Curry Chandler

Curry Chandler is a writer, researcher, and independent scholar working in the field of communication and media studies. His writing on media theory and policy has been published in the popular press as well as academic journals. Curry approaches the study of communication from a distinctly critical perspective, and with a commitment to addressing inequality in power relations. The scope of his research activity includes media ecology, political economy, and the critique of ideology.

Curry is a graduate student in the Communication Department at the University of Pittsburgh, having previously earned degrees from Pepperdine University and the University of Central Florida.

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Anthropocene Imaginaries: Climate Fiction as Communication Infrastructure

Early reviews for Adam McKay’s new film Don’t Look Up are out, and they are decidedly mixed. This new movie seems to continue McKay’s trend of real-world-oriented comedies that engage with current socio-political events. McKay has transitioned from broad comedies including notable collaborations with Will Ferrell to a series of based-on-a-true-story/ripped-from-the-headlines entertainments. His films adopt a left-adjacent critical stance even though their output is often ideologically specious (the much-lauded The Big Short recapitulates a narrative of outlier exemplars of greed rather than recognizing the contradictory logics inherent to capitalism, and the otherwise impressive Vice contains a baffling scene where Steve Carell’s Donald Rumsfield laughs off the notion of ideology itself). Don’t Look Up is being received as a thinly-veiled climate change fable, which makes it the latest entry in the growing genre of climate fiction.

Writing for the L.A. Review of Books, Katie Yee outlines the language of climate fiction:

The landscape of climate fiction is populated by Greta Thunbergs. It features eerily mature kids, left on their own. While our instinct should be to protect and pacify the children, ironically, in these novels they are forced to be the purveyors of cruel truths as the adults around them are lulled into a state of passivity. The roles are reversed. The alarm here is new, electrifying, contagious. Just as Greta Thunberg speaks directly to you in the ads, these characters invite you into the fold of these stories. They warn us not only with the tragedies they face but with the careful words they use to recount them. Climate fiction is just as much about the tales we spin, the way we talk about our actions.

This past July I watched The Tomorrow War. Attempting to justify my rationale for doing so reminds me of Bill Hicks’ explanation for eating at a Waffle House: “I’m not proud of it, I was hungry.” In my case it was because I was days away from a major move and was eager for distraction as I packed boxes. I had anticipated that the movie would provide some alien invasion schlockery but was surprised when the opening sequence featured the interdimensional arrival of soldiers who announced themselves as “your children and grandchildren.” These soldiers emerged into our present day to deliver a warning of humanity’s imminent destruction. Watching these scenes it was impossible to not think of Greta Thunberg, the climate change activist whose impassioned pleas for her generation’s future have thrust her to the forefront of the climate culture wars. Did The Tomorrow War’s scenes of soldiers interrupting the World Cup to deliver a message of impending doom from the future not evoke a remediated echo of Thunberg’s famous “how dare you” address to the United Nations?

It was an invigorating metaphor for contemporary climate anxiety, and I was interested to see whether the filmmakers would lean in to this angle or if it was an unintentional veneer on this science fiction story. To my surprise, there were persistent allusions to the climate crisis throughout the film. The protagonist, played by Chris Pratt, is an ex-military operative now teaching high school science. When we first see him in his classroom he is trying to engage his students who have lost all interest in their studies in light of the revelations from the future war soldiers. They wonder: why study for exams, or apply to college, or hope for any future at all when they have received confirmation of humanity’s ultimate demise within the next thirty years?

It’s an evocative illustration of climate despair, the pervading melancholia that has particularly affected younger generations who are not only facing the specter of a transformed world, but also reconciling with the associated employment prospects. The scene dramatizes the “eco-anxiety” that may even become a diagnosable condition.

Pratt’s character attempts to counter his students’ existential apathy by arguing that science is more important than ever: it will take scientific ingenuity to meet and hopefully overcome this looming challenge. His speech about the importance of science would seem on-the-nose even if it wasn’t being delivered in front of images of polar bears precariously perched on pint-sized ice floes.

Global warming also plays an integral role in the resolution of The Tomorrow War’s plot. Our heroes ultimately realize (spoiler alert) that the spacecraft carrying the alien invaders is not destined to arrive in Earth’s future but rather crash landed more than a thousand years in the past. Initially submerged in ice, the gradual warming of the planet eventually thawed the aliens out, thus precipitating their attack on humanity.

Many reviewers found The Tomorrow War’s climate change metaphor to be wanting. For some, the metaphor fell flat. Others thought the dull action movie trappings failed to live up to the challenge. The discourse around The Tomorrow War reminded me of the chatter surrounding TENET when it was released last year. A brief exchange of dialogue during that film’s climax suggests that environmental catastrophe is the primary motivation for the temporal war that fuels the plot. Many commentators seized onto this brief bit of backstory as the key to unlocking the labyrinthine narrative, with reviewers referring to the film as a climate change allegory, “Christopher Nolan’s statement on climate change,” and a treatise on intergenerational justice. Like The Tomorrow War, critics also derided the fact that TENET eluded the climate crisis rather than confronting it head on.

These commentators are touching upon the potential for climate fiction to shape political imaginaries, and suggesting that these films can elucidate an agenda for addressing the climate crisis. Manjana Milkoreit has written about the potential for climate fiction to influence societal responses to climate change by depicting imaginaries of the future. Yet the imaginaries depicted in these science fictions seem insufficient for addressing political realities. Returning to The Tomorrow War: this film imagines the climate crisis as an alien invasion, and the solution to the problem is to go kill the aliens with guns and bombs. There is something effective in how the film posits that the “war” cannot be displaced or projected to the future, but rather must be fought in our own time, yet the solution it imagines is overly simplistic and individualistic. As Matt Christman noted in one of his CushVlog entries, The Tomorrow War overlooks the fact that everyone is aware of the threat yet lacks the mechanisms of collective action that would enable them to do anything about it.

Similar critiques are emerging in reviews of Don’t Look Up. One largely negative review ended by asserting that “if the movie helps to do something about climate change, such critical objections are unimportant.” The potential of climate fiction to function as infrastructure for political imaginaries seems like a salient area of inquiry, but perhaps we’re asking too much of our entertainments.

2021 Jane Jacobs Urban Communication Book Award

Nominations are currently being accepted for the 2021 Jane Jacobs Urban Communication Book Award. More information is available at the Urban Communication Foundation website, and you can read the full call below:

The annual Jane Jacobs Urban Communication Book Award recognizes an outstanding book, published in English, which exhibits excellence in addressing issues of urban communication. It is named in honor of the late social activist and author of The Death and Life of Great American Cities. All entries must be published between January 1, 2020 and June 30, 2021. The book award brings with it a $500 prize.

To nominate a book, please send a short letter of nomination or self-nomination (in the form of an email attachment) to Curry Chandler, chair of the Jane Jacobs Book Award review committee, at janejacobsaward2021@gmail.com by July 15, 2021. The letter of nomination should describe the book and explain how it addresses issues central to the field of urban communication. For more information on the field of urban communication, and to determine if your nomination fits the award call, please review the Urban Communication Foundation’s mission statement (at https://urbancomm.org/).

Review process: We will review all nomination letters after the July 15, 2021 deadline and choose a short-list of finalists. Only this short-list of finalists (or their publishers) will be asked to send four copies of the book to the award committee (in August). 

Email nomination letters to: janejacobsaward2021@gmail.com

Questions? Contact: rcc37@pitt.edu

Virtual Horizons & Futurology for 2021: Žižek on The Great Reset

With much ballyhoo and bellyaching about the absurdly miserable year of 2020, our collective calendars have finally turned to 2021. The year-end was marked by effusive declarations of relief and hope, even though these admissions of optimism were often tinged with cynical self-awareness reflecting the continuing complexities of our current moment (i.e. coronavirus vaccines are officially being rolled out, although infections are currently exploding in the U.S., and a new strain of the virus has been discovered; and it remains likely that Trump will leave office soon, despite ongoing efforts to delegitimize the election outcome, and nevermind what sort of policies we can reasonably accept from a Biden administration). 

In an essay published on New Year’s Eve by Jacobin, Slavoj Žižek considers the prospects of the immediate future in terms of a dichotomy between a socialist reset and a corporate “great reset”:

“When we try to guess how our societies will look after the pandemic will be over, the trap to avoid is futurology — futurology by definition ignores our not-knowing. Futurology is defined as a systematic forecasting of the future from the present trends in society. And therein resides the problem — futurology mostly extrapolates what will come from the present tendencies. However, what futurology doesn’t take into account are historical “miracles,” radical breaks which can only be explained retroactively, once they happen.”

The phrase “great reset” has proliferated through think-pieces and professional publications to describe the ways in which the effects of the pandemic will shape social reality and rearrange policy priorities for the foreseeable future. It is also the title of a proposal by the World Economic Forum for how the global economic recovery should be directed. The proposal thus represents the dissemination of managerialist and technocratic visioning statements on the behalf of an aristocratic elite who assume the mantle for guiding civilization’s progress. Žižek addresses some of the most visible exemplars of this group:

“The human face of this ‘leading with transparency, authenticity, and humanity’ are Gates, Bezos, Zuckenberg, the faces of authoritarian corporate capitalism who all pose as humanitarian heroes, as our new aristocracy celebrated in our media and quoted as wise humanitarians. Gates gives billions to charities, but we should remember how he opposed Elizabeth Warren’s plan for a small rise in taxes. He praised Piketty and once almost proclaimed himself a socialist — true, but in a very specific twisted sense: his wealth comes from privatizing what Marx called our ‘commons,’ our shared social space in which we move and communicate.”

[...]

“We are thus facing a horrible false alternative: a big corporate reset or nationalist populism, which turns out to be the same. “The great reset” is the formula of how to change some things (even many things) so that things will basically remain the same.”

[...]

“So is there a third way, outside the space of the two extremes of restoring the old normality and a Great Reset? Yes, a true great reset. It is no secret what needs to be done — Greta Thunberg made it clear. First, we should finally recognize the pandemic crisis as what it is, part of a global crisis of our entire way of life, from ecology to new social tensions. Second, we should establish social control and regulation over economy. Third, we should rely on science — rely on but not simply accept it as the agency which makes decisions.”

The distinction that Žižek makes between relying on science and delegating agency to techno-scientific forces is a crucial one. This past November I participated in a workshop organized by the Communicative Cities Research Network on the topic of urban communication in the pandemic era. My brief contribution to the proceedings comprised my musings on urban responses to the pandemic in light of prevailing trends in “smart city” policies. The emergence of the COVID-19 pandemic initially seemed to reinforce ways of envisioning cities and urban space that characterizes “smart city” urban imaginaries. The propagation of smart city frameworks, particularly those promoted by corporate firms and technology vendors, has been characterized as a “techno-utopian policy mobility” and expression of a “technoscientific urbanism” in which infrastructural packages are sold to beleaguered municipalities as technical “solutions” for intractable urban problems.

One of the problems with these approaches is that by foregrounding technological formulations of urban life, these programs function to depoliticize practices of city planning, obfuscate the social inequalities inherent to urban development, and foreclose opportunities to formulate an emancipatory or oppositional urban politics. The smart city imaginary of transposable technical solutions as promoted by technology vendors has emerged from the conditions of entrepreneurial urbanism and neoliberal policy approaches. The technoscientific tenor that characterizes many smart city discourses is especially amenable to neoliberal applications as it addresses urban problems through a veneer of objectivity, neutrality, and ideological agnosticism. These technocratic approaches attempt to depoliticize what are in actuality politically charged development and governance programs.

The COVID-19 pandemic makes clear the need for science, technology, and engineering to solve urban problems and maintain quality of life. However, it is crucial to be wary of the ways in which a technocratic veneer obscures the ideological underpinnings and inherent value judgments that direct policy programs, as well as the ways in which technocratic imaginaries limit the scope of our potential urban futures.

Žižek concludes his article thusly:

“Futurology deals with what is possible, we need to do what is (from the standpoint of the existing global order) impossible.”

In regards to urban futures and imaginaries, my response to Žižek’s distinction between the possible and impossible draws on a particular notion of virtuality understood not as absent or imaginary but as the potentiality for change, as the as-yet-unrealized. 

The emancipatory potential of virtuality in urban imaginaries is deeply implicated in the Lefebvrian right to the city. Lefebvre's call for a "right to the city" extended beyond access to housing and public space to advocate for spontaneity, sociability, and the utilization of urban environments based on use rather than exchange value. While the formulation of “the right to the city” is effectively an empty signifier, it signals the struggles of urban denizens to exert influence over the shaping of their built environment, to exercise autonomy in their communities, and to realize the use value of public space as a common good in the face of homogenizing capitalist development that aims to render and remake space only on the basis of exchange.

A common rejoinder to urban rhetoric invoking the “right to the city” is to ask for examples of cities or communities that have successfully realized the right. While the phrase has been adopted as a by various activist groups, and has appeared in certain government policies, there are no obvious examples of how the right has been actualized. Yet the virtuality of the right to the city is essential to its continued functioning as a rallying cry of radical urban politics.

The right to the city represents a virtual horizon of urban life and a radical vision for the city to come. Lefebvre’s call has been taken up by urbanists and activists as a rallying cry for expanding urban imaginaries beyond the actual to the possibilities offered by invention and processes of becoming. The right to the city therefore renders the realms of imagination and virtuality as key battlefields for urban struggles. Among the many crises facing cities today - ecological catastrophes, yawning social inequality, infrastructural breakdown, etc. - we might accordingly refer also to a crisis of imagination.

Smoke Signals: Buda’s Wagon and Infrastructure Terrorism in Nashville

“The car bomb, in other words, suddenly became a semi-strategic weapon that under certain circumstances was comparable to air-power in its ability to knock out critical urban nodes and headquarters as well as terrorize populations of entire cities. [...] It is the car bombers’ incessant blasting-away at the moral and physical shell of the city, not the more apocalyptic threats of nuclear or bioterrorism, that is producing the most significant mutations in city form and urban lifestyle.” - Mike Davis, Buda’s Wagon

When the sun dawned over Nashville on Christmas morning the day’s first light illumined dark tufts of smoke above downtown. Like many other Nashvillians my Christmas morning began with local news coverage of a powerful explosion on Second Avenue. Some aspects of the initial details seemed familiar and inherently plausible (an RV transformed into a Vehicle-borne Improvised Explosive Device), while others strained credulity (early rumors of an audio countdown message emanating from the vehicle smacked of Internet hoaxery, though these reports have since been confirmed).

Indeed the early morning attack does seem to have included a warning message that prompted people in the area to evacuate. Remarkably it appears that no one but the perpetrator was killed in the blast. The bombing site in downtown Nashville was in the proverbial shadow of the city’s iconic AT&T skyscraper -- colloquially known as the Batman Building as the tower’s twin antennae somewhat resemble the pointed ears on the caped crusader’s cowl -- yet more significantly the RV was positioned directly in front of an AT&T switching station. This is a building dedicated to housing telecommunications infrastructure; the 15-floor windowless red-brick structure in Nashville bears some superficial resemblance to 33 Thomas Street in Manhattan, the AT&T “Long Lines” building whose 29 stories of windowless brutalist concrete have long sparked observers’ imaginations. 

Considered as an instance of infrastructure terrorism the bombing was quite effective. The explosion didn’t seem to jeopardize the overall structural integrity of the switching station, yet enough damage was done to disrupt critical services. Many areas around the city -- including here in Brentwood -- lost 911 emergency phone services. The Nashville Airport ceased all flight operations due to the telecommunications issues, and the city’s COVID-19 community hotline was also knocked out of commission. Communications were affected throughout the region including in Knoxville, Chattanooga, and Louisville

Infrastructure terrorism became a key concern for U.S. authorities following the 9/11 attacks. In 2003 the Department of Homeland Security published a National Strategy for the Physical Protection of Critical Infrastructures and Key Assets. The report details the vulnerabilities inherent to maintaining national and transnational networks supported by critical nodes:

“The facilities, systems, and functions that comprise our critical infrastructures are highly sophisticated and complex. They consist of human capital and physical and cyber systems that work together in processes that are highly interdependent. They each encompass a series of key nodes that are, in turn, essential to the operation of the critical infrastructures in which they function. To complicate matters further, our most critical infrastructures typically interconnect and, therefore, depend on the continued availability and operation of other dynamic systems and functions.” (DHS, 2003, p. 6)

The Nashville bombing thus reveals in spectacular fashion the intrinsic vulnerabilities of infrastructural networks. This vulnerability is not just a threat to urban centers: the use of car bombs to terrorize city populations has a long history, and recent attacks in New York, Toronto, and Nice have demonstrated that a vehicle doesn’t need to be equipped with explosives to cause mass destruction and death. Rather, the apparent target of the Nashville bombing and the subsequent communication disruptions that resulted illustrate the oft-invisible yet overlapping infrastructural entanglements of our networked world. An attack centered on one building in Nashville can produce institutional breakdowns not only throughout the entire city but also in neighboring states. Network resiliency and redundancy was of course the primary goal of ARPANET, the technological foundation for the modern Internet.

The bombing also indicates one of the central paradoxes of our increasingly interconnected technological apparatuses: as the infrastructures of our daily lives become “smarter,” more integrated and networked, they also become more vulnerable to distributed disruption and systemic failure. The implementation of “intelligent” infrastructures in urban environments is often motivated by official imaginaries of omniscient visibility and pervasive control, and accordingly produce attendant anxieties over authoritarian encroachment and the specter of a stifling panoptical security state. Yet the increasing complexity of administrative infrastructures and technologies simultaneously gives rise to greater systemic precarity and emergent opportunities for breakdown.

Mike Davis charts some of the interplay between vehicle-based terrorism and urban governmentality in his book Buda’s Wagon: A Brief History of the Car Bomb (2007/2017). Echoing the DHS quote above, he situates the spread of car bombings in an “open source” era of terrorism marked by “a seamless merger of technologies: the car bomb plus the cell phone plus the Internet together constitute a unique infrastructure for global networked terrorism that obviates any need for transnational command structures or vulnerable hierarchies of decision-making” (p. 11, emphases in original).

Davis also notes that car bombs are “‘loud’ in every sense,” as these explosions are “usually advertisements for a cause, leader, or abstract principle” (p. 9).

“In contrast to other forms of political propaganda, from graffiti on walls to individual assassinations, their occurrence is almost impossible to deny or censor. This certainty of being heard by the world, even in a highly authoritarian or isolated setting, is a major attraction to potential bombers.” (ibid.)

Davis cites Regis Debray’s observation that such attacks are “manifestos written in the blood of others.” Yet the Nashville bombing has thus far failed to yield an explicit political motive or ideological agenda. The Christmas-day confusion was compounded not only by the revelation of the audio warning announcements, but also by the lack of any corresponding media manifesto or claims of responsibility. The volitional vacuum prompted news and social media discourse to project possible motives onto the perpetrator: perhaps the bomber was a right-winger who targeted the AT&T building because of the 5G-Coronavirus conspiracy, or maybe a leftist seeking retribution for the telecomm company’s complicity in domestic spying programs? Personally, I felt the technological elements of both the target and the weapon evoked Unabomber vibes, although the preliminary evacuation notice evinced a greater concern for collateral damage and human life than Kaczynski’s methods.

The impulse to apprehend an underlying motive behind an act of mass violence is understandable, yet ultimately no explanation for terror or mass murder can ever be satisfying or even elucidating. Our current political climate produces knee-jerk responses to inciting events that seek to assign ideological complicity to the “other side,” casting preemptive blame to our imagined opponents (i.e. “this is surely the work of a MAGA anti-masker,” or “this must be a BLM assault on the police” ) such that our own ideological position is affirmed and our cognitive maps cohere. Rituals of scapegoating have long provided essential support for both group and personal identities. Yet no declaration of intent can truly explain wanton destruction, just as no ideological rationalization can justify mass murder.

In recent history the Las Vegas massacre perpetrated by Stephen Paddock epitomizes the unfulfilled search for an explanatory motive. The question of what circumstances led up to Paddock raining bullets on a crowd of concert-goers has fueled futile speculation and conspiracy theory. When police photos of Paddock’s hotel-suite-turned-sniper’s-nest appeared online, viewers seized upon a piece of paper visible on a side table as a critical clue. Surely this was the killer’s suicide note, or personal manifesto, some explanation for the attack! It turned out the paper bore only mathematical equations for calculating trajectory, the killer’s calculus for maximizing mortality.

The lack of a clearly defined motivation can be experienced as a secondary shock to the initial trauma of the attack itself. It seems to deny some semblance of resolution or closure. So far no underlying explanation for the Nashville bombing has been unearthed. It remains an explosive enigma rendered all the more inexplicable by the bomber’s choice to broadcast a warning message prior to detonation. Yet the police have revealed that the vehicle-based speaker system not only conveyed a verbal countdown notice, they also played music:

“Police in the area moments before the blast said the speakers also played the wistful 1963 song ‘Downtown’ by Petula Clark. The lyric, about going to the city to seek refuge from sadness, echoed down Second Avenue just before the blast: ‘The lights are much brighter there.’”

Without reading too much into the song choice as a potential clue, the reported musical selection does seem to suggest that the perpetrator saw some significance to the location of his attack beyond the mere tactical position of the apparent target. The use of the song “Downtown” conveys a striking concession to the particularities of place in comparison to the considerations of extended networks and distributed effects offered earlier. And while the ramifications of terror attacks may resonate across geographic distance and within virtual spaces, every ground zero occupies material as well as mental territory.


Hiroki Azuma's General Will 2.0 and Urban Planning

The Japanese cultural critic Hiroki Azuma has contributed some of the most inventive contemporary propositions for the use of information and communication technologies for democratic practice. In General Will 2.0 (2014), Azuma argues that democratic ideals should be “updated on the basis of the realities of information society” (p. iii). Simply stated, the proliferation of myriad media channels and messages disseminated by networked communication has made modern society too complex to accommodate traditional notions of the public sphere and practices of democratic political participation. Azuma proposes the “creation of a completely new public sphere” (p. x) supported by the use of ubiquitous computing technology. His prescription for a model of governance informed by ubiquitous computing and social media draws on Jean-Jacques Rousseau’s notion of “the general will.” The general will refers to the collective will of a people that aims toward common well-being and “creates the standards for good and for the public sphere” (p. 23). This will is distinct from the will of the government or the sum of individual wills, and arises from a community of people joined through a social contract, regardless of whether communication or political deliberation occurs between them. Azuma’s interpretation of Rousseau leads him to the provocative proposition that “politics does not require communication” (p. 34). That is to say, spaces for communication and deliberation are not only unnecessary but are in fact “an impediment to the emergence of the general will” (p.33), as citizens need only be provided with adequate information in order for the general will to emerge. It is here that Azuma locates the potential for data aggregation and information visualization to inform political procedure. 

Azuma introduces the term “democracy 2.0” to describe a model of democratic governance supplemented by data aggregation and information visualization. Such a system, he argues, would provide “a mechanism to visualize what we truly need without the mediation of roundabout systems such as elections, hearings, and public comments” (p. 86). He points to internet-based communication behaviors and social media usage in particular as fertile resources for assessing the collective thoughts and attitudes of a populace. Azuma thus relates the general will to concepts such as “collective intelligence” and the “wisdom of crowds” (p. 12). Under the democracy 2.0 model, the public realm would be shaped by the aggregate of private actions in a way that challenges traditional distinctions between the public and private spheres. Azuma contrasts this notion of democracy 2.0 with Arendt’s and Habermas’ conceptualizations of the private and public realms. Crucially, Arendt and Habermas both stipulated that the public realm is created through speech or communication whereas Azuma is proposing democracy 2.0 as politics without communication. For Azuma, the inherent complexity and fragmentation of contemporary society precludes the realization of an Arendtian or Habermasian ideal public sphere such that modern citizens “are not able to believe in a shared space for discussion” (p. 69). Declaring these formulations of the public sphere as “impossible to establish” (p. 87), Azuma calls for taking “our current social situation and technological conditions” to bring about “something like a public sphere” (p. 87). This approach calls for abandoning both traditional notions of politics as “conscious communication mediated by language” (p. 75) as well as “abstract frameworks that differentiate between private and public” (p. 77). 

In addition to the political philosophy of Rousseau, Azuma’s formulation of “democracy 2.0” is further informed by the Freudian psychoanalytic concept of the unconscious. Social media again functions as a significant touchstone for Azuma, who describes tweets, check-ins, and other social media activities as constituting a vast trove of information enabling “the extraction of patterns of unconscious desires that go beyond the intentions of individuals” (p. 57). Azuma thus defines incidental yet observable online activity as “unconscious communication” and proposes the use of data monitoring in democracy 2.0 for “collecting and systematizing the wills and desires of people without the need for conscious communication” (p. 56). The realization of democracy 2.0 involves not just data aggregation but also data visualization, as Azuma notes “the internet is not only an apparatus for documenting the unconscious but also for actively visualizing it” (p. 95). Revisiting the earlier formulation of the general will as “politics without communication,” Azuma specifies that the “visualization of the unconscious of the masses” (p. 122) should not be understood as a replacement for deliberation but rather as a supplement to deliberation. He proposes that a democracy 2.0 framework should consist of “on the one hand extracting the unconscious of citizens and on the other invigorating conscious communication among citizens” (p. 102). Azuma proposes that the aggregate unconscious communication of the citizenry should shape the contours and define the limits of public policy-making in a fashion that is “neither direct democracy nor indirect democracy but something that might be called unconscious democracy” (p. 143). Such a model reflects the democracy 2.0 ideal that “all deliberation must be exposed to the unconscious of the populace” (p. 144), whereafter the database citizens’ unconscious communication “and harnesses it as a power to restrain deliberation” (p. 153). 

In order to illustrate what such a system would look like in practice Azuma turns to the field of urban planning and design. Azuma’s argument is scaled to the level of the nation state, and he is concerned overall with practices of national citizenship rather than regional or municipal governance. There are, however, significant points of intersection between the theory of democracy 2.0 and urban studies. For instance, Azuma (2014) often employs spatial metaphors in theorizing how to “design an architecture” that would support the democracy 2.0 model (p. 80). His theory also bears correspondences with the urban visualization literature, as he describes the general will 2.0. as “the record of action and desire carved into the information environment” (p. 71). Yet the most substantial connection between urban studies and general will 2.0 is the invocation of Austrian-born urban designer Christopher Alexander. Azuma’s prescription for unconscious communication is not that it be ignored or blindly followed but rather that states should “harness it through visualization via information technology” (p. 136). The unconscious desires of the masses, aggregated and visualized, would then be used to inform public deliberation and policy-making. Azuma cites Alexander’s urban planning work as a prototype for such a model. In the classic planning text A Pattern Language (1977), Alexander and his colleagues outlined an index of urban settlement shapes or “patterns” inspired by the then-emerging fields of network theory and computer science. Alexander’s systems approach to urban design is captured in his well-known aphorism “a city is not a tree” (1965). What Azuma highlights, however, is a method Alexander developed for determining the design of highway routes. 

Alexander and his team identified twenty-six factors that influence planning decisions such as construction costs, economic impact, and environmental issues. The list of factors also included not typically taken into account by highway planners such as air pollution, eye sores, and noise (Lystra, 2016). The planners then examined the site under consideration to determine what the least and most desirable locations were for each influencing factor. They then visualized the distributions of these factors by superimposing shades of color onto a map, with least desirable locations colored lighter and most desirable areas colored darker. Using a combination of photographic and hand drawing techniques they composited multiple overlays to create a final path map. The resulting distribution did not necessarily plot the optimal route, and would not always determine the final planning decisions, but it did provide a method for visualizing a range of options based on aggregated data. Azuma thus cites Alexander’s approach to planning the highway route as “the budding form of an urban design based upon collective intelligence” (p. 152). He also sees in this technique “a method for providing limits to design rather than determining the design” (p. 124). This is a crucial takeaway for Azuma: Alexander’s method is a model for imposing limitations on deliberation via a database. Alexander and his fellow planners did not automatically implement the routes that emerged from the composited path maps, but they rather used the maps to delimit the best areas for potential action. Democracy 2.0 may therefore be seen as “an application of a theory of urban planning” (p. 125) and “a mechanism that restrains the arbitrary wills of planners” (p. 153). As Azuma notes, planners today have access to a wealth of information and communication technologies from which to draw a “map of user desires” (p. 125). The democracy 2.0 framework is thereby applicable to not only national politics but is particularly relevant for e-governance initiatives in smart city programs.

An Urban Media History

A Media History of the City

            A media history of the city could take on any number of forms. The shape of this history would largely be determined by how we defined its key terms. How should “the city” be understood? Such a history could begin in ancient or pre-historical times, starting with the earliest human settlements and urban agglomerations. On the other hand, it would also be possible to select a single moment along this vast timeline and analyze this temporal snapshot to see how various media are intersecting with urban life. This history could even be a contemporary history of modern media practices and institutions and their role in the urban experience. The other key question is how “media” should be understood. What media should be included in our study? How inclusive or exclusive should our definition be? Depending on how expansive our definition is, our history could begin by looking at human settlements established in pre-literate societies where spoken language was the primary communication medium. Our history could also look at the development of alphabets, and the role of various writing media such as tablets, papyrus, and parchment in facilitating the construction and governance of cities. Our history could instead follow a traditional mass communication view of modern media. In contemporary New York City place names such as Radio City Music Hall and Times Square attest to the impact that media of mass communication has made in urban spaces.

In order to limit the scope of this essay, I will frame my response as a curriculum overview for an imagined undergraduate course on media and the city. Framing the response in this way provides a framework and rationale for defining the terms of our analysis and the range of history we can reasonably attempt. A typical U.S. undergraduate introductory course in media studies approaches its subject using the “big 5” traditional media: newspapers, magazines, film, radio, and TV. For the sake of this essay, and imagining a potential undergraduate course based on this subject, I will structure my response around these “big 5” traditional media. Also in following the structure of a typical undergraduate media course, the history I present will correspond to the history of mass communication in the United States. The history I offer here is mostly confined to the 20th century, and focuses on U.S. cities. As such, this imaginary course I am outlining could be called “History of U.S. media and urbanization.” In what follows, I offer five key moments in this “media history of the city,” with each moment corresponding to one of the big 5 traditional media. Each entry will offer some historical information on the development of that media form, and a case study that illustrates the intersection between media use and the life of city. Finally, I will offer a sixth moment and case study that accounts for more recent developments in digital media and technological convergence, as well as salient aspects of urban life in the 21st century metropolis.

Moment One: Penny Papers and Newsboys on Strike

Early colonial newspapers tended to be political in nature, what were called the “partisan press” as opposed to commercial papers. In the 1830s, technological developments associated with the industrial revolution allowed for new paper production practices. Expensive handmade paper could be replaced by cheaper mass produced paper. Before this change in production, newspapers cost about 5 cents to purchase, which was relatively expensive for the time. Therefore newspaper readers tended to be affluent. Using the less expensive production techniques, publishers could sell papers for as cheap as 1 cent. Thus the “penny press” or “penny papers” were born, and this is the moment when newspapers truly became a mass media. Newspaper publishers had long relied on subscription service for reliable purchases of their papers, but in the penny press era individual street sales became an important part of the business model as well. One of the major penny press papers was the New York Sun owned by Benjamin Day. Under Day’s stewardship, the Sun privileged accounts of the daily triumphs and travails of the human condition, what are now known as “human interest stories.”

The penny papers introduced many innovations that remain part of the newspaper industry today, including assigning “beat” reporters to cover special story topics such as crime, and shifting the economic basis for publishing from the support of political parties (as in the “partisan press” era) to the market. The penny press era gave rise to an increase in newspaper production with an emphasis on competitive, profitable papers. This economic environment set the stage for some of the most famous newspaper barons to enter the scene. For instance, Joseph Pulitzer bought the New York World, and William Randolph Hearst bought the New York Journal shortly thereafter. Pulitzer pushed for the use of maps and illustrations in his papers, so that immigrants who were not fluent in English could understand the stories. Both Pulitzer and Hearst used bold headlines and layouts to attract reader attention. These practices became emblematic of the yellow journalism period, a term that also connotes sensationalism and even unscrupulous journalistic standards. Pulitzer and Hearst papers did call for social reforms and drew attention to the poor living conditions of poor immigrants in the cities; however, the papers also embellished stories, fabricated interviews, and staged promotional stunts in order to increase reader interest and boost circulation. In 1895, a conflict began that would go on to boost both papers’ fortunes. The island of Cuba had been a colony of Spain since the arrival of Columbus, and in 1895 an insurrection began against Spanish rule that would become known as the Cuban War of Independence. At the time Hearst and Pulitzer were engaged in a war of their own: a circulation war. Hearst’s and Pulitzer’s papers used the conflict to sell papers and boost circulation, deriding Spain in headlines and calling for U.S. intervention. In 1898 the U.S. ship the Maine was sent to Cuba and exploded and sank in Havana harbor, with hundreds of sailors killed. The World and the Journal ran headlines like “Spanish Murderers” and “Remember the Maine,” and the Spanish-American War is still remembered as a prime example of propaganda in the U.S. media swaying public opinion in favor of war, even when facts were misrepresented or embellished.

Benjamin Day’s New York Sun did not offer a subscription service, and instead relied solely on individual street sales to make a profit. To better distribute his papers, Day placed a wanted ad seeking workers to sell the newspapers on the street. Day expected adult workers to respond to the ad, but he found instead that children inquired about the job instead. The first vendor he hired was 10 year old Irish immigrant who would take bundles of papers onto a street corner and shout out the most arresting headlines to get reader interest. Soon this became a new and pervasive method of selling newspapers on city streets. These newspaper vendors or “hawkers” were also called newsboys or paperboys, although girls were often found in their ranks as is evident in many of the photographs taken of children news vendors at the time. These children worked long hours, often through late nights and early mornings, and even sleeping on front stoops or in the street, something also attested to by photographs of the period. Vendors would buy bundles of newspapers from the publishers, and they were not refunded for unsold papers. In 1899, in the wake of the boost in circulation numbers precipitated by the Spanish-American War coverage, many publishers raised the price of newsboy bundles from 50 cents to 60 cents. In response, in July 1899, newsboys refused to sell Pulitzer and Hearst papers. Newsboys demonstrated in the thousands and broke up newspaper distribution in the streets. One gathering blocked off the Brooklyn Bridge, disrupting traffic across the East river as well as interrupting news circulation throughout the entire region. Pulitzer tried to hire adults to vend his newspapers but they were sympathetic to the newsboys’ plight and refused to defy the strike. He did hire men to break up newsboy demonstrations and to protect newspaper deliveries. The newsboys asked the public to not buy any newspapers until the cost of bundles was lowered and the strike was resolved. Eventually the publishers relented: although the cost of bundles was not decreased, the publishers agreed to buy back unsold papers from the newsboys. The strike ended in August 1899, two weeks after it had started.

The 1899 Newsboy Strike is a significant moment in the history of U.S. media, U.S. urban life, and U.S. labor relations. New York City was built by a great deal of immigrant labor, and many of these laborers were children. It is important to remember and acknowledge this important part of U.S. urban history. The 1899 strike was credited for inspiring similar newsboy strikes in Butte, Montana and Louisville, Kentucky. It is an important story in the history of labor law reform in the U.S., even though it is not as well-remembered as landmark events such as the Triangle Shirtwaist Factory fire. While the newsboy strike did not lead to the sort of immediate reforms that the Shirtwaist factory disaster did, it did impact the implementation of child labor laws in the city over the following decades. Furthermore this case illustrates the practices of distribution and circulation that newspapers relied on, as well as the political economy of the media and its relationship to national and global politics.

Moment Two: Muckraking Magazines and the Shame of the Cities

            The modern magazine has decidedly “urban” roots. The word “magazine” originally referred to a storehouse for munitions. The first use of the term to refer to a publication was in 1731 by “The Gentleman’s Magazine” published in London. The publisher of “The Gentleman’s Magazine” used the pen name Sylvanus Urban, and this is what I meant when I said that magazines had “urban” roots. As with newspapers, developments of the industrial revolution such as conveyor systems and printing processes allowed for less expensive manufacturing practices, and therefore magazines could be sold cheaper and reach a wider audience. Another significant development was the Postal Act of 1879, which reduced the postal rates of magazines to the same price as newspapers, making the cost of a magazine subscription affordable for more Americans. Additionally, more and more jobs and people were moving from rural areas to cities. As increasing numbers of immigrants came together in urban cores, national magazines helped facilitate the formation of national identities as opposed to local or regional identity. Relatedly, the increase in the number of dime stores, drug stores, and department stores created new venues for consumer items, and magazines offered new venues for advertising these items. Ladies’ Home Journal was known for running the latest consumer advertisements, and became the first magazine to reach a subscription base of one million customers, reflecting the growth of the female consumer base.

In addition to sustaining and reflecting the growing consumer economy in the country, magazines also played an important role in social reform movements. Jane Addams reportedly first read about the settlement house movement from a magazine article (possibly from an article in Century magazine). With her interest piqued by the article, Addams and a friend soon travelled to London to visit the first settlement house, Toynbee Hall. The settlement house movement advocated the establishment of “settlement houses” in poor areas where middle class volunteers would come and live, with the goal of alleviating conditions of poverty and creating solidarity among the social classes. Two years after visiting Toynbee Hall Addams opened the first U.S. settlement house, Hull House in Chicago. Addams also wrote articles about the settlement house movement for magazines such as Ladies’ Home Journal and McClure’s. Another important role of magazines in social reform movements was related to photojournalism. Magazines had the ability to reproduce high quality photographs, giving them a visual edge against other media of the day. In the late 1880s an emigrant to the U.S. named Jacob Riis became shocked at the living conditions in the New York City slums and purchased a detective camera to document life in these areas. Riis exhibited his photographs as part of a public lecture presentation called “The Other Half: How it Lives and Dies in New York.” The lectures became popular and Riis wrote an article based on his lectures for Scribner’s Magazine. His project was eventually published as a book.

The aforementioned McClure’s magazine was a hotbed of reform-minded journalism at the turn of the 20th century. At the end of the 1800s the magazine had published exposes on the working conditions of miners and corporate practices of the Standard Oil Company. In 1901 journalist Lincoln Steffens published the first article in a series on corruption in U.S. cities. Steffens first went to St. Louis and reported on the machinations of the local political machine. Next he went to Minneapolis, and found the mayor and police chief colluding to take bribes for local houses of prostitution. Then he went to Pittsburgh (Pittsburg at the time), writing that “if the environment of Pittsburg is hell with the lid off, the political scene in the city is hell with the lid on.” The final entries in the series were based on visits to Philadelphia, Chicago, and New York. The series was eventually published in book form in 1904, titled The Shame of the Cities. The articles made Steffens a national celebrity and inspired a trend of similar expose articles in magazines, including Cosmopolitan’s “The Treason of the Senate”. Steffen’s magazine articles became icons of the muckraker movement, so called by president Roosevelt because they climbed through society’s much to cover the stories. The muckraking journalists are an important part of U.S. media history, and the social reform movements are an important part of U.S. urban history.

Moment Three: Movie Palaces and a Tale of One City

            As with newspapers and magazines, the development of motion pictures was closely tied to technological and social developments occurring as part of the industrial revolution. Developments in celluloid film, electric lighting, and the mechanical gears to turn film reels all contributed to technological underpinnings of film as a mass media. In France the Lumiere brothers invented one of the earliest film cameras, and the first film they shot was of workers leaving their family factory in Lyon. In the U.S., Thomas Edison developed the kinetograph, and shortly thereafter established an association of film and technology producers called the Trust. The Trust was a consortium of U.S. and French producers who agreed to pool film technology patents. Edison had also made an arrangement with George Eastman to make the Trust the exclusive recipient of Eastman’s motion picture film stock. To escape the control of the Trust, independent film producers left the traditional motion picture centers of New York and New Jersey. They went west, eventually settling in Southern California which offered cheap labor, ample space, and a mild climate that allowed for year-round location shooting. Southern California became the center of the U.S. film industry, and Hollywood became a toponym for the U.S. studio system (and remains metonymic of that industry today). The Hollywood studio system was built on vertical integration, which meant ownership of every means of the movie production process. This included production (everything involved in making a movie), distribution (getting movies to theaters), and exhibition (the process of screening the movies). Edison’s Trust tried to get the edge on exhibition by controlling the flow of films to theaters. The Hollywood studios instead decided to buy theaters themselves. The Edison Trust was eventually ended due to trade violations, and the Hollywood studios controlled every part of movie production and circulation. Paramount studios alone owned more than 300 theaters. During this period of film exhibition, movie studies built single-screen movie palaces, often ornate architectural achievements that offered a more hospitable viewing environment. Some of the most ornate and expansive movie palaces were built in Chicago. The architectural firm of Balaban and Kurtz designed many of the most famous, including the landmark Chicago Theatre (originally called the Balaban & Kurtz Chicago Theater). Other Chicago theaters built by the firm included the Oriental, the Riviera, and the Uptown theaters. The Uptown theater was the largest movie palace built in the United States.

In 1906 of a group of Chicago officials, designers, and business interests met to discuss the various problems facing the city. The Columbia Exposition a few years earlier had been received as a great success, but now problems of overcrowding, congestion, and the growth of manufacturing in the city were causing concern. This group of stakeholders met over a period of 30 months, and in 1909 they finalized their agreed-upon plan. The Chicago Plan proposed sweeping improvements to the city including rehabilitating the waterfront, redirecting railroad traffic in the city, and redesigning streets to permit better flow in and out of the business district. The mayor signed off on the proposal and then ordered a massive public relations campaign to promote the plan. Informative lectures explaining the plan were held throughout the city, articles and editorials were published in the newspapers, and the proposals were even summarized into a textbook that was taught in city schools, and a generation of Chicago school children grew up learning the values of the Chicago Plan. Also produced as part of this campaign was a two reel film titled A Tale of One City. This film was screened in city movie theaters continuously as part of the vigorous PR effort. Communication scholar James Hay has written about the role of the film in promoting the Chicago Plan as a significant moment in the history of urban renewal projects. The role of the film’s exhibition in the promotional campaign demonstrates the significance of the networks of film distribution and exhibition in reaching a mass audience, but also how the architectural design and location of downtown theaters in the city center made movie theaters important sites for engaging the public and shaping the vision of future urban development.

The Paramount decision of 1948 ended vertical integration and required studios to give up their theaters. This ended the era of studio control, but opened up new venues for film screening such as art houses that exhibited foreign films and documentaries, as well as hundreds of drive-in movie theaters for the millions of filmgoers who now had automobiles. As Americans moved to the suburbs, the movies did, too, building new forms of theaters in multiplexes and then megaplexes. While industry expressions such as “blockbuster” harken back to the role of downtown theaters in film exhibition (the term refers to patrons lined up “around the block” to get into a movie theater), most of the movie palaces have been repurposed, disused, or destroyed. Methods of film distribution and exhibition have significantly changed, and the downtown theaters and movie palaces have been largely replaced by suburban multiplexes. The example of A Tale of One City shows, however, that for a time downtown movie theaters played an integral part in the public life of the city.

Moment Four: Radio Remotes and Mediated Urban Nightlife

            The groundwork of popular broadcast radio was being established during the late 1800s. Developments in telegraphy and the theoretical proof of electromagnetic waves were among the chief developments in this early history of the medium. The rise of the new medium of the airwaves was soon reflected in the built form of the U.S. metropolis, which was also turning increasingly skyward. By the 1920s and 30s radio broadcasters were transmitting from the Metropolitan Life building in Manhattan, and the Chrysler and Empire State buildings were designed and built with spires to serve as antennas for broadcasting radio transmissions.

In 1923 a nightclub called the Cotton Club opened in the Harlem neighborhood of New York. The Cotton Club was a whites-only establishment, even though the club featured many of the premiere African American performers of the time. In 1927 Duke Ellington and his band the Washingtonians opened at the Cotton Club. Not long after, a Manhattan-based radio station began broadcasting Ellington’s performances live from the Cotton Club. Scholar Tim Wall has written about the Ellington remotes (the radio industry term for these live, on-location broadcasts) as occurring during a moment of transition for both radio and jazz. The technological, organizational, and cultural futures for the new medium were still being explored and negotiation. The broadcasting of jazz music was significant during this period as well. In 1929, radio network WABC began broadcasting the Ellington performances. WABC broadcast nationally, so now Ellington was being transmitted coast-to-coast. As Wall argues, the national broadcasting of jazz music represented the intrusion of urban life and culture into the country. In 1930 another radio network picked up the Ellington broadcasts, and now the performances were heard on the flagship stations of NBC’s Red and Blue networks. These broadcasts grew Ellington’s fame, and he recorded more than a hundred compositions during this period. The Ellington broadcasts represent a significant moment in the regulatory history of radio, but also the attempts of the young medium to establish a cultural role for its programming. The case of the Ellington Cotton Club remotes also represents how urban culture and performance, and especially African American culture, was being mediated through the shifting systems of national radio networks.

Moment Five: Sitcom Suburbs and the Urban Crisis

            Television truly became a mass medium in the years following World War II. Housing subsidies and entrepreneurial real estate developments privileged private suburban construction. Many Americans left urban centers to move to the suburbs, which had a lower tax base. Home ownership doubled between 1945 and 1950. As Americans left cities, and therefore also left the downtown movie theaters, music halls, and other urban venues of recreation and entertainment, radio became a cheap alternative to the movies. The years 1948 and 1949 saw peak radio listenership. After that, television replaced radio as the dominant medium in the home.

In addition to the role of housing policies and subsidies in spurring suburban development, there were also many discriminatory housing policies designed to keep U.S. minorities from moving into suburban communities. This practice has been referred to as American apartheid, and is one of the driving factors of the “urban crisis” that developed in U.S. urban life and discourse during this period. The scholar Dolores Hayden has used the phrase “sitcom suburbs” to refer to the homogenous developments that were also depicted in many of the nationally popular sitcoms during this period. One early flare up of these tensions happened in the Los Angeles area. In 1965, California voters passed a proposition that effectively repealed a fair housing act designed to alleviate discriminatory policies that prevented black and Mexican Americans from buying and renting in certain areas. Shortly thereafter, riots began in the Watts district and lasted for 5 days. More riots occurred in U.S. cities in 1967, and again in April 1968 following the assassination of Martin Luther King Jr. In each of these cases, the U.S. news media broadcast TV images that have become iconic of these riots and the overall “urban crisis” that came to dominate discourses on U.S. cities for decades.

Following the riots President Johnson appointed a special commission to investigate the causes of the unrest, and suggest how to prevent further unrest. The Kerner Commission detailed several factors that contributed to the urban riots, including explicit and implicit racism and housing discrimination. The commission also called attention to the news media for coverage that misrepresented facts of life in these cities and contributed to a deepening of divisions between white and black Americans. The Kerner Commission’s concerns were echoed by media theorist George Gerbner in his cultivation theory of television, which posits that increased exposure to violent TV programming cultivates a worldview in the viewer in which they perceive reality to be more dangerous than it really is. This period of urban fear and flight, the move to fortified homes and gated communities, has analogous developments in media coverage and development up to today.

Moment Six: Oppa Gangnam Style

            Our history so far has taken us from 1899 to 1968. In this last section, let us catch up on some of the developments that occurred in the last 60 years or so. Developments in microprocessor technology led to a computer revolution. Beginning in the 1980s, home computers became more popular and were predicted to revolutionize daily life. Developments in graphical user interfaces allowed everyday, non-technical users to approach computers. In the late 1960s the U.S. defense department began researching a redundant communication system that could remain intact following a nuclear attack. The project. ARPAnet, eventually developed into the Internet. Web browsers and HTML, such as Tim Berners-Lee’s “worldwideweb” launched in 1990, have enabled the Internet to become a mass medium. The computer revolution has also lead to unprecedented technological convergence. Computers connected to the internet have access to the full array of media content. Developments in smartphone technology have changed what was once merely a phone in a mobile device and site of media convergence, and increasingly the favorite device for media consumption and production.

On December 21, 2012, a milestone was reached. The music video for Psy’s “Gangnam Style” became the first video on YouTube to receive one billion views. The case of Gangnam Style can tell us a lot about the state of mass media industries, as well as the state of cities, in our present moment. Psy is a K-Pop musical act, which stands for “Korean Pop,” a genre originating in South Korea. His global popularity points to the importance of transnational media flows in the contemporary media environment. For instance, the increasing importance of the Chinese box office market for the Hollywood studio system. Also, the fact that his popularity spread globally via the Internet indicates the significance of media convergence, as well as how digital platforms for media circulation have upset the traditional forms of media dissemination, as well as changed our metrics for gauging media success (i.e. YouTube views versus box office, Nielsen ratings, or circulation numbers, etc.).

Gangnam Style also tells us a lot about cities in the early 21st century. The title of Psy’s song refers to the Gangnam district in Seoul, South Korea. The Gangnam district is known for its affluence, and is a hip and trendy neighborhood. This association, and the apparently mocking portrayal of lavish lifestyles in the music video, have led some commentators to interpret the song as a satirical and subversive critique of conspicuous consumption. It should be noted that Psy’s own comments about the meaning of the song do not support these interpretations. Regardless, the Gangnam Style example can help illustrate the valorization of cities that has been a trend of post-industrial economics and post-modern cultural practices. In the 1970s New York City went through a fiscal crisis. City services were sparse, the city government almost went broke, and crime and visible disorder in the city reached peak levels. As part of the city’s recovery and repositioning, the I <3 (love) NY branding campaign appeared. This campaign has remained hugely popular, and is representative of a postmodern consumption of the symbolic capital of cities. Another salient example would be the tote bags sold by American Apparel that just list names of global cities (Madrid, Tokyo, London, etc.). These cultural products, and the Gangnam Style song, are indicative of a revanchist return of capital to city centers. These examples, and indeed neighborhoods such as Seoul’s Gangnam, also point to the role of gentrification as a global urban strategy for development. In this way, Gangnam Style can serve as a vehicle for addressing some of the most pressing issues facing urban citizens today.

Public space, the public sphere, and the urban as public realm

This essay was originally written as part of my PhD comprehensive examinations. It was written to address connections between theories of the public sphere and concerns about public space, and to conceptualize the urban environment as a public realm. 

Introduction

Questions of space have always been implicated with the concept of the public sphere, but the idea of space has been conceptualized and applied in various ways within this context. Carragee’s challenge for scholars to address the nexus between public sphere theory and the study of public space has a solid foundation in the pertinent implications for civic life, attempts to connect academic perspectives and planning disciplines, and his own analysis of the impact of urban design on the character of public interaction. I agree with Carragee’s assertion that a vital public sphere requires vital public spaces. I am less inclined to agree with his claim that communication scholars have been silent on the issue, as there have been moves to address the communicative implications of the built environment through approaches such as material rhetoric. Nevertheless, it is worthwhile to consider how scholars of communication and other fields have approached this nexus, and how this line of inquiry might be extended.

To properly address this question about the relationship between public space and the public sphere it is helpful to define our terms. Both “public space” and “public sphere” have been used by different actors to signify differing meanings. The Habermasian formulation of the public sphere posited a novel form of social interaction facilitated by a network of institutions comprised by physical locations and mediated discourses. Following this model, scholars have understood the public sphere as a discursive space rooted in place-based communication as well as mediated exchanges. Catherine Squires has defined the public sphere as “a set of physical and mediated spaces” in which people come together to identify, express, and deliberate interests of common concern. Nancy Fraser has characterized the public sphere as “a theater” for social interaction where political activity is actualized through the medium of speech. The public sphere can also be understood as a particular kind of relationship among participants. This relationship is mediated by these historical forms of sociability enacted at specific points in space and time. Kurt Iveson refers to public spheres as “social imaginaries” that are always in the process of being formed. The public sphere has also been understood procedurally (or processually), as a normative ideal founded on a set of principles intended to guide interaction.

The meaning of “public space” may seem obvious, but this term too has been conceptualized in a variety of ways. Notions of “public space” can be rooted in the physical characteristics of a location, the institutional structures and policies affecting a place, or the types of uses and activities undertaken in the space. Seyla Benhabib offers a procedural definition of public space. Understood procedurally, “public space” is any space that, through public address at a particular time, is transformed as a site of political action through speech and persuasion. In Benhabib’s formulation, “public space” is not merely “open” space, or physical, absolute, geographical space. More to the point, public space is never merely space in this physical sense. This represents an approach to public space that contrasts with Carragee’s view of public space as material, empirical, and concrete, as opposed to the public sphere which he sees as more conceptual and virtual. In Benhabib’s procedural definition these realms are not so clearly distinguished from one another.

This essay will further explore influential notions of public space, the public sphere, and their relationship to one another. The first section will review significant and influential approaches to this nexus as represented by three prominent theorists. The second section looks at how the contemporary city has figured as a key referent in discussion of public space and the public sphere. The third section considers how the introduction of networked communication technologies has complicated understandings this relationship. Finally, I conclude with some contemporary issues facing work in this area.

Three Models of the Public Realm: Arendt, Habermas, Sennett

Hannah Arendt was a political theorist who wrote about power, authority, totalitarianism, and democracy. In one of her best known and most influential works, “The Human Condition,” she surveyed different conceptions and enactments of human activity beginning in ancient societies. The second section of this book is dedicated to “the private and public realms.” According to Arendt, life in ancient Greek society was divided between the private realm and the public realm. The private realm was the sphere of the household, and the public realm was the site of “action”. Activity in the private realm was preoccupied with bodily necessities, whereas the public realm was free of these necessities and in which one could distinguish oneself through great works and deeds. Arendt further proposes a dichotomy of human life based on the concepts of “zoe” and “bios”. Both words are etymologically linked to mean “life,” but Arendt is distinguishing human activity into two modes: animalistic (zoe) and humanistic (bios). This distinction between zoe and bios is connected to Arendt’s notion of life in the market versus public space, which she also refers to as the private realm (oikos) and the public realm (polis). Arendt considers the market an impoverished place where subjects are treated as animals, mere consumers driven to satisfy bodily and selfish needs. In the context of the oikos, one’s human identity and individuality is of no importance: in order to purchase a commodity, you need only pay the appropriate price, regardless of who you are. In the public realm, by contrast, the individual identity of each subject does acquire prominence. Through public discussion subjects or speakers are recognized as unique human beings who are inexchangeable with anyone else. Without language, human beings live on the level of “laboring animals,” merely concerned with continuing their lives. Through the medium of linguistic communication, humans open themselves up to the existence of others as well as the existence of a world that is shared with others. This then is the key idea in Arendt’s distinction between the private and public realms: people live privately as animals, and as humans only in public. Arendt valorizes the types of relations in ancient cities such as Athens, but she distinguishes between the built environment and the polis. She says that the polis, properly understood, does not refer to the physical city-state but to the relations that emerge from acting and speaking together, regardless of where the participants are. “Not Athens, but Athenians, were the polis.”

Jurgen Habermas defined the public sphere as “the sphere of private individuals come together as a public.” Similar to Arendt, he also considers this “public” relation as rooted in and a consequence of discourse and communication. Habermas’ notion of the public sphere is based on an empirical study of voluntary social associations and literary practices that emerged in Europe in the 18th century. The emergence of a “debating public” and an ethos of local governance were tied to the development of “provincial urban” institutions. These included coffee houses, salons, and theaters. Habermas’ study of the bourgeois public sphere is not only an account of specific historical phenomena, it also represents a normative ideal for rational-critical debate and deliberative politics. As such, Habermas’ theory has been interpreted as distinctly aspatial, not concerned with physical spaces but rather only an abstract discursive space. Several critics have argued that in order for Habermas’ theory to function as both a historical social explanation and a normative political idea, as his study proposes, it must be founded in an understanding of situated contexts of specific communities.

Richard Sennett is an urban sociologist who has written extensively on city design, public life, and civic engagement. His first book, “The Uses of Disorder,” argued that excessively ordered environments stifle personal development, and that people who live in such environments end up with overly rigid worldviews and insufficiently developed political consciousness. Sennett calls for practices of city design that allow for unpredictability, anarchy, and creative disorder that will foster adults better equipped to confront the complexities of life. In “The Conscience of the Eye” Sennett suggests that the built forms of modern cities are bland and neutralized spaces that diminish contact and wall people off from encounters with the Other. His remedy for this condition is a creative art of exposure to others and city life that should instill an appreciation for and empathy with difference. “A city,” Sennett says, “should be a school for learning to live a centered life.” Sennett’s book “The Fall of Public Man” outlines the decline of public life since the 18th century. In the 18th century, Sennett argues, public and private space were more clearly delineated than today. The disappearance of public space in the 20th century is attributed to a rise in intimacy and narcissism associated with industrial capitalism. In an essay titled “The Public Realm,” Sennett situates his approach to public life in relation to Arendt and Habermas. Sennett describes Arendt’s model of the public realm as inherently political and based on public deliberation in which participants discard their private interests. He calls Arendt the champion of the urban center “par excellence,” as the population density of urban centers provides the condition of anonymity that he sees as central to Arendt’s ideal. Sennett considers Habermas less interested in place than Arendt, as his theory includes mass produced texts such as newspapers as sites for the public sphere. For Habermas, Sennett states, the public realm is “any medium, occasion, or event” that facilitates free communication among strangers. Regarding his own approach, Sennett defines the public realm as “a place where strangers can come together.” He emphasizes that the public realm is a place, traditionally understood as a location on the ground, but Sennett states that developments in communication technologies have challenged this sense of place. Today “cyberspace” can function as a public realm as much as any physical place. Sennett also argues that “the public realm is a process.” As is evident in the arguments from his books summarized above, Sennett believes that shared spaces that accommodate unplanned and unmanaged encounters between strangers are beneficial for personal and social development. His emphasis on incompleteness and process, as opposed to fixity and determination, recalls Chantal Mouffe’s concept of agonistic Pluralism. Mouffe challenges the ideal espoused by Habermas that the deliberative ideal should be consensus reached by rational individuals. She argues that for freedom to exist the intrusion of conflict must be allowed for. The democratic process, Mouffe says, should provide an arena for the emergence of conflict and difference. Similarly Sennett says that daily experience doesn’t register much without “disruptive drama.”

The Modern City as Public Realm

In her book “Justice and Political Difference,” political theorist Iris Marion Young writes of city life as a normative ideal for communicative and political interaction. Young states that urbanity must be understood as an inherent aspect of life in advanced industrial societies, and that the material of our environment and structures available to us presuppose the forms of interactions that occur in these spaces. By “city life” Young refers to a type of social relation that she refers to as “a relation among strangers.” Urban experience, and in particular urban spaces, provide ideal conditions for the exposure to difference lives that a politics of difference should be predicated on. Young states that public spaces are crucial for open communicative democracy.

In “City of Rhetoric,” rhetorical scholar David Fleming argues that the city is the ideal context for the revitalization of the public sphere. He proposes an ideal space of relation that is between the intimacy of friends and family, on the one hand, and the mutual suspicion of strangers on the other. Fleming argues that the built environment and public space of the city is perfectly situated between users, relating and separating them at the same.

Don Mitchell has written about the “disappearance of public space” in the modern city. In a similar vein to influential critiques of the Habermasian public sphere, Mitchell states that the ideal of public space “open to all” has never been an existing state of affairs, but the ideal of public space circulates to powerful effect. For instance, Mitchell says, the circulation of the “open” public space ideal has served as a rallying call for successive waves of political movements to utilize space for activism and inclusionary ends.

Mediated Spaces and Mediated Spheres

Since Habermas’ formulation the idea of the public sphere has included elements of mediation. Habermas directly implicates the mass media in “The Structural Transformation,” citing the role of literature and the press in establishing the bourgeois public sphere, and the impact of television and other commercial mass media in diminishing the public sphere. The advent of the World Wide Web in the 1990s spawned enthusiasm from some regarding the deliberative and participatory potential of the medium. To some, the Internet seemed to realize all the ideals of Habermas’ public sphere. It was universal, non-hierarchical, based on uncoerced communication, and enabled public opinion formation based on voluntary deliberation. By these principles, and many others, the Internet looked like the realization of the ideal speech situation. Iveson suggests that the procedural understanding of public space allows various media to be understood as “public spaces” because they facilitate the formation of publics. Other scholars have considered media as new “spaces” for interaction. Sheller and Urry have compared new media to Arendt’s “space of appearances,” suggesting that in the digital age this “space” may be a “screen” on which public matters appear.

Still other scholars have voiced opposing accounts of the relationship between virtual spaces and the ideals of the public sphere. Don Mitchell has argued that the Internet can never meet or surpass the street as a public space, saying the infrastructure of the medium precludes certain uses and political opportunities. Public space remains crucial because it makes it possible for disadvantaged groups to occupy the space in a way that is precluded in virtual space. This space is especially important for homeless people because it is also a space to be and live in; a space for living rather than just visibilization. Iris Marion Young also addresses the distinction between physical space and virtual space with her concept of “embodied public space.” She says that media can facilitate public address and formation, and in this sense is not dependent on physical space. To the extent that public space is shrinking, or that individuals are withdrawing from public space, there is a democratic crisis. She uses the term “embodied public space” to refer to streets, squares, plazas, parks, and other physical spaces of the built environment that she deems crucial to allowing access to anyone and enabling encounters with difference. These spaces allow varieties of public interaction that are fundamental to her notion of city life as a normative ideal.

Jodi Dean has persistently criticized the “inclusionary ideal” promoted by the internet as an ideology of technocracy that she calls “communicative capitalism.” Dean’s article “Why the Net is Not a Public Sphere” challenges claims that the Internet can enable the ideals of the public sphere. In the public sphere ideal, communicative exchange is supposed to provide the basis for real political action. Under conditions of communicative capitalism, these exchanges function merely as message circulation rather than acclamations to be responded to. Political theorist Robert Putnam posited a decline of social capital in U.S. communities since 1950 in his book “Bowling Alone.” Putnam cites evidence of civic decline indicated by decreased voter turnout, public meeting attendance, and committee participation. The book’s title refers to the fact that while the number of Americans who bowl has increased in past decades, the number of people who participate in bowling leagues has declined. He attributes this fall in social capital to the “individualizing” of leisure time enabled by television and the Internet. Sherry Turkle has similarly argued for a technologically-promoted decline of physical proximity and interaction in the book “Alone Together.” Iveson has responded to such criticisms by arguing that the “stage” and “screen” (or “print” and “polis”) should not be seen as mutually exclusive arenas. Rather, he points to examples where movements of co-present interaction were facilitated through, managed by, or arranged around mediated forms of interaction.

Conclusion

There are several areas where continued research into the relationship between public space and the public sphere could be productive. First, it is important to consider how networked technology and mediated communication have changed the use of public space. Have the dispersed networks of power, access, and participation diminished the potency of public space for realizing political agency? Are these changes reversing Arendt’s formulation of the public and private realms? Has the logic of the market short circuited the function of the polis? Have new uses of public space emerged, and have traditional uses disappeared? It is now common for bodies to occupy physical space while their gaze and consciousness are directed not at their environment but at their various devices. How does this change our understanding of and approach to public and shared spaces? What does mean in relation to Mitchell and Young’s arguments about the role of “embodied public space”? In light of pervasive mediation in daily life it is important to affirm the fundamental importance of physical locations as public space.

Secondly, it is important not just to consider physical and virtual space in a dichotomous relationship, but also how they interrelate. How are digital technologies and mediated communication intersecting with the use of public space, and vice versa? To be clear, the phenomena at the core of this question are not new. Habermas’ model of the bourgeois public sphere concerns the relation between mass media and association in public space. More recently, the political uprisings collectively referred to as the “Arab Spring” brought attention to this issue. After social media and text messaging were use to organize demonstrations in Cairo, Egypt that eventually led to the removal of president Mubarak, pundits and media theorists began referring to this social movement as the “Twitter revolution.” Again, it is important to differentiate between the means of communication used to exchange information and organize bodies, and the site of political protest as represented in this case by Tahrir Square.

Finally, the implementation of information technology into the built environment is raising questions about the role of technologies in public space and civic life. In a November 2016 article, urban media scholar Shannon Mattern considered this issue in relation to the implementation and subsequent shuttering of the LinkNYC terminals in New York City. The LinkNYC initiative involved replacing telephone booths throughout the sidewalks of Manhattan with kiosks that provided access to electricity and wireless internet service. The city government promoted the terminals as places where tourists could access maps and online information and New Yorkers could charge their cell phones. The resultant “misuse” of these terminals, exemplified by people using the service for watching pornography or illicitly downloading media, resulted in the program being suspended indefinitely. Mattern uses this example to argue the importance of “vital spaces of information exchange” in our public spaces. She suggests that ideologies of “data solutionism” have influenced planning commissions to the detriment of small, local, and analog data perspectives that she considers essential to urban life. Mattern encourages city planning boards and project committees to include librarians and archivists in their ranks in the interest of such spaces of information exchange. At stake, Mattern argues, is the nature and well-being of our democracy.

These are just a few of the issues and questions that I think should inform future research into the relationship between public space and the public sphere. My own work is informed by these questions, and my interest in “smart city” policies and practices of implementation seeks to extend and challenge the conceptual zones outlined in this essay. Related questions explored in my research include: changing conceptions of public and private infrastructure; shifting models of civic engagement; and the predominance of market rationalities and discourses in (re)shaping the built environment. These questions are likely to only increase in prominence in the foreseeable future, and unforeseen developments are always arising. The essential questions of public space and the public sphere, however, will remain of crucial importance in our increasingly interconnected collective lives.

Urban Comm roundup: Smart cities, hostile architecture, and placemaking

Smart Cities

I see three categories of winners. The first will be suppliers of digital technology, from high-speed telecom, cloud services and digital security to apps, for example, like Uber’s and Airbnb’s that use physical resources with greater efficiency. But these can get you only so far.

The second category will be traditional industry reborn. The trick will be to find breakthroughs in materials, construction and transportation–updates to the blood-and-sweat stuff that built the great cities of the 20th century. Will the winners be known names, such as GE, Mitsubishi, Tata and Samsung, or new players?

A third category will be the smart cities themselves. Leaders will likely create services that can be used to teach other cities, so their expertise will have value beyond the benefits enjoyed inside the cities. Smart cities will enjoy premium brands in a tough global economy, and they will attract talent. A great example is Singapore.

The first category is what we can call basic infrastructure—water or sewerage pipelines would fall under this group. Unlike developed countries, most Indian cities have significant shortages in this area.

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[The] second category of technology investments in a typical smart city, which we can broadly call network level infrastructure. These are essentially a set of devices or sensors installed at specific points in the city-wide network which are used to monitor parameters related to service delivery.

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Integrating information and communication technology (ICT) solutions constitute the third and final component of the smart city technology architecture. These solutions can be of two types. One set of ICT solutions usually help the city administration manage their internal functions like finance and accounting, human resources etc. The other set of ICT solutions are usually used to analyse data collected through network level sensors to generate potential decision options for the city administration to provide seamless and efficient urban services.

"Smart city" remains loosely-defined in India and around the world, but many say the adoption of technology is a crucial element. Ambitious initiatives to build "smarter" cities include the use of data and digital infrastructure to manage energy and water usage to the creation of intelligent transport networks, according to a Brookings report earlier this year.

However, India will likely focus on fixing the lack of basic amenities and infrastructure such as housing, water supply, sanitation, and electricity in existing urban regions.

"Real world hacker" Cesar Cerrudo has blasted vendors, saying they're stopping security researchers from testing smart city systems, and as a result they're being sold with dangerous unchecked vulnerabilities.

The warning will be detailed at RSA San Francisco this week, and comes a year after the IOActive chief technology officer found some 200,000 vulnerable traffic control sensors active in cities like Washington DC, London, and Melbourne.

Vendors don't want their kit tested, Cerrudo said, although there are now 25 major cities across the world taking the lead in deployment, such as New York, Berlin, and Sydney.

Smart cities are loosely defined as urban centers that rely on digital technology to enhance efficiency and reduce resource consumption. This happens by means of ubiquitous wireless broadband, citywide networks of computerized sensors that measure human activities (from traffic to electricity use), and mass data collection that analyzes these patters. Many American cities, including New York, Boston and Chicago, already make use of smart technologies. But far more radical advances are happening overseas. Masda in Abu Dhabi, and Songdo, in South Korea, will be the first fully functioning smart cities, in which everything from security to electricity to parking is monitored by sensors and controlled by a central city "brain".

The surveillance implications of these sorts of mass data-generating civic projects are unnerving, to say the least. Urban designer and author Adam Greenfield wrote on his blog Speedbird that this centralized governing model "disturbingly consonant with the exercise of authoritarianism." To further complicate matters, the vast majority of smart-city technology is designed by IT-systems giants like IBM and Siemens. In places like Songdo, which was the brainchild of Cisco Systems, corporate entities become responsible for designing and maintaining the basic functions of urban life.

Hostile Architecture

From ubiquitous protrusions on window ledges to bus-shelter seats that pivot forward, from water sprinklers and loud muzak to hard tubular rests, from metal park benches with solid dividers to forests of pointed cement bollards under bridges, urban spaces are aggressively rejecting soft, human bodies.

We see these measures all the time within our urban environments, whether in London or Tokyo, but we fail to process their true intent. I hardly noticed them before I became homeless in 2009. An economic crisis, a death in the family, a sudden breakup and an even more sudden breakdown were all it took to go from a six-figure income to sleeping rough in the space of a year. It was only then that I started scanning my surroundings with the distinct purpose of finding shelter and the city’s barbed cruelty became clear.

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Defensive architecture acts as the airplane curtain that separates economy from business and business from first class, protecting those further forward from the envious eyes of those behind. It keeps poverty unseen and sanitises our shopping centres, concealing any guilt for over-consuming. It speaks volumes about our collective attitude to poverty in general and homelessness in particular. It is the aggregated, concrete, spiked expression of a lack of generosity of spirit.

Ironically, it doesn’t even achieve its basic goal of making us feel safer. There is no way of locking others out that doesn’t also lock us in. The narrower the arrow-slit, the larger outside dangers appear. Making our urban environment hostile breeds hardness and isolation. It makes life a little uglier for all of us.

Creating urban spaces that reject human interactions affect us all. Not only do they prevent the homeless taking refuge; neither can the young mother find shelter from the rain or the elderly man a space to rest. It creates a physical manifestation of a hostility that we could all stand to be without, rather than encourage. These problems are not limited to New York City or to London, but are in fact a stubborn part of the architecture of modern city life, whether indented or accidental. However, they aren’t intractable.

Early on, the British did much as we have done since 9/11, installing barriers and bollards anywhere they might save some lives. But as the years passed, their approach became much more nuanced as they realized that over-securitizing public spaces drives away the public, which increases crime. This appears to happen in part because security features lead people to believe that crime is commonplace and increasing even if it is rare and decreasing, and in part because simply seeing security features causes anxiety and discomfort.

Placemaking & Tactical Urbanism


Unfortunately, Placemaking, as promulgated by its chief advocate, the nonprofit Projects for Public Spaces, is largely bogus, even though PPS rather presumptuously claims it “has the potential to be one of the most transformative ideas of this century.” After you hack through thickets of slogans and vagaries, Placemaking seems to comprise a community-driven process for designing public spaces (streets, sidewalks, plazas, squares, campuses, parks, and so on) that are mixed use, host a variety of activities for diverse audiences, and are well-connected to the larger city or town. All this has been mom & pop, apple-pie stuff in urban planning circles for decades, derived from the valuable 1960s work of the urbanist and author Jane Jacobs and the urban planner William H. “Holly” Whyte. The same ideas energized the 1990s New Urbanism that gave us Neo-historical neighborhoods, a few of them actually good.

Sadly, Placemaking could only gain currency because our building and development processes create so little that is inviting and memorable. America’s default is to assemble standardized real-estate products along roads engineered for auto throughput, and call it a day. Placelessness is so ubiquitous and such second nature that it is actually hard to think about what it takes to make a building or streetscape that’s appealing, that feels as if it belongs.

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What are the lessons here? Making great places is a more organic and less mechanical process than PPS makes it out to be. Yes, the public must be involved, and yes some places should be active social mixing bowls. But some places—especially extraordinary natural features—should be left alone. In others, we should recognize that what is unique is sometimes strange (like Gasworks’ rusting ruins). Recall that the rail line that hosts the High Line Park escaped demolition only because two intrepid people cared.

Let’s start with Public Space. Outlining the role and value of public space has long been a subject of academic, political, and professional debate. At the most basic level public space can be defined as publicly owned land that, in theory, is open and accessible to all members of a given community—regardless of gender, race, ethnicity, age, or socio-economic level.

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Places, on the other hand, are environments in which people have invested meaning over time. A place has its own history—a unique cultural and social identity that is defined by the way it is used and the people who use it. It is not necessarily through public space, then, but through the creation of places that the physical, social, environmental, and economic health of urban and rural communities can be nurtured.

As many people increasingly rely on data-driven apps and platforms like Google Maps to navigate their cities, some skeptics have worried that our streets are losing their traditional element of chance, surprise, and mystery. Kopfkino (roughly, “head theater” in German) is a project to revitalize those aspects of the urban experience. Using a shopping cart as their base, a group of friends in Istanbul built a portable projector that casts users’ faces onto building facades when they peer into a laptop camera. Kopfkino invites the curious passerby to pause from his or her regular routine and discover a new experience in a familiar place.

DIY projects in public spaces like Kopfkino are popping up all over Turkey. However, unlike some other examples of tactical urbanism, Kopfkino likely wasn’t intended to be replicable or scalable. The point, however, is to challenge what it means to encounter other people in public space, and to revisit the idea that every city offers an individual and unique experience.

Especially in light of the stridently anti-planning rhetoric that pervades many tactical urban interventions and their tendency to privilege informal, incremental, and ad hoc mobilizations over larger-scale, longer-term, publicly financed reform programs, it seems reasonable to ask in what ways they do, in actuality, engender any serious friction against the neoliberal order, much less subvert it. In some cases, tactical urbanisms appear more likely to bolster neoliberal urbanisms by temporarily alleviating (or perhaps merely displacing) some of their disruptive social and spatial effects, but without interrupting the basic rule-regimes associated with market-oriented, growth-first urban development, and without challenging the foundational mistrust of governmental institutions that underpins the neoliberal project. The relation between tactical and neoliberal forms of urbanism is thus considerably more complex, contentious, and confusing than is generally acknowledged in the contributions to the debate on Uneven Growth. As illustrated in the list below, it cannot be simply assumed that because of their operational logics or normative-political orientations, tactical interventions will, in fact, counteract neoliberal urbanism. No less than five specific types of relation between these projects can be readily imagined, only two of which (1 and 5 in the list) might involve a challenge to market-fundamentalist urban policy. There are at least three highly plausible scenarios in which tactical urbanism will have either negligible or actively beneficial impacts upon a neoliberalized urban rule-regime.

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