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The article reviews the book, "This Grand Experiment: When Women Entered the Federal Workforce in Civil War–Era Washington, D.C.," by Jessica Ziparo.
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Pendant la crise économique des années 1930, les cols blancs se retrouvent nombreux parmi les rangs des chômeurs, créant ainsi « une nouvelle classe de pauvres ». Cet article explore le phénomène du chômage chez les cols blancs de Montréal et lève le voile sur leur expérience de la crise. Il s'attarde aux programmes d'assistance publique mis sur pied par les autorités municipales pour venir en aide aux chômeurs et à la réaction des cols blancs et de certains responsables de la charité relativement à la crise et à un système d'assistance jugé inadapté pour les cols blancs. L'article révèle que l'expérience et les réactions des cols blancs quant à la crise sont façonnées par leur appartenance à la classe moyenne. Au chômage, ils n'arrivent plus à maintenir les standards de respectabilité et le style de vie associés à la classe moyenne et se trouvent forcés de demander l'assistance publique aux côtés des ouvriers. La crainte d'un déclassement social et la peur d'être associés aux chômeurs de la classe ouvrière poussent les cols blancs à vouloir se différencier de ces derniers, réaffirmer leur appartenance à la classe moyenne et revendiquer des programmes d'assistance qui répondent à leurs besoins spécifiques. Certains responsables de la charité qui estiment que les cols blancs méritent des services adaptés participent également à cette différenciation.
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The article reviews the book, "Managerial Control of American Workers: Methods and Technology from the 1880s to Today," by Mel van Elteren.
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This article examines three popular renditions of female flight attendants in Canadaand the United States in teen fiction, film, and advertising, with attention to representational shifts fromthe1940s to the1970s.Our analysis demonstrates that the more sexualized image of the 1960s was a significant departure from the more complicated immediate postwar presentationof the flight attendant as a resourceful and capable career girl, albeit one still constrained by dominant notions of white, middle-class femininity. Created by management decisions in the face of increased capitalist competition, in concert with the influence of popular culture and gender ideology, the sexy stewardess altered the workplace environment for female flight attendants,but the legacyof earlier popular culture may well have aided their resistance to sexualization.
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This case study of a union campaign to organize personal trainers and fitness instructors at GoodLife Fitness, the world's fourth-largest fitness chain, is used to highlight the challenges and possibilities of organizing precarious workers in the multi-billion-dollar fitness industry. Drawing on the broader literature on union organizing and strategic corporate campaigns, primary documents related to the organizing drive, media coverage of the campaign, and in-depth interviews with union officials and fitness workers, the case study reveals how the workers were successfully, yet unconventionally, able to leverage institutional, symbolic, and associational power to build union muscle in an industry that is virtually union-free.
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The labour movement's inability to effectively respond to neoliberalism has resulted in reduced union membership and declining public status and influence of labour unions. This is having a cascading effect on other institutions that are at least peripherally linked with the working class, from the rightward march of social democratic parties to the move away from class as the foundation of labour history. I suggest that the absence of revolutionary unions, those fighting for a future beyond capitalism, is one of the key underlying causes of labour's current malaise. By revolutionary unions, I mean unions that are explicitly pro-socialist and anti-capitalist in intent and that, by their actions and by the response of capital and state to those actions, foster an awareness of the class nature of society, the specific interests of working people as a class, and possibilities for collectively pursuing a better future. --Introduction
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As a dark side of leadership, scholars have shown that abusive supervision (AS) has negative consequences for subordinates work, organizations and society. This study focuses on the detrimental effects of AS on employee turnover intention, which is one of the major concerns for firms in China. We examined the underlying psychological mechanism between AS and turnover intention, specifically by focusing on the mediational role of psychological capital (Luthans et al., 2007) based on the conservation of resources theory (COR, from Hobfoll, 2002). By explaining the process of how AS can deplete individuals’ resources, which leads to protective behaviour and attitudes, we attempt to integrate COR theory into the existing AS literature. We also investigated the moderating role of broader organizational contexts represented by organizational justice perception in the relationship between AS and turnover intention, showing boundary conditions where the effects of AS can be amplified with regard to overall organizational justice perception. Based on survey data collected from young factory workers in northern China, this study finds that abusive supervision is positively correlated with turnover intention. Psychological capital, especially optimism, mediates this relationship. In addition, when workers perceived high levels of procedural and distributive organizational justice, this association between abusive supervision and turnover intention was even stronger. Furthermore, the perception of procedural organizational justice also moderated the mediation mechanism of optimism between abusive supervision and turnover intention. This paper enriches the extant studies by considering the relationship between abusive supervision and its negative consequences for manufacturing workplaces in a non-western country, a context that has been little studied. In addition, by showing how psychological capital and the perception of organizational justice affect the AS-turnover intention relationship, this paper provides a nuanced and deeper understanding of the psychological mechanism and organizational context of abusive supervision.
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À partir de l’enquête Santé et itinéraire professionnel (SIP) retraçant la trajectoire de salariés français entre 2006 et 2010, cet article étudie les liens entre la qualité des conditions de travail et d’emploi, et la forme prise par la mobilité professionnelle : volontaire, subie ou négociée. D’un côté, les enquêtes sur les conditions de travail en France montrent que l’intensité du travail demeure à un niveau élevé, le travail répétitif augmente et l’autonomie des salariés diminue; et, de l’autre, les succès de la rupture conventionnelle — modalité de rupture négociée du contrat à durée indéterminée, introduite en 2008 —, et des plans de départs volontaires dans des entreprises en difficultés économiques, interrogent dans un contexte économique peu favorable ces dernières années. L’un des facteurs pouvant conduire un salarié à décider ou accepter de quitter son emploi peut alors renvoyer à la manière dont s’est déroulée cette relation d’emploi, et, en premier lieu, au niveau de qualité de ses conditions de travail. Pour tester cette hypothèse, l’article propose, à l’aide de modélisations logistiques multinomiales, d’estimer les corrélations statistiques entre plusieurs indicateurs de conditions de travail et caractéristiques de l’emploi, et cinq types de mobilité (fin de contrat, licenciement, démission, rupture conventionnelle, autres). Les résultats montrent une corrélation positive entre des conditions de travail difficiles et des départs négociés via la rupture conventionnelle, ainsi que subis via des licenciements et fins de contrat. Par ailleurs, de faibles salaires ou un temps partiel sont des caractéristiques de l’emploi reliées positivement avec les mobilités volontaires. Cela mène à trois conclusions : 1- la rupture conventionnelle constituerait une voie supplémentaire de sortie pour des salariés mécontents de leurs conditions de travail; 2- des conditions d’emplois peu favorables inciteraient les salariés à démissionner; et enfin, 3- certaines entreprises pratiqueraient des modes de gestion de la main-d’oeuvre peu soucieuses de la fidélisation des salariés, associant précarité du travail et précarité de l’emploi via les mobilités et non seulement le type d’emploi.
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Notre étude cherche à comprendre la militance dans de très petites entreprises en France. Plus précisément, nous cherchons à cerner la forme prise par la militance dans ce contexte et les motivations du militant. Pour cela, nous nous appuyons sur 29 entretiens semi-directifs réalisés auprès de conseillers du salarié des deux principales entités syndicales. Mobilisant la littérature sur l’engagement et le travail militant, nous avons dégagé trois profils : le « bon soldat », le « défenseur des droits » et le « combattant ». Le « bon soldat » a une stratégie de valorisation de son syndicat. Sa militance s’exprime par un accueil soigné au salarié et un alignement sur sa position dans sa relation avec l’employeur. Son engagement militant montre qu’il cherche à préserver un équilibre entre son engagement syndical et sa vie privée. Le second profil, le « défenseur des droits », est attiré par les dimensions juridiques de son engagement auprès des salariés. Le conseiller du salarié ayant ce profil cherche à construire une stratégie de partenariat avec le salarié afin d’obtenir le moins de sanctions pour ce dernier. Pour lui, sa militance est d’abord motivée par la défense des droits du salarié. Le dernier profil, « le combattant », est très expérimenté syndicalement et il s’intéresse davantage à la relation interpersonnelle. Le conseiller du salarié de ce profil met en place une stratégie de conflits. Il s’engage auprès du salarié sans condition. Il lui propose une prise en charge totale jusqu’à le substituer et il ira jusqu’à mobiliser son syndicat, cela sans hésitation. L’étude met en exergue la diversité de la militance dans les très petites entreprises grâce à des conseillers du salarié qui restent fidèles à leur organisation syndicale et qui s’engagent auprès des salariés en s’appropriant la militance. Cette dernière vient questionner globalement les pratiques syndicales dans les très petites entreprises.
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Wagnerism has been at the centre of Canadian labour relations since the end of World War II. Wagnerism rests on a so-called balance between workers and employers. Between 2007 and 2015, the Supreme Court of Canada has ruled that the constitution includes protections for good faith collective bargaining and to strike. In these cases, the Court stated that it is not constitutionally enshrining Wagnerism, yet it also leaned heavily on Wagner principles in arriving at its decisions. Building on interviews with national union leaders, I argue that the ambiguity between the Court's decisions and Wagnerism has left workers uncertain about how these rights alter the material conditions of unions. I conclude that the court's embrace of labour freedoms will only have material benefit if workers are willing to use these newfound freedoms to build working class capacities to directly confront ongoing attacks by governments and employers on core union freedoms.
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Editorial on three conferences held in 2018-19 that examined the past, present and future of the study of working-class history.
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Over the past four decades, governments have backed away from the promotion of collective bargaining in Canada resulting in a tendency towards anti-unionism. Examining this new reality, this article investigates two interrelated trends in Canadian anti-unionism over the last two decades in an effort to conceptualize the role of the state in regulating labour relations. First, we investigate legislative attempts to undermine or eliminate the ability of workers to collectively bargain and strike. Second, the article unpacks the political economy of anti-unionism in the private sector by focusing on the role of lobby groups that have shaped labour legislation. These two interrelated threads allow us to expose the relationship between employers and governments, which has threatened the strength of organized labour in the private and public sector and shaped a uniquely Canadian anti-unionism. Finally, we conclude by examining both the strengths and limitations of the unique fight-back strategies used by the labour movement, which has sought to elevate aspects of Canadian labour law to be protected by the Charter of Rights and Freedoms. This, we argue, offers restrictive possibilities for advancing collective bargaining rights in the existing labour relations framework.
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A number of mechanisms contribute to the gender earnings gap – both its level and trends in it. We focus on three of them: occupational demand, the cumulation of disadvantage that originates in the unequal domestic division of labour, and labour market statuses which also may originate in the domestic division of labour. We show that changes in occupational demand associated with the dot-com boom and what followed it have caused substantial shifts in the relative earnings of young male and female university graduates. We provide evidence of how one consequence of the domestic division of labour – differences in hours worked by gender - contribute to the size and growth of the female earnings disadvantage. And, even in our generally young sample, human capital accumulation is more likely to be disrupted for women than for men. We identify several methodological and substantive implications of our results.
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The article reviews the book, "The Labour Church: The Movement and Its Message," by Neil Johnson.
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This article reviews and comments on "Precarious Employment: Causes, Consequences and Remedies," edited by Stephanie Procyk, Wayne Lewchuk, and John Shields, "Precarious Lives: Job Insecurity and Well-Being in Rich Democracies," by Arne L. Kalleberg, "Remaking the Rust Belt: The Postindustrial Transformation of North America, by Tracy Newmann, and "Working the Phones: Control and Resistance in Call Centres," by Jamie Woodcock.
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The article reviews the book, "Biography of an Industrial Town, Terni, Italy, 1831–2014," by Alessandro Portelli.
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This article examines the political economy of nutrition as a state-sponsored strategy to extract greater productivity from industrial workers in both wartime and peacetime. During World War II, the state, together with its munitions-industry allies, broadly considered workers’ nutritional health as a critical component to achieving maximum wartime industrial production. Following the war, both the state and industry imagined the nutritional health of workers’ bodies as crucial to Canada’s postwar prosperity. Facilitating as well as frustrating these largely state-directed nutrition agendas was a combination of medico-scientific knowledge, the sometimes uncertain and unpredictable participation of both employers and workers, and wider national and international historical contexts.
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For decades Canadian trade unionists have expressed frustration with the grievance arbitration system, but this tends to be limited to criticisms of the legalistic nature of the process and the costs and delays involved in getting a judgement. There is little discussion or debate about the denial of the right to strike, which is the central feature of the system. Nor is there much discussion about approaches to contract enforcement that situate legal strategies in broader political strategies to use worker power effectively, including the withdrawal of labour. This study investigates how the United Electrical Workers (ue), a left-led union, defended workers' rights at Canadian General Electric (cge) and Westinghouse in the early years of the new legal regime. pecifically, it charts the North American origins of grievance arbitration systems, sketches the development of personnel policies in the electrical industry, surveys the ue Canadian district's struggle to establish contractual relations and codify workplace rights at these two corporations, reconstructs the elements of ue's approach to contract enforcement, and reviews a number of mid-contract work stoppages at cge and Westinghouse between 1946 and 1966 to determine how the union, workers, employers, and arbitrators negotiated the ban on grievance strikes as they adjusted to new legislation and new collective agreement language.
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Employment Standards (es) legislation sets minimum terms and conditions of employment in areas such as wages, working time, vacations and leaves, and termination and severance. es legislation is designed to provide minimum workplace protections, particularly for those with little bargaining power in the labour market. In practice, however, es legislation includes ways in which legislated standards may be avoided, including through exemptions that exclude specified employee groups, fully or partially, from legislative coverage. With a focus on the Ontario Employment Standards Act, this article develops a case study of exemptions to the overtime pay provision of the act and regulations and examines in closer detail three specific areas in which exemptions apply. Through this study of the overtime pay exemption, the system of exemptions is presented as a contradictory approach to the regulation of es that, in effect, reduces es coverage, contributes to the avoidance of key legislated standards, and undermines the goal of providing protection for workers in precarious jobs.
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In 2014, the National Labor Relations Board's Regional Director ruled that scholarship football players at Northwestern University were "employees ". Subsequently, in 2015, the full board, andwithout deciding the players' status, declined to assert jurisdiction effectively ending the dispute. There are parallels between this dispute and lawsuits currently before the Canadian courts involving the Canadian Hockey League ("CHL'). The CHL is nominally an "amateur" league and is the principal development league for players hoping to pursue a career as a professional hockey player. The players claim they are "employees" under provincial employment standards statutes. The CHL maintains that the players are "student athletes ", akin to NCAA Division I scholarship athletes. This article examines the similarities and distinctions between CHL players and NCAA Division I athletes, discusses the CHL litigation, the probable outcome, and the possible ramificationso f this litigationf or the CHL and its players. *