spawning rivers for Atlantic salmon in Europe. In 2009, research indicated that the Teno salmon stock was in a weak state, and concern about the future of Atlantic salmon in the Teno River arose on both sides of the river, in Finland and Norway. In 2017, the governments ratified the new Teno fishing agreement (Teno Fishing Act 2017). The agreement aimed to reduce the fishing volume by 30%, and the new regulations concerned all users, including the indigenous Sámi, other locals, tourists, and fishing entrepreneurs. This triggered concern and anger in the Sámi community and among other locals generally. The dispute raised a question concerning the management of Teno salmon. We conducted a Q inquiry with 43 statements, covering aspects of interest, knowledge, management, and policy needs related to Teno salmon. We hypothesised that the key reason for the management tensions lay in how scientific and traditional knowledge fitted administrative knowledge requirements. By using self-organising maps (SOMs), four webs of beliefs emerged from the data: traditional Sámi fishing; salmon protection; equal economic opportunity; and evidence-based decision-making. We also further analysed the statements according to how they reproduced diverging and similar beliefs. We discuss the identity-related struggle, rights, and stakes and the underlying issue of confidence and respect.
Abstract Global warming, land-use change, mass tourism and a deteriorating socio-economic situation pose serious threats to the sustainability of mountain areas. The future development of these areas could be an example of the Great Transition scenario. Based on iterative and collaborative discussions with 60 treeline experts, we (1) envisioned plausible futures of treeline ecosystems in Europe and (2) explored the role of pragmatism in scenario development and use. The three global change scenario classes (Conventional Worlds, Barbarization, and Great Transitions) and four European scenarios (Economy First, Fortress Europe, Policy Rules, and Sustainability Eventually) were downscaled using the drivers-pressures-state-impact-response (DPSIR) framework. The scenarios that emerged, i.e., Global Markets, Self-sufficient Economies, Tyranny of Climate Governance, and Sustainable Use of Ecosystem Services, show that pragmatism can have either a propitious role or pernicious role in scenario analysis. Instead of being truly honest brokers, scenario producers are likely to manipulate, reconstruct, and change scientific knowledge to avoid socially and politically undesired trajectories. We showed by mathematical optimization that scenario users are likely to miss the Sustainable Use of Ecosystem Services scenario if they search within the pragmatic decision space which optimally justifies the two pre-existing global policies: climate policy and economic growth. We conclude that pernicious pragmatism leads to "the trap of the day"—a tendency of both users and producers of scenarios to use pre-existing policy agendas and scientific narratives as a pretext to promote their own objectives instead of being open to transformation in science and policy.
Abstract Previous literature on social equity has focused on procedure, distribution and recognition related to land use governance. We propose novel approach to examine social equity by following ideational turn with an aim to explore globally used and locally persistent myths that (mis)inform governance in practice and effect on the three dimensions of social equity for reindeer herding in northern Finland. We take synthetizing approach and elaborate and employ a comparative cognitive mapping method to classify the reviewed literature according to its linkage to the three dimensions of social equity, and type of relationship (utilizing, questioning, contextualizing) to the examined four myths. The myths of "tragedy of the commons", "non-human wilderness ideal", "noble savages", and "majority will constituting democracy" are persistently used in land use governance mainly because they provide justifications for furthering particular interest. Yet, these myths are also widely questioned due to the problems that their employment produces for reindeer herders. Furthermore, the background assumptions of the myths are often somewhat problematic. We discuss reinterpretation of these myths revolving around 1) a holistic approach, 2) considering non-indigenous local people as noble savages, 3) problems of melding herders as a stakeholder group similar to other groups, 4) steps from majority democracy towards self-governance, 5) whether social equity can be bought, and 6) biocultural diversity. These reinterpretations can inform land use policy and governance also beyond the case study. Therefore, critical view on the explanatory and constitutive powers of myths should be part of the portfolios to achieve social equity.
Abstract Social resilience is an essential aspect of sustainability in environmental management, especially in poor resource-dependent communities. To better understand the dynamics of social resilience, we have conducted a primarily qualitative study of communities dependent on hilsa fishing in two coastal villages in southern Bangladesh. This study applies concepts of social-ecological system (SES), social resilience and co-management in outlining our qualitative data and framing its interpretation. Our findings show that while the establishment of hilsa sanctuary areas has enhanced the previously low ecological sustainability of local small-scale fishing, the management of this program has challenged the social resilience of hilsa fishers by creating new inequalities in the distribution of power and privilege, in terms of the ways in which seasonal fishing bans are enforced and compensation for income loss during the ban periods is distributed. Based on our findings, we suggest specific measures for strengthening social resilience at the local level, including building community networks, developing community infrastructures, updating existing rules and regulations, providing alternative means of generating income for fishers during the crisis periods (e.g. natural disasters and fishing ban periods) and more active sharing of responsibility between stakeholders and government for management of the hilsa fishery. These findings are also applicable to understanding the issues beyond rules and regulations that co-management arrangements need to address in order to be successful and to enhancing the function of co-management arrangements in improving social resilience within resource-dependent communities.
Abstract This paper considers the hilsa shad (Tenualosa ilisha) fishery of southern Bangladesh as a case study regarding governance and power dynamics at play in a small-scale fishery, and the relevance of these for the sustainable management of coastal fisheries. Qualitative methods, involving in-depth individual interviews (n = 128) and focus group discussions (n = 8) with key stakeholders in the hilsa fishery, were used to capture multiple perspectives on governance from those in different positions in the relative power structures studied, while facilitating insightful discussions and reflections. The analysis here is based on a power cube framework along three power dimensions (levels, spaces, and forms) in Bangladesh's hilsa fishery. The study displays an imbalance in the present hilsa governance structure, with some stakeholders exercising more power than others, sidelining small-scale fishers, and encouraging increasing illegal fishing levels that ultimately harm both the fisheries and those dependent on them. To overcome this, we propose a co-management system that can play a vital role in equalizing power asymmetry among hilsa fishery stakeholders and ensure effective hilsa fishery governance. Our results suggest that recognizing analyzed power dynamics has substantial implications for the planning and implementation of such co-management and the long-term sustainability of the hilsa fishery.
Abstract Small-scale fisheries (SSFs) have been playing a crucial role in meeting the basic needs of millions of people around the world. Despite this, the sustainability of global fisheries is a growing concern, and the factors enabling or constraining the sustainable management of small-scale fisheries remain poorly understood. Hilsa shad (Tenualosa ilisha) is the single most valuable species harvested in Bangladesh waters, serves nutrition, income, and employment to the large population. This study analyzed the state and challenges of hilsa fishery in the Gangetic River systems (Padma and Meghna Rivers) by using two frameworks, namely the social-ecological systems (SES) and drivers-pressure-state-impact-responses (DPSIR) frameworks. Primary data for this analysis were collected by in-depth interviews (n = 130) and focus group discussions (n = 8) with various stakeholders in the hilsa fisheries. The perspectives explored here have been both critical and constructive, including the identification of problems and suggestions for improving the management of this particular social-ecological system. Hilsa fisheries, however, have come under severe threat since 2003 because of population growth, overfishing, pollution, climate change, the disruption of migration routes due to siltation, etc. All these have caused reduced catches and less stable incomes for fishers. This, in turn, has led to poverty, malnutrition, social tensions, stakeholder conflicts, and debt cycles amongst more impoverished fishing communities. These problems have been compounded by improved fishing technology amongst larger-scale ventures, the use of illegal fishing gears, and the non-compliance of government fishery management programs. Recommendations include the promotion of community-supported fisheries, the enhancement of stakeholder's social resilience, the introduction of co-management approach, an increase in incentives and formal financial supports, and possible community-managed sustainable ecotourism including hilsa fishing-based tourism.
Abstract In this paper, we elaborate an Institutional Analysis and Reconfiguration Framework centered around the 'action arena' theoretical approach. We develop this framework to analyze institutional reconfiguration to enhance sustainability, and operationalize it using research methods which focus on documentation of the institutional contexts through an extensive literature review and interviews of experts in forest policy. We apply the Institutional Analysis and Reconfiguration Framework to examine forestry institutions, address forest governance, and investigate their effect on socio-economic and environmental performances in forestry of Ukraine. The paper draws on the state of affairs in post-transition forestry, its difficulties, and new prospects for economic and institutional reforms. We examine challenges and opportunities in forestry and suggest key remedies and prospective ways forward. Results show that a combination of path dependency with the rigidity of institutions and a slow pace of economic and political reforms is the major obstacle to implementing decisions regarding sustainable forest policy. A reconfiguration of social practices is required, as well as the development of capabilities and awareness raising amongst relevant stakeholders, to realize the problems, envision alternative futures, challenge existing institutions, shift power relations and create new norms, rules, and decision-making arrangements. The way towards sustainability in forestry largely goes through changing institutions, and a human dimension of institutional changes reflected in the uptake of social innovation.
Abstract The implementation challenge of ecosystem-based (fisheries) management (EB(F)M) has entailed calls for integrated governance (IG) approaches in the marine field. We arranged an expert workshop to study the preconditions and applicability of IG, and to suggest how IG could be arranged in practice. Focusing on the management of the dioxin problem shared by the herring and salmon fisheries in the Baltic Sea, and using a coupled 'insight network'- SWOT (strengths, weaknesses, opportunities, threats) methodology, we evaluated two scenarios: 1) IG of herring and salmon fisheries to benefit from collaboration between these fisheries that suffer from the same problem, and 2) IG between the fisheries sector and the food/public health sector to incorporate food safety in fisheries governance. Our results demonstrate that a variety of societal, political, institutional, operational, instrumental, and biological factors affect the applicability of IG in marine contexts, and work as preconditions for IG. While societal needs for IG were obvious in our case, as major challenges for it we identified the competing cross-sectoral objectives, path dependencies, and limitations of experts to think and work across fields. The study suggests that establishing an IG framework by adding new aspects upon the current governance structures may be easier to accept and adapt to, than creating new strategic or advisory bodies or other new capacities. Viewing IG as a framework for understanding cross-sectoral issues instead of one that requires a defined level and form of integrated assessment and management may be a way towards social learning, and thereby towards the implementation of more sophisticated, open and broad EB(F)M frameworks.
Abstract Science-policy interface organizations and initiatives (SPIORG) are a key component of environmental governance designed to make links between science and society. However, the sciencepolicy interface literature lacks a structured approach to explaining the impacts of context on and by these initiatives. To better understand these impacts on and interactions with governance, this paper uses the concept of the governance 'meshwork' to explore how dynamic processes — encompassing prior, current and anticipated interactions — coproduce knowledge and impact via processes, negotiation and networking activities at multiple governance levels. To illustrate the interactions between SPIORGs and governance meshwork we use five cases representing archetypal SPIORGs. These cases demonstrate how all initiatives and organizations link to their contexts in complex and unique ways, yet also identifies ten important aspects that connect the governance meshwork to SPIORGs. These aspects of the meshwork, together with the typology of organizations, provide a comprehensive framework that can help make sense how the SPIORGs are embedded in the surrounding governance contexts. We highlight that SPIORGs must purposively consider and engage with their contexts to increase their potential impact on knowledge co-production and policy making.
Abstract Ecological restoration is key to counteracting anthropogenic degradation of biodiversity and to reducing disaster risk. However, there is limited knowledge of barriers hindering the wider implementation of restoration practices, despite high-level political priority to halt the loss of biodiversity. In Europe, progress on ecological restoration has been slow and insufficient to meet international agreements and comply with European Union Nature Directives. We assessed European restoration experts' perceptions on barriers to restoration in Europe, and their relative importance, through a multiple expert consultation using a Delphi process. We found that experts share a common multi-dimensional concept of ecological restoration. Experts identified a large number of barriers (33) to the advancement of ecological restoration in Europe. Major barriers pertained to the socio-economic, not the environmental, domain. The three most important being insufficient funding, conflicting interests among different stakeholders, and low political priority given to restoration. Our results emphasize the need to increase political commitment at all levels, comply with existing nature laws, and optimize the use of financial resources by increasing funds for ecological restoration and eradicate environmentally harmful subsidies. The experts also call for the integration of ecological restoration into land-use planning and facilitating stakeholders' collaboration. Our study identifies key barriers, discusses ways to overcome the main barriers to ER in Europe, and contributes knowledge to support the implementation of the European Biodiversity Strategy for 2030, and the EU 2030 Restoration Plan in particular.
Abstract Social innovation (SI) impacts are long-term changes that affect different dimensions of territorial capital (i.e., economy, society, environment, governance) for the territory in which SI occurs. Yet, systematic empirical evidence and theoretically sound assessments of the impacts of SI are scarce. This paper aims to fill the gap and assess the different aspects of SI's impacts in European and Mediterranean areas that are characterized by marginalization processes. To assess the impacts of SI in marginalized areas, we use the evaluation framework developed within the Social Innovation in Marginalized Rural Areas (SIMRA) Horizon 2020 project and apply it to nine SI initiatives related to the fields of agriculture, fisheries, forestry, and rural development. Our findings show that SI produces cross-sectoral (societal, economic, environmental, and governmental) and multi-level impacts (on individuals, community, and society), which have improved the societal well-being, and contributed to the reduction of certain forms of marginality, mainly inside the territory in which SI occurred.