Development Dialogue 19 | Why we need alternatives to mainstream education — and how the ‘Nook’ model of learning can show us the way

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Contemporary education models continue to reflect and perpetuate colonial educational priorities and by virtue are intricately tied to goals of shaping ‘children as future adults’ and creating a ‘productive’ workforce through education. In the process, they exclude marginalised groups of people, denying them the opportunity to learn and thrive. Alternatives to mainstream education models have been sought all over the world and are gaining traction. In this blog article, Anoushka Gupta discusses ‘Nooks’, alternative community learning spaces that non-profit organisation Project DEFY has introduced in several Asian and African countries, and shows how they are transforming the way in which people approach learning.

Learners working on projects during the design phase. Source: Project DEFY.

Situating systemic challenges within mainstream education models

The outdatedness of several mainstream education models in their failure to enable individuals and communities to respond to emerging challenges have long been recognised. Yet, not much has been done in terms of questioning the foundational principles of these models and in finding enduring alternatives. Such alternatives are needed particularly in Asia and Africa, where several systemic challenges confront educational systems.

It is well known, for example, that the founding principles of schooling systems rest on the assumption that child development is a linear process — it is thereby assumed that a child of a particular age must learn certain skills and competencies before progressing further[1]. As a result, as children move through school, their worth is increasingly tied to their performance in standardized examinations, placing immense pressure on them to do well and limiting opportunities to explore interests or enjoy the process of learning. Metrics to understand what constitutes ‘success’ over the years (through assessment results or further educational trajectories) have standardised experiences and divorced education from its local context[2].

Moreover, differences in material wealth and social location play an important role in understanding variations in ‘success’ defined through assessment results. For example, Dalit and Adivasi communities in India who were historically excluded from economic resources and formal educational systems face challenges in meeting the uniform testing criteria, which puts them at a disadvantage in many disciplines and professions even today[3]. In Uganda, high rates of teenage pregnancy and associated stigma reproduce exclusion and drive girls to drop out[4].

These instances demonstrate that mainstream schooling is built on rigid eligibility rules and criteria for success that fail to secure an environment where learners feel safe and heard and where they can explore their interests instead of sticking to uniform curricula, often detached from their own realities. In the next section, I will show how the Nook learning model seeks to contend with such hegemonic education models and creates safe spaces in which learners can thrive without excessive pressure to perform.

Questioning why we learn

First conceptualised in 2016 by Abhijit Sinha, founder of the India-based non-profit organisation Project DEFY,[5]Nooks are physical community learning environments located in under-resourced places that are accessible to learners irrespective of their age, gender, marital status, and socio-economic background. These spaces are built on questioning the fundamental purpose of learning, which for mainstream models often is creating a productive workforce by teaching them standardised knowledge and skills instead of centring interest as the main driver of learning.

Sinha’s experiment started in a small village in Karnataka, India. Disillusioned with his own educational experiences in one of India’s top engineering colleges, he envisioned a space equipped with basic tools and without strict instructions or rules that would push learners to really explore their interests and would encourage resourcefulness, teamwork, and innovation. These spaces later expanded, went through several iterations, and became the ‘Nooks’ they are today. And they continue to be adapted to new conditions and the needs of learners and communities. Since 2016, 41 Nooks have been set up and 32 are currently operational through partnerships with local organisations across Uganda, Rwanda, Zimbabwe, India, and Bangladesh.

The freedom to choose how (and what) to learn

Nooks follow ‘self-designed learning’ as the pedagogical orientation where the core belief rests on learners defining and designing their own educational goals in an enabling environment. Each space is equipped with basic tools, raw materials, the internet, and laptops and has two fellows who act as mentors.

The Nook follows a cycle-based structure comprising four stages:

  1. Exploration — fellow-guided sessions that introduce learners to diverse learning areas (from robotics to art to storytelling).
  2. Goal Setting — the identification and articulation by learners of a specific learning goal based on their interesteither from areas in the exploration stage or something totally different, as well as their definition of the steps and resources required to translate the goal into a project.
  3. Design — the execution by learners of the project, which they spend approximately three to six months on (the length of the cycle differs depending on the Nook).
  4. Exhibition — the presentation of their work at an event known as an ‘external exhibition’, which is used as a platform for showcasing learner projects to community members and external stakeholders.

Conversations, reflections, and enjoyment

In each cycle, beyond working on projects, learners gather twice a day in opening and closing circles to discuss any troubles they have faced, be it related to their project or something that bothers them in general. Reflections during these designated discussion hours are meant to build a sense of community in the Nook. Many learners have chosen to take up problems in their community – for instance, learners are trying to tackle environmental pollution in the Barishal Nook in Bangladesh. This approach to learning allows individuals to share challenges without judgment and allows them to flexibly explore their interests without assessments or pressures of completion. It intends to recentre the role of learners’ agency and to foster an understanding of individuals as part of a larger collective.

An opening circle in one of the Nooks. Source: Project DEFY.

The Nooks have also had a wider impact. First, self-designed learning naturally implies that projects differ across and within Nooks. A common thread, however, is that learners tend to pick up problems they see in their surroundings or delve deeper into an area they were curious about. In the Bulawayo Nook in Zimbabwe, for example, a learner articulated his desire to build an artificial limb, explaining,Personally, I need it. I would also want to help other people in my community who are disabled once I achieve this goal. The cost of artificial legs is very expensive in the country so that is why I decided to make a cheaper and innovative one”.

Several learners also revealed that their goals challenged normative gendered ideas of learning and work. For instance, in the Gahanga Nook in Rwanda, a female learner spoke of how she intended to learn tailoring initially. However, with exposure to different areas, she discovered her interest in welding despite initial resistance from her family. With time and through encouragement from peers and fellows, she created a hanger and a garden chair, ultimately convincing her family to support her.

Lastly, Nooks foster a community identity. Before Nooks are set up, a community mapping exercise is carried out to understand how the space potentially adds value to the lives of community members. The eventual goal of each Nook is for learners to drive the concept independently. While Nooks are still young and learners running the Nook independently are yet to be located, several seeds of leadership from within Nooks have been sown. Beyond taking on day-to-day responsibilities, steering opening and closing circles, and mentoring fellow learners, the transition of several learners to Nook facilitator roles is encouraging.

Expanding the ‘idea’ behind and beyond Nooks — some final takeaways

Globally, enhancing access to schooling is hailed as a marker of development. Yet, the exclusion and disempowerment that are part of both the design and implications of such beliefs are rarely questioned. In contexts where disempowerment stems from wider socio-economic barriers that trickle down to schooling, Nooks demonstrate the value of learning spaces that allow flexibility to explore one’s interests without imposing restrictions on what to learn. In turn, the emphasis on contextual learning and engagement with community challenges as part of the learning journey seeks to upturn individualised notions of education.

Finally, while ‘community-led development’ is increasingly used as the go-to buzzword among development practitioners and donors, very few are truly willing to let go of predetermined criteria to measure the ‘output’ and ‘outcomes’ of education interventions. Truly recognising the agency of the learners and communities means first questioning our own metrics of what constitutes ‘success.’


This blog article draws on a recent working paper published by Project DEFY that can be accessed here


References:

[1] Prout, A. & James, A. (1997) ‘A New Paradigm for the Sociology of Childhood? Provenance, Promise and Problems’ in Prout, A. & James, A. (ed.) Constructing and Reconstructing Childhood: Contemporary Issues in the Sociological Study of Childhood. Second edition. London: Falmer Press. pp. 7-32.

[2] Ydesen, C. and Andreasen, K. (2020) “Historical roots of the global testing culture in education,” Nordic studies in Education, 40(2), pp. 149-166. DOI: 10.23865/nse.v40.2229

[3] See Ch2 ‘School Education and Exclusion’ in India Exclusion Report 2013-14. pp.44-75. Available at: IndiaExclusionReport2013-2014.pdf (idsn.org)

[4] Study-report-on-Linkages-between-Pregnancy-and-School-dropout.pdf (faweuganda.org)

[5] For more on Project DEFY, see https://hundred.org/en/innovations/project-defy-design-education-for-yourself


About the author:

Anoushka Gupta is a researcher based out of India. Her research interests include child and youth wellbeing, understanding social exclusion, and utilising participatory methods in community-based research. She has worked extensively with non-profit organisations primarily in India on educational quality and community-based learning models. She previously majored in Social Policy as part of the MA in Development Studies from the International Institute of Social Studies, Erasmus University Rotterdam and holds a Bachelor’s degree in History from St. Stephen’s College, University of Delhi.

Disasters as ‘tipping points’? How the deadly Bhola Cyclone influenced East Pakistan’s 1970 electoral outcomes and what this means for disaster politics

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The Bhola cyclone swept through the Bengal region in November 1970, displacing millions of people and leaving more than 300,000 dead. While such natural disasters cause widespread destruction that are felt for many years afterward, they can also be seen an opportunity for political change, writes Muhammad Basar, who contends that the cyclone influenced the 1970 election that ultimately led to the separation of united Pakistan. But although such calamities can act as catalysts for political restructuring, it is important not to become complacent in managing disaster risks, he writes.

 

The emergence of Bangladesh as an independent nation in 1971 is a significant event in modern history: its birth is not only the result of a prolonged struggle for freedom but also the consequence of an unexpected natural hazard leading to a man-made disaster that contributed to the rise of Bengali nationalism and their secession from Pakistan.

In November 1970, a severe cyclone made landfall on the East Pakistan coast, resulting in the tragic loss of nearly 300,000 lives in a single night of devastation. According to the Economic Times , the cyclone is ranked the fourth most devastating hazard in the past century. But what made the cyclone so destructive was not the force of nature but the force of circumstances: the Bhola cyclone struck at the worst possible place at the worst possible time.

The cyclone is particularly significant in the field of disaster studies not only due to its immense destructive impact but also because of the detrimental policies pursued by West Pakistan in its aftermath. This we explored in detail in our recent scholarly article titled ‘The final straw: Bhola cyclone, 1970 election, disaster politics, and the making of Bangladesh’. Our article offers valuable information for researchers and practitioners in the fields of disaster management and humanitarian assistance, shedding light on how ineffective disaster governance policies can contribute to political division in the wake of a disaster.

We refer to this event as a “critical juncture“, as it was one of the first instances of a compound disaster where a natural event contributed to the start of a civil war, an external military intervention, and, ultimately, the dissolution of a nation-state.We studied this phenomenon using qualitative research methods, which included six months of archival research, the analysis of media contents, and interviews with aid activists, political leaders, and survivors of the cyclone.

The pre-cyclone political configuration

The Bengalis, comprising 54% of Pakistan’s population, had limited influence over the economic and political affairs of the country. As a result, Sheikh Mujibur Rahman, the President of the Awami League (AL), a regional political party of East Pakistan, advocated for provincial autonomy and democracy through the famous ‘Six-Point Plan’ in the late 1960s. In response to increasing demands for democracy and equality, the Pakistani military government set a date for the nation’s first national election. The election was planned for December 7, 1970 and would take place simultaneously across all provinces.

However, on November 12 — just three weeks before the election — a powerful cyclone with winds reaching up to 200 km/h accompanied by 30-foot tidal waves hit the East Pakistan coast at midnight. The cyclone caused widespread destruction, resulting in a significant loss of life and displacing millions of individuals. Regrettably, the people of East Pakistan were not adequately warned about the cyclone, as the warning system failed to operate promptly.

The cyclone’s impact on East Pakistan’s political dynamics

The fallout of responses to the cyclone was found to be more severe than the cyclone itself. It took almost ten days for the government to officially announce a state of emergency and mobilize the military to aid in relief and recovery operations.President Yahya Khan received substantial criticism for his mismanagement of the crisis, with many viewing his lack of concern as a form of criminal neglect. This delayed reaction significantly influenced the attitudes of the Bengali population and fueled their desire to break away from the rest of Pakistan. Moreover, the cyclone had struck the poorest area of East Pakistan, where infrastructure, livelihoods, and economic prospects were severely lacking. And this disaster served as a wake-up call, revealing the critical importance of economic equality and political freedom for the survival of the Bengalis.

The leadership emphasized this point strongly. Maulana Abdul Hamid Bhashani, at the time a prominent figure within the National Awami Party in East Pakistan, voiced strong disapproval of how the government handled the cyclone’s aftermath. He criticized the Pakistani government for its perceived lack of empathy towards the affected individuals. On November 23, 1970, he made the significant declaration of East Pakistan’s independence and advocated for a boycott of the impending election. In response to his stance, two additional leftist parties also opted to abstain from participating in the election.

AL leader Sheikh Mujibur Rahman (popularly known as Mujib in both Pakistan and Bangladesh) conversely took advantage of the situation to unite the Bengali population against the ruling authorities of West Pakistan. Rahman highlighted the inadequate response of the central government to the crisis and stressed the need for increased autonomy to better protect the people of East Pakistan from future natural disasters. Through public gatherings, marches, and promotional materials, Rahman drew attention to the grievances of the East Pakistanis and emphasized the disparities between the two regions. A notable poster with the slogan “Why is Golden Bengal a Crematorium?” became a significant symbol of the AL’s electoral campaign.

A ‘Tipping Point’?

Political analysts had anticipated that the AL would emerge as the dominant political force in East Pakistan, but few had foreseen its landslide victory; it secured 160 out of 162 seats for East Pakistan in the election. The electoral outcome was surprising not only to political factions but also to the Pakistani military, which had underestimated the growing influence of Mujib’s AL in East Pakistan. Yahya and his administration were confident that no political party would be able to attain the critical threshold of 151 seats, resulting in a hung parliament that would be more susceptible to their manipulation in the future. Yet this is exactly what transpired.

This overwhelming victory provided Mujib with the authority to independently establish the government at the national level without requiring support from any other political party. He declared that his future government would draw up a new constitution for Pakistan based on the demands of his Six-Point Plan, which would give East Pakistan greater provincial autonomy and weaken the ties between the center and the provinces.

Despite the victory, a transfer of power did not occur. In an attempt to engage in dialogue, the central authority sought to persuade Mujib to abandon his plan and adhere to the principle of greater unity for Pakistan. However, Mujib and the Bengali nationalists saw no reason to deviate from their demands, as they had already received a mandate from the Bengali voters. Failing to resolve the issue with Mujib, the military instead of relinquishing power initiated a brutal military operation, known as Operation Searchlight, on March 25, 1971. This event sparked a civil war in East Pakistan, ultimately leading to the successful establishment of independent Bangladesh.

The complex interplay between natural disasters and politics

Our research suggests that the Bhola Cyclone of 1970 not only caused immense devastation but also had far-reaching political consequences in South Asian history. The post-disaster politics shaped the electoral landscape in East Pakistan, leading to a call for an election boycott and ultimately resulting in the AL gaining a significant majority. However, the military’s refusal to transfer power to Sheikh Mujibur Rahman sparked a civil war that lasted for nine months, leading to India’s intervention and the eventual emergence of Bangladesh as an independent country.

The aftermath of a cyclone created a distinctive situation in disaster politics, as it sparked a nationalist movement that ultimately resulted in the country’s fragmentation. This highlights the importance of effectively managing disaster crises during times of political instability to prevent further harm to a divided nation. The events following the Bhola Cyclone underscore the intricate relationship between natural disasters, politics, and the lasting impact of such occurrences. Despite the historical importance of these outcomes, they have been largely neglected in global historical narratives.

How can we further reduce the risk of disasters?

Disaster risk reduction in a situation where a state is politically, culturally, and economically divided and on the brink of fragmentation is one of the most challenging tasks in disaster governance. The Bhola Cyclone highlighted several key weaknesses in the disaster governance system.These included a deficient warning system, inadequate infrastructure and logistical support, reliance on foreign aid for recovery efforts, and a lack of political trust due to the presence of a non-democratic regime, leading to widespread public anger and political unrest.

This event demonstrated that a disaster can raise questions about legitimacy and underscore the importance of democratic freedoms and equal opportunities for all. Additionally, it revealed the significant impact of non-state actors, such as the media, civil society, political parties, and foreign donor agencies, in influencing government opposition.


To learn more about the cyclone and its relation to the independence of Bangladesh, our recent article published in the Contemporary South Asia can be consulted. The article is the outcome of our joint research funded by North South University, Bangladesh (CTRG-20-SHSS-05; NSU IRB/ERC: 2020/OR-NSU/IRB/1121).


About the author:

 

 

Muhammad Asiful Basar is a PhD candidate at the University of Antwerp, Belgium and Senior Lecturer at North South University, Bangladesh.

 

International Humanitarian Studies Association Conference 2023: “Humanitarianism in Changing Climates”

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The International Humanitarian Studies Association (IHSA), which is hosted at the Humanitarian Studies Centre at ISS, held its biennial conference at the beginning of November in Dhaka, Bangladesh. Held in collaboration with North-South University (NSU), and the Insights Network, the three-day conference featured a huge range of presentations and panel discussions on everything from migration, conflict, humanitarian education; and much more besides. The conference was also an opportunity to elect a new President and Board Members for the Association.  

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The International Humanitarian Studies Association (IHSA), brings together both researchers and practitioners from across the Humanitarian Studies spectrum and its related ‘sister’ subjects: including conflict studies, migration studies, environmental sciences; and international relations. The Association was founded in 2009 by a group of researchers including Dorothea Hilhorst (ISS), who  stood down as the third president at the conference. IHSA has plenty of activities and opportunities for members, including working groups and expertise databases, but one of its biggest activities is the biennial conference.

This time, the conference was held in Dhaka, Bangladesh, (and online!) and featured over 300 attendees.  It highlighted over 60 different panels and roundtables held on a range of subjects including: “Filling the gap or filling the shoes? Civil society and political change in historical disasters”, “Who or what constitutes the Humanitarian?”, “Building  locally led solidarities over shrinking space for civil society”, and “Humanitarian action in Latin America and the Caribbean (LAC): Its governance and peculiarities in the region”. You can check out the full list and schedule here, while various recordings of the roundtables will be available on the IHSA YouTube channel in the near future.

 

New President and Board Members elected

Antonio De Lauri (Chr. Michelsen Institute, Oslo) was elected by the IHSA Members as the new IHSA President, and will lead the Association for the next four years.

In a commendation speech, the outgoing President, Dorothea Hilhorst (ISS) said: “I’m delighted that Antonio will be leading the International Humanitarian Studies Association for the next few years: he is an excellent academic – a formidable intellectual that has a strong track record in field research in humanitarian arenas. He is a great networker and I am convinced he will be a wonderful IHSA President. I look forward to him working with the new board to bring the Association to a broader audience and take the IHSA community to become yet more meaningful to its members.”

Dorothea Hilhorst – one of the founding members of IHSA in 2009 – was the third President of IHSA after Alex de Waal and Peter Walker whom she succeeded in 2016. IHSA will now be hosted at the Humanitarian Studies Centre in The Hague, and will benefit from two new staff members, increasing the capacity of the organization exponentially. An exciting programme of events and initiatives is planned for the coming years.

 

New Board Members

Members of the Association also voted for new Board members to join the 10-person board. Palash Kamruzzaman (University of South Wales), Carla Vitantonio (CARE), and Juan Ricardo Aparicio Cuervo (Universidade de Los Andes) were newly elected, whilst Rodrigo Mena (ISS) and Andrew Cunningham were both re-elected. Board members serve for four years, and the newly elected members now join existing members Susanne Jaspars (SOAS, University of London), Nazanin Zadeh-Cummings (Rijksuniversiteit Groningen), Patrick Milabyo Kyamusugulwa (ISTM-Bukavu), and Maryam Zarnegar Deloffre (George Washington University).

Mohamed Jelle (UCL) and Virginie Troit (Fondation Croix-Rouge) have left the board following the end of their terms; IHSA would like to thank them for their work and dedication over the last four years.


The International Humanitarian Studies Association welcomes new members: students, researchers, and practitioners from across the world of Humanitarian Studies. You can find out more about member benefits by visiting the IHSA website.


Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.

About the author:

Tom Ansell is the Coordinator of the Humanitarian Studies Centre and International Humanitarian Studies Association.

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Knowledge is power: how ‘infomediaries’ are helping marginalized communities in Bangladesh claim access to information

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South Asian countries have made remarkable progress in adopting laws that provide citizens with the right to information. Yet in many instances, information still cannot be accessed, or differentiated access to information can be observed. ‘Infomediaries’ introduced in Bangladesh through a community empowerment programme have played an essential role in helping marginalized people access information by mediating between communities as information seekers and local governments as information providers. Such actors may assist marginalized communities in South Asia and beyond in claiming their right to information, writes Sujoy Dutta.

Legislation guaranteeing access to information has been globally recognized as a fundamental human right. Such legislation can empower citizens in urban and rural spaces, including women, by allowing them unrestricted access to information. This helps to promote transparency and accountability, for example by facilitating the review of government policies and programmes to prevent the misuse of government resources by officials.

However, the implementation of such acts does not always take place in ways that benefit all citizens equally. Studies indicate that merely creating a legal space is not enough to ensure that poor people can access information. Neuman and Calland argue that ensuring citizens’ right to information is a three-phased process that involves the introduction of law, its implementation, and, finally, its enactment. All the elements of this ‘transparency triangle’ are crucial and interrelated; however, the implementation phase is of paramount importance and serves as the base of the triangle.

In South Asian countries, the enactment of such laws occurred in the wake of political reform and the deepening of democracy. Pakistan was the first country to introduce a Right of Access to Information Act in 2002, followed by India (in 2005), Nepal (in 2007) and Bangladesh (in 2009). All these countries introduced this law after years of lobbying by civil society groups. While the laws are key for holding governments accountable, their use by poor communities in this region remains restricted.

 

What’s happening in India?

India’s Right To Information Act is considered to be one of the most robust laws in South Asia, yet it remains untapped by the poor and marginalized communities, who have limited means of access. In five Indian states (Goa, Tamil Nadu, Maharashtra, Karnataka and Delhi), citizens are more likely to access this law, as requests for information prompt officials to act “almost like magic”. This is because, once an application for accessing information has been submitted, the government is expected to produce results.

But in states that are considered less progressive, like Uttar Pradesh and Bihar, where incomes and literacy rates are lower and corruption is rampant due to poor governance, awareness this law is limited. In these states, government officials undermine transparency norms, refuse to provide the requested information, and reject appeals to access information on spurious grounds. These practices mock transparency laws, as the poor have a hard time dealing with inflexible bureaucratic officials and procedures.

Experiences from Mexico suggest that expanding the use of right to information to disadvantaged communities requires trustworthy intermediaries. In many countries, this role has been entrusted to NGOs, as well as community and youth groups, who enable the poor to submit their information requests without delay. This helps everyone not only to access information, but also to interrogate anti-democratic practices. A community empowerment programme of Bangladesh has shown how intermediaries can make an impact. Such configurations can be replicated in parts of South Asia and in other parts of the world where information has not reached disadvantaged sections of the population.

 

How ‘infomediaries’ are helping marginalized people

India’s more restrictive states could take cues from the Community Empowerment Programme (CEP) of Bangladesh. Introduced in 2011 and supported by the World Bank and the Bangladesh Rural Advancement Committee (BRAC), the programme is empowering the poor (especially women) to overcome difficulties they face while obtaining information. The activities of the programme include the identification, training, and assignment of ‘informediaries’– a cadre of information intermediaries who have a basic understanding of the law and are chosen from within the community to motivate villagers to access information. These informediaries hold information clinics aimed at developing better-informed citizens as they link the marginalized sections with state machinery.

In Bangladesh, these informediaries were selected from Polli Samaj, a popular theatre group who are accepted by villagers. Their role is to gather information queries from the community and submit applications of right to information to the relevant government or NGO offices on their behalf. When answers to the relevant information are received, they are passed on to the applicants.

Based on their popularity, these infomediaries are able to establish a close rapport with public officials through their repeated visits. This allows them access to information with relatively greater success. In many instances, they have been effective in assisting marginalized groups (including women) to access information by overcoming multiple barriers. These include communication, infrastructure, and unpaved roads and inadequate public transportation systems that have made it difficult and time-consuming for the women to travel to lodge their application for information.

However, if this concept is to be implemented in India’s less prosperous states, it has to move a step forward by ensuring that all marginalized groups have access to public offices. Infomediaries should also motivate women to demand information. This will eventually enable these groups to access information without the help of infomediaries.

Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.

About the author:

 

Sujoy Dutta teaches at Tata Institute of Social Sciences in India. His research publications integrate disciplinary tools from political economy, sociology, and public policy, much of which is based on fieldwork-based empirical analysis (in Uttar Pradesh, Andhra Pradesh, Karnataka, and some parts of Maharashtra, India). He holds a doctorate degree from the National University of Singapore and a Master’s degree from the ISS. Currently, he is undertaking extensive fieldwork in India and Bangladesh to examine the impact of the Right to Information Act on poor households.

 

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Rethinking Transactional Sex in Humanitarian Settings: Reflections for the way forward

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Transactional Sex (TS) is often used as an umbrella term to encompass a wide range of practices ranging from sex work to sexual exploitation and abuse. TS is typically framed in humanitarian settings through reductive lenses that portray the person engaged in them as without agency, forced into “negative coping strategies” by a larger crisis. Academics and practitioners have challenged these dominant framings in the Transactional Sex in Humanitarian Contexts panel as part of the 6th International Humanitarian Studies Conference. The presentations highlighted both the complexity and the nuanced nature of TS in different contexts, and common trends spanning a broad spectrum of humanitarian and displacement settings, including Bangladesh, the Democratic Republic of the Congo (DRC), France, Greece, Jordan, Lebanon, Pakistan, Sudan, Switzerland, Syria, and Turkey. The panel offered a reflection of the ideologies and frameworks implicit in humanitarian operations, which can blind us to the diverse needs and strategies of those engaged in transactional sex.

Transactional sex in humanitarian contexts: contemporary paradigms and interpretations

Transactional sex is the exchange of sex for cash, goods, services, commodities, or privileges. It is often framed by humanitarians as a form of violence in and of itself. Characterised by victim/saviour relationships and rescue narratives, these problematic and essentialising representations can have real world implications on policy and programming, along with unintended, often negative impacts on the lives of those engaged in them. To further complicate matters, there is a lack of conceptual clarity, and standardised and consistent use of terminology, such that what many describe as “transactional sex” is commonly conflated and used interchangeably with survival sex, sexual exploitation and abuse, sex work or sex trafficking.

Transactional sexual relationships exist on a spectrum encompassing various states of consent, power, emotional attachment, economic compensation, and social acceptability. All panelists highlighted that the lived experiences of those engaged in transactional sex do not align well with these monolithic representations, and are rather shaped by numerous structural factors, relating to historical pathways of patriarchy, conflict conditions, and other social, economic, and individual factors that often intersect with intimate consensual relationships. There is growing recognition that interpretations of transactional sexual relationships are culturally determined and constructed, and that this work involves complex negotiation of strategies of agency. Transactional sex occurs against a backdrop of gendered social norms, which are constantly shifting, and may vary between and within countries and communities.

Limitations and challenges of the current discourse

This is not to say that transactional sex is necessarily a safe or desirable livelihood strategy. Transactional sexual relationships are shaped by various structural drivers and conditions that are often created by migration, and aid policies and politics, among other inherent power disparities that entail risks of gender-based violence, and negative impacts on sexual and reproductive health. However, it is crucial to recognise that individuals weigh such risks in relation to their own lives and define what safety and protection means for them. This is further shaped by other factors relating to sexual orientation, gender identity and expression, social and cultural factors, and disability, for example. Research and empirical insights from practitioners are increasingly challenging the erasures of non-heteronormative experiences of transactional sex and calling for more intersectional approaches in research and programming.

People engaging in transactional sex and civil society groups, including human rights defenders, health advocates, sex worker-led organisations, NGOs, and grassroots movements, have already provided rich empirical insights and recommendations across a wide-range contexts, which, however, have not been taken up meaningfully by the humanitarian community. For example, in the post-panel Q&A it was highlighted how the Women´s Refugee Commission (WRC) Working with Refugees Engaged in Sex Work: A Guidance Note for Humanitarians, issued in 2016, might have been overshadowed by the #Aidtoo movement in 2017, and how a moral panic seldom allows for nuance and complexity. Moreover, we may also need to recognise that not all those who engage in TS identify as sex workers, and humanitarian actors do not necessarily see TS as sex work, which may be why such guidance can be interpreted very narrowly.  More recently, UNHCR and UNFPA launched the operational guideline Responding to the health and protection needs of people selling or exchanging sex in humanitarian settings  (2021) which will hopefully provide a clearer framework going forward in this regard.

The way forward: Rethinking transactional sex policy and programmes.

It is crucial to examine whose knowledge, voice, and power drives policy – or lack of it – on issues around TS, and how people engaged in TS in humanitarian settings, including migrants and refugees, become problematised, supported, and intervened upon by institutions based on vulnerabilities associated with and/or biases regarding gender, sexual behaviour and orientation. It is worth reflecting on why some experiences are omitted or marginalised, and how conditions of vulnerabilities are created by these very same institutions.

Transactional sex will continue to be a coping strategy for many individuals who make complex decisions and tradeoffs in humanitarian and displacement settings. Sometimes it may be the least risky option compared to the available alternatives. Bringing in the perspectives from and lived experiences of people engaging in transactional sex offers a crucial step in understanding their lives, decision-making process, desires, needs, or wants, and understanding. This includes, for example, the structural conditions and policies imposed by governments and humanitarian institutions that drive people into this practice, as well as considerations about whether they want to continue to engage in transactional sex safely or find other strategies. Ensuring sustainable and inclusive programming, and refraining from causing harm by perpetuating stigma and exclusion, centres on this more holistic reimagining of the issue of transactional sex as a complex social phenomenon.

Opinions expressed in Bliss posts reflect solely the views of the author of the post in question.

About the authors:

Clea Kahn has nearly 25 years of experience in the humanitarian sector in Africa, South Asia, and Southeast Asia. She holds an LL.M. in international human rights law, an MSc in psychology, and is currently pursuing a doctorate in counselling psychology. Clea focuses on protection of civilians, gender-based violence and migration/refugee issues, and is a member of the ListenH project: Livelihoods and transactional sex in Humanitarian Crises. She can be contacted at cleakahn@cleakahn.com.

Michelle Alm Engvall is a cultural anthropologist with a specialty in sex work and humanitarian action. Her research focuses on how framed understandings of transactional sex influence policy and programming and how this can lead to unintended consequences for affected populations. She can be contacted at michelle.a.engvall@gmail.com

Shirin Heidari is a senior researcher at the Global Health Centre, and research affiliate at the Gender Centre, Graduate Institute of International and Development Studies in Geneva. She is the principal investigator of a multi-country multi-disciplinary research on transactional sex and health repercussions in forced displacement. She can be contacted at: shirin.heidari@graduateinstitute.ch

Megan Denise Smith is a humanitarian worker and gender-based violence specialist with ten years of experience working with migrants and refugees in Bangladesh, Egypt, Lebanon, Rwanda, and the UK. She is currently based in Cox’s Bazar, Bangladesh with the International Organization for Migration (IOM) where she has managed IOM´s GBV programming as part of the Rohingya refugee response since 2017. She can be contacted at megandenisesmith@gmail.com

Dorothea Hilhorst

Dorothea Hilhorst is professor of Humanitarian Studies at the International Institute of Social Studies of Erasmus University. Her focus is on aid-society relations: studying how aid is embedded in the context. She coordinates the ListenH project: Livelihoods and transactional sex in Humanitarian Crises. Email: hilhorst@iss.nl Twitter: @hilhorst_thea

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When children have children: Can postponing early motherhood help children survive longer?

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In 2010, approximately 34% of young women in developing countries – some 67 million – married before reaching 18 years of age. An additional 14-15 million women will marry as children or adolescents every year in the coming decades. Child marriages lead to pregnancies and childbirths at an early age, which can have negative consequences for the health of both mother and child. Does the age at which motherhood takes place matter, and can postponing motherhood into adulthood help increase the chances of children surviving beyond five years of age? My study of teen pregnancies amongst Bangladeshi girls shows that age does matter, and it matters quite a lot.

Baby feet and mother's hand

Globally, in developing countries excluding China, one in three girls will probably be married before they are 18, according to UNFPA figures from 2012. Bangladesh has the highest rate of child marriages in Asia (and the third-highest rate worldwide); two in three women marry as children or adolescents in this country. This exceptionally high rate of child marriages in Bangladesh persists despite a minimum legal marriage age of 18 years for women, and it leads to more teenage pregnancies and a care burden for young women. A survey interviewing 72,662 Bangladeshi mothers in 2001 showed that 10% of interviewed women had their first child between the ages of 10 and 14 years, and another 69% of them had their first child between the ages of 15 and 19 (Figure 1).

Figure 1: Age at which Bangladeshi women have their first child

Bangladeshi women age of first child
Figure 1: In total, 72,662 Bangladeshi women who gave birth in at least two different points in time were surveyed for the Maternal Health Services and Maternal Mortality Survey of 2001. This figure shows which fraction of these women gave birth for the first time at a certain age. Source: Trommlerová (2020).

In general, we know that adolescent childbearing is associated with negative health outcomes for both mother and child. The mother faces an increased risk of premature labour, labour-related complications, and death during delivery (Senderowitz, 1995). She  may also suffer an injury, an infection or a serious health limitation, such as an obstetric fistula or perineal laceration (UNICEF, 2001), due to giving birth. These problems are caused both by physical immaturity and poor socio-economic conditions of young mothers, including a lack of access to sufficient antenatal and obstetric care (WHO, 1999).

The child of an adolescent mother is at a higher risk of a low birth weight (Restrepo-Méndez et al., 2015), which is mainly associated with poor maternal nutrition of adolescents during pregnancy (UNICEF, 2001). Low birth weight is, in turn, a frequent cause of death in the first year of life of infants (McCormick, 1985, Sohely et al., 2001). Apart from biomedical reasons, there are additional channels that link adolescent pregnancies to higher mortality in early childhood. These include insufficient access to maternal health care services and lack of experience in taking care of children.

A better understanding of the link between adolescent childbearing and young children’s survival chances is important as scientific evidence can drive policy changes, particularly in enforcing the minimum legal marriage age in Bangladesh. It can also inform the advocacy of changes in cultural practices. Thus, the central question is: Can postponing motherhood of teenage girls help their children to survive beyond infancy or childhood?

Building on previous knowledge, I looked more closely at the impact of adolescent childbearing on the mortality of young children at different ages between 0 and 5 years. The goal was to separate the effect of having a child at an early age from the fact that poorer (and, frequently, less healthy) mothers tend to marry younger and might therefore have less healthy children. The idea is the following: if children born to young mothers suffer higher mortality in early childhood due to biological factors, such as physical immaturity of mothers and the resulting low birth weight of their children, then we should observe different mortality rates not only between children born to adolescent and adult mothers, but also among siblings born to the same mother in her adolescence and adulthood—that is, in different phases of her life.

It turns out that children born to young mothers (child brides in Bangladesh) are more likely to die in the first year of life than their siblings born later on. This is true irrespective of how rich the household is (left graph in Figure 2). Only in poor households, these negative effects extend up to the child’s fifth birthday (black and blue lines in right graph of Figure 2).

In the two graphs below, we see how much lower the probability of death for an infant or a child is if the mother is older than 10-14 years. The age of the mother is displayed in five-year age groups on the horizontal axes. Different lines indicate different income groups (poorest Quintile 1 – black; Quintile 2 – blue; Quintile 3 – green, Quintile 4 – red; richest Quintile 5 – yellow). The percentage of increased risk of early childhood mortality per age group is shown on the vertical axes of the graphs. The left graph depicts infant mortality (up to one year of age) while the right graph shows child mortality (between one and five years of age).

The graphs show that up to one year of age, the income of the family does not really matter (left) while between one and five years of age, a higher income can help outweigh the negative effect of teenage pregnancies (right). The downward trend observable in the left graph is universal for all income groups and it indicates that all children have higher survival chances in the first year of life if their mother is not a teenager. In the right graph, a similar downward trend is observable only for the two poorest income groups, which means that only in poorer families, children of ages one to five have worse survival chances if their mother is a teenager. The three richer income groups show no downward trend (and their slightly upward trend is statistically not important) which means that in richer families, the mother’s age does not really influence her child’s survival if the child managed to survive the first year of life. The graphs are based on my study of adolescent childbearing among Bangladeshi women.

Figure 2: Infant and child mortality effects of maternal age for five different wealth quintiles

Child mortality Bangladesh
Figure 2: Dash-dotted lines mark the average mortality rate to benchmark the effect sizes. Source: Trommlerová (2020).

 

These results confirm my idea that the effects of adolescent pregnancies on child survival in the first year of life are of biological nature because they are universal. Possibly, they are related to the immaturity of young girls’ bodies and to low birth weight of their children. Beyond infancy, these negative effects remain only in poorer households, which is consistent with the notion that richer households are able to counteract a biologically induced, worse starting position of children born to adolescent mothers by compensatory investments in child health. However, these investments do not become effective until the children reach the age of one year old.

Finally, the estimated effects are substantial in magnitude: for instance, the survival chances of children born to mothers aged 20-24 years are 56% higher in infants’ first year of life and 24% higher when the child is aged between one and five, when compared to their older siblings who were born to young mothers (aged 10-14 years). These effects either persist or become even larger when comparing adolescent maternal age (10-14) to older ages (25-29, 30-34, etc. up to 45-49 years). Importantly, these results remain true also when I exclude older women or first-born children from the sample.

To summarize, I have shown that infants and children have a much better chance of survival when their mothers are adults. The postponement of motherhood into adulthood could help prevent around 12,900 infant and 18,700 under-five deaths annually in Bangladesh, as rough calculations explained in my paper show. These effects can be directly attributed to the practice of child marriages.

This article is based on a recent paper I authored, see here.

Main reference:

S.K. Trommlerová (2020). When Children Have Children: The Effects of Child Marriages and Teenage Pregnancies on Early Childhood Mortality in Bangladesh. Economics & Human Biology 39, 100904.

Other references:

McCormick, M. (1985). The contribution of low birth weight to infant mortality and childhood morbidity. The New England Journal of Medicine 312(2), 82-90.

Restrepo-Méndez, M.C., D.A. Lawlor, B.L. Horta, A. Matijasevich, I.S. Santos, A.M. Menezes, F.C. Barros and C.G. Victora (2015). The association of maternal age with birthweight and gestational age. Paediatric and Perinatal Epidemiology 29, 31-40.

Senderowitz, J. (1995). Adolescent Health: Reassessing the Passage to Adulthood. World Bank Discussion Paper 272. World Bank, Washington DC.

Sohely, Y., D. Osrin, E. Paul and A. Costello (2001). Neonatal mortality of low-birth-weight infants in Bangladesh. Bulletin of the World Health Organization 79(7), 608-614.

UNFPA (2012). Marrying Too Young. End Child Marriage. United Nations Population Fund, New York.

UNICEF (2001). Early Marriage – Child Spouses. Innocenti Digest 7. Innocenti Research Centre, Florence.

WHO (1999). The Risks to Women of Pregnancy and Childbearing in Adolescence. WHO, Division of Family Health, Geneva.

About the author:

Sofia TrommlerováSofia Trommlerová is a postdoctoral researcher in economics at Universitat Pompeu Fabra in Barcelona, Spain. Her main research interests encompass family economics, gender, child health, development economics, and economic demography. In 2017-2018 she was a postdoctoral researcher in development economics at the International Institute of Social Studies (ISS), Erasmus University Rotterdam, The Netherlands.

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