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11 – 20 of over 2000The paper aims to explore, using an analysis of the three components of memes content, form and stance – whether and how the memes offer a broad picture of a specific society…
Abstract
Purpose
The paper aims to explore, using an analysis of the three components of memes content, form and stance – whether and how the memes offer a broad picture of a specific society during the COVID-19 pandemic crisis.
Design/methodology/approach
The author collected, from the two largest Facebook groups in Israel, 25 memes with the largest number of likes in each month, beginning from the month in which awareness of COVID-19 increased significantly, between March 2020 and February 2019. A total of 597 memes were collected. The data were analyzed by a quantitative and qualitative analysis.
Findings
Findings indicate that meme culture effectively reflects a society’s situation and the challenges it faces. Memes also reflect local cultural icons and effects. Meme contents vary across groups. During a crisis, memes do not function as fertile groups for sharp criticism or calls to take action to resolve society’s social ills.
Practical implications
Memes may serve as a tool to understand and explore an unfamiliar, foreign culture, its state of mind and its history through meme culture.
Social implications
Memes may constitute a platform for relieving stress through light-hearted humor, unaccompanied by a true call to action; that is, “slacktivism” which gives a sense of active participation without involvement in actual activities for change.
Originality/value
The study reveals that the Israeli meme culture is not activist and rather focuses on humor to relieve stress. Memes may be used as “bread and circuses” or a means of “slacktivism” that fails to call to genuine activism.
Peer review
The peer review history for this article is available at: https://publons.com/publon/10.1108/OIR-07-2022-0381
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Jawad Abbas and Shumaila Mazhar Khan
Based on the sharp decline in the quantity and quality of natural resources, many organizations are shifting their operations to an eco-friendly system. However, this objective…
Abstract
Purpose
Based on the sharp decline in the quantity and quality of natural resources, many organizations are shifting their operations to an eco-friendly system. However, this objective cannot be achieved without capitalizing on green knowledge and innovation. The purpose of this study is to examine whether green knowledge management (GKM) strengthens organizational green innovation capabilities, leading to green performance. Moreover, considering culture as the buffering condition, the authors took it as the conditional boundary between GKM and green innovation and investigated if it impacts their relationship.
Design/methodology/approach
The authors focused on the manufacturing and services firms’ managerial and non-managerial staff and collected data following the non-probability convenience sampling technique. The collected data were examined through structural equation modeling.
Findings
It is found that GKM is a significant positive predictor of organizational green innovation and green performance and strengthens their abilities in these areas. However, green innovation partially mediates between GKM and corporate green performance. It is also found that green culture strengthens the relationship between GKM and organizational green innovation.
Originality/value
This study’s findings provide confidence to organizational managers and related stakeholders to achieve sustainability goals by capitalizing on GKM and promoting green culture in their setup. This study is also among the pioneer studies investigating GKM as a unified system and linking it with environmental performance domains.
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Muhammad Mobeen, Haroon Ahmed, Fahad Ullah, Muhammad Omar Riaz, Irfan Mustafa, Mobushir Riaz Khan and Muhammad Usman Hanif
Spatio-temporal variations in precipitation pattern of district Sargodha is one of the most significant researchable questions because of the massive reliance on rainfall for…
Abstract
Purpose
Spatio-temporal variations in precipitation pattern of district Sargodha is one of the most significant researchable questions because of the massive reliance on rainfall for agricultural practice in the study area. The pattern of current rainfall in the study area is unexpectedly changed. The purpose of the present study is to examine the changing precipitation pattern and to link it with climate change.
Design/methodology/approach
The study was conducted by using rainfall data of the past 30 years collected from 8 meteorological stations around the study area. The averages of rainfall on monthly basis were temporally arranged, and the fluctuation trends were studied using GIS and statistics. The temporal data of rainfall were compared and contrasted with the precipitation normals of the study area from 1981to 2010. The rainfall deviation in the present study was calculated. The spatial pattern of rainfall was plotted by interpolating the eight points of Punjab around the study area for the first two decades, whereas the past decade was analysed by incorporating five more points of Tehsils in the existing eight. The spatial and statistical representation of data were examined by compare and contrast with the previous findings.
Findings
The rainfall in the study area showed remarkable changes in magnitude and spatiality. The rainfall in the district is on the rise, whereas the spatial pattern of rainfall is becoming more complex and anomalous in character. This paper provides convincing evidence about the impact of climate change on the magnitude and spatial patterns of precipitation in the study area.
Practical implications
It will be helpful for understanding the shifts in the rainfall pattern in future as well as for the preparation of response to the issue of climate change and its impacts.
Originality/value
The current manuscript, for the very first time, provided detailed insights about the precipitation pattern shifting during the last 30 years in district Sargodha, Punjab, Pakistan. Furthermore, agricultural sector would likely get severally affected because of seasonal changes in climatic factors like rainfall and have strong food security implications. The current findings will be useful to manage the climate change-related issues in Pakistan and helpful for the policy makers to design a coping strategy for climate change impacts.
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Joseph J. French, Michael Martin and Garth Allen
International Business, Ethics, International Legal Issues/Law, Environmental Management.
Abstract
Subject area
International Business, Ethics, International Legal Issues/Law, Environmental Management.
Study level/applicability
Upper-level undergraduates and graduate students. The case is appropriate for courses in International Law, Ethics, International Business and Strategy.
Case overview
This case is inspired by current ethical, legal, social and environmental issues that have plagued the multinational mining industry in frontier markets. The case focuses on a multitude of legal, ethical and strategic issues involving the multinational mining industry. This case describes a hypothetical assignment facing an operations manager at the fictional Minera, Inc. The assignment revolves around several dilemmas a manager must confront as he attempts to secure valuable mining licenses from the Mongolian Government while simultaneously attempting to harmonize seemingly detrimental operating practices with the organizations' stated beliefs. The case provides detailed background information on the social, economic and political climate in Mongolia, as well as the applicable laws, ethical frameworks and competitive market considerations facing multinational mining organizations.
Expected learning outcomes
This case will help students understand the complexity of international business in frontier markets; identify key international legal issues such as the foreign corrupt practices act; and recognize ethical issues and formulate economically, strategically, ethically and legally sound courses of action in complex environments.
Supplementary materials
Teaching notes are available for educators only. Please contact your library to gain login details or email support@emeraldinsight.com to request teaching notes.
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Michael Shaw, Priyantha Bandara and Sardana Islam Khan
This study is an attempt to apply the techniques of semiotics in conjunction with quantitative analysis to decode and interpret an advertisement which promotes the South…
Abstract
Purpose
This study is an attempt to apply the techniques of semiotics in conjunction with quantitative analysis to decode and interpret an advertisement which promotes the South Australian Barossa Valley as a tourist destination.
Design/methodology/approach
A survey was submitted to a Southeast Asian student and postgraduate sample. Regression analysis and qualitative analysis were carried out, which suggested that the advertisement was engaging the majority of the audience.
Findings
Most respondents expressed a desire to visit the location and used language which was evocative and connective. Those who did not or who were turned off by the advertisement's content expressed themselves in language which terminated further engagement.
Research limitations/implications
The sample was a non-target group, but this is an advantage because it provides a base level of unconditioned response.
Practical implications
A better understanding of semiotics may reinforce other areas of marketing endeavour such as social marketing approaches which are gaining more importance in the still developing COVID-19 economy. This methodology can be extended to other marketing communication contexts.
Social implications
Once campaigns have been aimed at target audiences, there may be potential to orientate another campaign at non-target audiences using the same advertisement. In terms of global marketing, this is extension rather than adaptation.
Originality/value
This study provides an example of how marketing could use semiotics in conjunction with quantitative methods to determine an audience's response and the intention to purchase a product or service.
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Naeem Abas, Esmat Kalair, Saad Dilshad and Nasrullah Khan
The authors present the impact of the coronavirus disease 2019 (COVID-19) pandemic on community lifelines. The state machinery has several departments to secure essential…
Abstract
Purpose
The authors present the impact of the coronavirus disease 2019 (COVID-19) pandemic on community lifelines. The state machinery has several departments to secure essential lifelines during disasters and epidemics. Many countries have formed national disaster management authorities to deal with manmade and natural disasters. Typical lifelines include food, water, safety and security, continuity of services, medicines and healthcare equipment, gas, oil and electricity supplies, telecommunication services, transportation means and education system. Supply chain systems are often affected by disasters, which should have alternative sources and routes. Doctors, nurses and medics are front-line soldiers against diseases during pandemics.
Design/methodology/approach
The COVID-19 pandemic has revealed how much we all are connected yet unprepared for natural disasters. Political leaders prioritize infrastructures, education but overlook the health sector. During the recent pandemic, developed countries faced more mortalities, fatalities and casualties than developing countries. This work surveys the impact of the COVID-19 pandemic on health, energy, environment, industry, education and food supply lines.
Findings
The COVID-19 pandemic caused 7% reductions in greenhouse gas (GHG) emissions during global lockdowns. In addition, COVID-19 has affected social fabric, behaviors, cultures and official routines. Around 2.84 bn doses have been administrated, with approximately 806 m people (10.3% of the world population) are fully vaccinated around the world to date. Most developed vaccines are being evaluated for new variants like alpha, beta, gamma, epsilons and delta first detected in the UK, South Africa, Brazil, USA and India. The COVID-19 pandemic has affected all sectors in society, yet this paper critically reviews the impact of COVID-19 on health and energy lifelines.
Practical implications
This paper critically reviews the health and energy lifelines during pandemic COVID-19 and explains how these essential services were interrupted.
Originality/value
This paper critically reviews the health and energy lifelines during pandemic COVID-19 and explains how these essential services were interrupted.
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Meanwhile, the pandemic-hit economy remains on shaky ground, although there are signs of recovery. Elections to the Senate -- parliament’s upper house, where the government bloc…
Details
DOI: 10.1108/OXAN-DB259208
ISSN: 2633-304X
Keywords
Geographic
Topical
Achraf Ghorbel, Mouna Abbes Boujelbene and Younes Boujelbene
This paper aims to investigate empirical evidence of behavioral contagion between oil market, US market and stock markets of oil-importing and oil-exporting countries, during the…
Abstract
Purpose
This paper aims to investigate empirical evidence of behavioral contagion between oil market, US market and stock markets of oil-importing and oil-exporting countries, during the oil shock and US financial crisis period of 2008-2009, after controlling for fundamentals-driven co-movements.
Design/methodology/approach
To examine the volatility spillover among oil market and stock markets, the conditional variance of the trivariate BEKK-GARCH model includes three variables: oil returns, US index returns, and the respective individual market returns of 22 oil-importing and exporting countries. The authors estimate the time-varying correlation coefficients between the prediction error of oil market and each stock index. Also, the authors estimate the time-varying correlation coefficients between the prediction error of US market and each stock index.
Findings
The estimation of the trivariate BEKK-GARCH model for VIX, oil market and 23 stock markets of oil-importing and oil-exporting countries suggests the volatility spillover of American investor sentiment to stock market and oil market returns. To capture the pure contagion effects between oil market and stock markets, the authors estimate the forecasting errors of time-varying parameter using the Kalman independently of macroeconomic fundamentals factors. The authors analyze the dynamic correlation between forecasting errors of oil price returns and stock indices returns. The authors show a sharp increase in time-varying correlation coefficients during the oil crisis and US financial crisis period of 2008-2009, which provides strong evidence of herding contagion between oil market and stock markets during the turmoil period.
Originality/value
This paper makes an original contribution in identifying the behavioral contagion between oil market, US market and stock markets of oil-importing and exporting countries especially during the oil shock and US financial crisis period of 2008-2009. Specifically, the authors consider investor sentiment and herding bias to explain the volatility transmission between oil and stock market returns.
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Shehbaz Sharif’s Pakistan Muslim League-Nawaz (PML-N), which governed prior to the National Assembly’s dissolution in May, has come second and Bilawal Bhutto Zardari’s Pakistan…
Details
DOI: 10.1108/OXAN-DB236420
ISSN: 2633-304X
Keywords
Geographic
Topical
Mahdi Salehi, Mahdi Moradi and Saad Faysal
The cost of equity (COE) and corporate governance structure are the most critical factors affecting competition among publicly held companies. Accordingly, the present paper aims…
Abstract
Purpose
The cost of equity (COE) and corporate governance structure are the most critical factors affecting competition among publicly held companies. Accordingly, the present paper aims to examine the relationship between corporate governance and the COE in the wake of the Islamic State of Iraq and Syria (ISIS) in Iraq.
Design/methodology/approach
Our statistical sample includes 34 companies listed on the Iraq Stock Exchange from 2012 to 2017. Board structure (i.e. board size, board independence, CEO tenure, board meetings frequency and CEO duality) and ownership structure (managerial ownership, institutional ownership and state ownership) are considered proxies for corporate governance structure. Besides, the authors employ the Capital Asset Pricing Model to measure the COE as our dependent variable. Multiple regression analysis and Exploratory Factor Analysis are also used to estimate the research models.
Findings
Our results suggest that corporate governance structure plays a significant role in reducing COE during the ISIS era. Furthermore, the authors find that corporate governance can be an alternative to COE reduction in Iraq’s absence of national security. Our findings also indicate that board size, board meeting frequency, managerial ownership and institutional ownership are negatively associated with COE.
Research limitations/implications
Although this study has been thoroughly considered and cautiously planned, the specific period chosen to conduct the research (i.e. the ISIS era) could be a significant limitation since financial disclosure of listed companies may have been of lower quality during this period. However, to relatively alleviate this limitation and maintain the authenticity of the findings, the authors exclude low-quality financial statements, particularly non-audited financial reports, from the statistical sample. Furthermore, practitioners of emerging markets that are suffering from a weak external corporate governance combination can use the findings of this paper as a guideline to compensate the existing market deficiencies by improving internal corporate governance for observing further cash sources with lower cost. The findings also propose to international agencies that the business environment in Iraq is heavily affected by the ISIS phenomenon and needs financial aid to recover from its side effects. Furthermore, macroeconomists may use this paper to make more decisive macroeconomic indicators predictions.
Originality/value
This paper is among the pioneer investigations and elaborates on how the agency conflict is resolved effectively. The board and managerial characteristics and different forms of ownership might be applicable to provide cheaper funds for companies listed in emerging markets suffering from weak external corporate governance combinations.
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