CJE Vol. 16, No. 1
Transcription
CJE Vol. 16, No. 1
Contents / Table des matières Articles Claire Beauchemin et Viateur Lemire 1 L'abandon scolaire: valeur prédictive d'un instrument Jean Barman 12 Deprivatizing Private Education: The British Columbia Experience Tim Sale & Benjamin Levin 32 Problems in the Reform of Educational Finance: A Case Study James U. Gray & Ronald N. MacGregor 47 A Cross-Canada Study of High School Art Teachers Kieran Egan 58 Relevance and the Romantic Imagination Geoffrey B. Isherwood 72 College Choice: A Survey of English-Speaking High School Students in Quebec Ronald W. Morris 82 Limitations of Quantitative Methods for Research on Values in Sexuality Education Patricia M. Canning 93 Profiles of the Abilities of Preschool Aged Children in an Isolated Northern Community Research Note / Note de recherche Jo-Ann L. Stewart & Sidney J. Segalowitz 103 Differences in the Given Names of Good and Poor Readers Book Reviews / Recensions Bernard Lefebvre 106 L'enseignement secondaire public des frères éducateurs (1920–1970): utopie et modernité par Paul-André Turcotte Teresa L Richardson 108 Learning Works: Searching for Organizational Futures: A Tribute to Eric Trist, edited by Susan Wright and David Morley John J. Bergen 111 Choice of Schools in Six Nations, by Charles L. Glenn Romulo Magsino 113 Philosophical Issues in Education: An Introduction, by Cornell Hamm LeRoi B. Daniels 115 Achieving Extraordinay Ends: An Essay on Creativity, by Sharon Bailin Alexander D. Gregor 117 Who's Afraid of Liberal Education?/ Qui a peur de l'éducation générale? edited by Caroline Andrew and Steen B. Esbensen 119 Publications reçues L'abandon scolaire: valeur prédictive d'un instrument Claire Beauchemin université laurentienne Viateur Lemire université de montréal Dans quelle mesure le questionnaire intitulé L'école, ça m'intéresse? conçu par le ministère de l'Éducation du Québec (1983), a-t-il permis le dépistage de décrocheurs chez des élèves de l'école secondaire en Ontario? Tel est le sujet d'une recherche longitudinale menée de 1983 à 1987 auprès d'un échantillon d'élèves de quatre écoles secondaires de langue française du moyen nord de cette province. L'analyse des résultats témoigne en faveur de l'utilité de l'instrument; cependant, il convient de noter que seulement 54% des énoncés du questionnaire utilisé dans sa forme originale sont associés de façon significative au décrochage scolaire: le présent article analyse la valeur prédictive des différents énoncés. Les données recueillies indiquent que l'instrument utilisé dans sa forme originale a une valeur prédictive globale de 74%, avec un taux de réussite très élevé pour les cas de poursuite des études (88%), mais avec un taux très faible pour les cas d'abandon scolaire (26%). En plus de proposer un seuil critique de dépistage adapté aux élèves franco-ontariens, les auteurs présentent différentes utilisations possibles de l'instrument et cela, en fonction des résultats enregistrés dans l'application de diverses analyses statistiques. Ces nouvelles utilisations permettent d'accroître l'efficacité du questionnaire en prédisant mieux (jusqu'à 80%) les cas d'élèves qui abandonnent leurs études (75%) et de ceux qui les poursuivent (81%). A Quebec Ministry of Education questionnaire (L'école, ça m'intéresse? 1983) was intended to detect the intention to leave school. Our longitudinal research showed how far this instrument was accurate in predicting drop-outs in four northern Ontario French-language secondary schools between 1983 and 1987. Results show that the instrument is useful, although only 54% of the questionnaire's propositions are linked at statistically significant levels to premature school leaving. Our study analyzes the predictive value of various propositions in the questionnaire. We found that the instrument, in its original form, had a global predictive value of 74%, with a very high 88% rating for prediction of continuation of studies, and a very weak rating of 26% for dropping out. We propose a critical threshold of detection 1 REVUE CANADIENNE DE L'ÉDUCATION 16:1 (1991) 2 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE suited to Franco-Ontarian students and we list various uses for the instrument suggested by our statistical analyses. Our suggested uses lead to an increase in the instrument's ability to predict (ranging as high as 80%) drop-outs (75%) and continued school attendance (81%). La prévention du décrochage scolaire est récemment devenue une question d'ordre politique en Ontario. En effet, 33% des élèves de la province abandonnent leurs études avant d'avoir terminé leur 12e année. Le gouvernement s'est donc engagé à réduire ce taux et ce, au cours des cinq prochaines années. Divers projets ont été mis sur pied dans le but d'y parvenir: conférences, ateliers de sensibilisation, projets de recherches, programmes de maintien et de réintégration. D'autres initiatives verront vraisemblablement le jour. À l'automne 1983, la Direction générale du développement pédagogique du ministère de l'Éducation du Québec (MÉQ) faisait paraître une nouvelle version du questionnaire de dépistage des décrocheurs scolaires, L'école, ça m'intéresse? (Ministère de l'Éducation du Québec [MÉQ], 1983). Dès sa parution, nous avons obtenu des autorités compétentes l'autorisation de l'utiliser auprès d'un échantillon d'élèves franco-ontariens de l'école secondaire. Vu l'intérêt de ce questionnaire au Québec, nous voulions, dans un premier temps, en mesurer la valeur prédictive auprès de notre échantillon. Cette première étape, qui s'est déroulée en 1983–1984, nous a permis d'identifier un certain nombre de décrocheurs potentiels. Nous avons, dans un second temps, assuré un suivi de tous les répondants au cours des trois années suivantes, soit de 1984 à 1987, afin d'évaluer la valeur prédictive de l'instrument. Plus précisément, il s'agissait de vérifier, d'une part, si les élèves identifiés dans le groupe des décrocheurs potentiels allaient, de fait, abandonner leurs études et, d'autre part, s'il y aurait des décrocheurs parmi les autres répondants. Il convient d'effectuer des analyses approfondies dans le but d'évaluer la valeur prédictive des énoncés et des dimensions du questionnaire. Ayant identifié la valeur respective des divers éléments, il devient alors possible de proposer une utilisation de l'instrument auprès d'une population d'élèves de l'Ontario. Dans les pages qui suivent, nous présentons une analyse descriptive des données recueillies auprès de notre échantillon. Nous complétons cette étude par l'examen des corrélations entre les dimensions du questionnaire. Nous concluons par une étude de la valeur prédictive globale de l'instrument. 2 REVUE CANADIENNE DE L'ÉDUCATION 16:1 (1991) L'ABANDON SCOLAIRE 3 L'INSTRUMENT DE DÉPISTAGE Le questionnaire L'école, ça m'intéresse? préparé par le MÉQ, contient 52 énoncés. Ces derniers sont regroupés à l'intérieur des huit dimensions suivantes: les caractéristiques familiales, le sentiment d'isolement, les projets scolaires, le rendement scolaire, la confiance en soi, l'absentéisme, le besoin de soutien des enseignants et l'intérêt pour l'école. L'analyse des réponses au questionnaire permet d'obtenir des renseignements de deux ordres. D'une part, un résultat global identifie les décrocheurs potentiels; ce sont ceux qui obtiennent un résultat supérieur à 25. Plus le score se rapproche de 52, plus la probabilité d'abandonner les études est grande. D'autre part, nous obtenons des renseignements du même ordre pour chacune des dimensions, en ce sens qu'un seuil critique nous est suggéré chaque fois. L'ÉCHANTILLON Notre échantillon comprenait 370 élèves inscrits en 8e, 9e, 10e et 11e année. Pour diverses raisons, nous avons cependant dû éliminer un certain nombre de répondants. Ainsi, les questionnaires des élèves qui s'étaient mal identifiés, de ceux qui avaient déménagé ou de ceux qui avaient omis des réponses n'ont pu être retenus pour fins d'analyse. Au terme des quatre années, nous avons pu traiter 238 cas. Parmi ceux-ci, 57 élèves ont abandonné leurs études et 181 les ont poursuivies. L'ANALYSE DESCRIPTIVE L'analyse descriptive des résultats a été effectuée à partir de deux techniques 2 statistiques. Nous avons eu recours au test x afin d'établir si la distribution des réponses s'avérait différente chez les élèves qui abandonnaient leurs études et chez ceux qui les poursuivaient. Nous avons aussi utilisé le test t de Student afin de vérifier si les moyennes différaient de façon significative entre les deux groupes d'élèves pour chacune des dimensions. Ces analyses ont été réalisées à l'aide du logiciel SPSS/PC, version 2,0. Les deux techniques ont permis de vérifier la valeur prédictive des 8 dimensions et des 52 énoncés du questionnaire. Nous avons fixé le seuil de signification à moins de 0,005. La valeur prédictive des dimensions et des énoncés La présentation des résultats respecte l'ordre dans lequel les dimensions figurent dans le questionnaire de l'élève. Le tableau 1 présente les résultats 4 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE relatifs au caractère significatif ou non des énoncés en tant qu'items à valeur prédictive auprès de notre échantillon. Le tableau 2 contient les résultats relatifs au caractère significatif ou non des dimensions. La première dimension du questionnaire (dimension A) porte sur les caractéristiques familiales, c'est-à-dire ``des caractéristiques de base de la cellule familiale (cohabitation des parents et de l'élève, nombre d'enfants dans la famille, scolarité des parents . . .)'' (MÉQ, 1983, p. 5). L'examen des données permet de constater que la dimension A ne contribue pas de façon significative à la prédiction de l'abandon scolaire et cela, tant du point de vue des six énoncés que de la dimension (t=0,56). L'ABANDON SCOLAIRE 5 TABLEAU 1 Analyse des 52 items du questionnaire Énoncés x2 p Énoncés x2 p 1 12,33 0,0004* 27 9,61 0,002* 2 1,22 0,27 28 8,80 0,0003* 3 10,32 0,002* 29 19,30 0,0001* 4 3,64 0,06 30 6,17 0,02* 5 25,43 0,0001* 31 4,92 0,03* 6 3,93 0,05* 32 0,69 0,4 7 5,80 0,02* 33 0,93 0,3 8 4,84 0,03* 34 1,97 0,2 9 32,32 0,0001* 35 1,45 0,2 10 2,06 0,15 36 1,28 0,25 11 5,36 0,03* 37 1,04 0,3 12 13,58 0,0002* 38 0,53 0,46 13 12,33 0,0004* 39 7,67 0,006* 14 5,79 0,02* 40 0,11 0,74 15 7,74 0,006* 41 12,75 0,0004* 16 5,60 0,02* 42 3,18 0,07 17 9,52 0,002* 43 18,09 0,0001* 18 3,27 0,08 44 6,19 0,02* 19 0,0006 0,98 45 6,03 0,02* 20 0,45 0,5 46 1,73 0,18 21 0,002 0,97 47 5,43 0,02* 22 0,19 0,7 48 11,94 0,0005* 6 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE 23 1,34 0,25 49 1,62 0,2 24 0,09 0,75 50 2,88 0,09 25 2,63 0,1 51 10,35 0,002* 26 13,07 0,0003* 52 3,24 0,07 *p<0,05 La deuxième dimension du questionnaire (dimension B) traite du senti- ment d'isolement de l'élève et les six items ``visent à indiquer jusqu'à quel point l'élève se sent seul et bien dans sa situation. Un élève en situation d'abandon aura souvent l'impression d'être solitaire et isolé'' (p. 6). Un seul énoncé s'avère significatif; il s'agit de l'item 45 où l'élève dit ne pas être heureux de façon générale. En outre, l'analyse de l'ensemble des énoncés de cette dimension démontre que celle-ci ne contribue pas de façon significative à la prédiction de l'abandon scolaire (t=2,13). La troisième dimension (dimension C) porte sur ``les projets que l'élève a par rapport à ses études'' (p. 7). Six des huit énoncés de cette dimension s'avèrent significatifs. L'ABANDON SCOLAIRE 7 Tableau 2 Analyse des 8 dimensions du questionnaire Dimensions Abandon Moyennes Non Abandon t p A 2,60 2,51 0,56 0,60 B 1,87 1,42 2,13 0,34 C 2,99 1,86 4,15 0,0001 D 2,35 1,30 6,38 0,001 E 2,45 1,55 5,41 0,001 F 2,52 1,7 3,69 0,001 G 3,72 2,57 3,79 0,001 H 3,03 2,11 3,57 0,001 Ainsi l'élève, décrit dans les situations suivantes, montre un comportement lié au décrochage scolaire: il ne croit pas aller plus loin que l'année en cours dans ses études (item 3); il quitterait l'école dès maintenant si ses parents lui permettaient d'abandonner ses études (item 11); il dit se sentir assez prêt à aller sur le marché du travail (item 15); il affirme ne pas être assuré de terminer ses études secondaires (item 16); il préférerait avoir un emploi plutôt que de rester à l'école (item 28); et il n'aime pas aller à l'école (item 48). L'analyse globale des énoncés démontre que cette dimension contribue de façon significative à la prédiction de l'abandon scolaire (t=4,15). La quatrième dimension (dimension D) évalue l'effet du rendement scolaire de l'élève en reflétant ``la perception que l'élève a de son rendement scolaire. [Les énoncés] touchent à la capacité de travail et à la réussite scolaire'' (p. 8). Quatre des cinq énoncés s'avèrent significatifs. Ainsi, les indicateurs de cette dimension liés à l'abandon des études sont les suivants: l'élève est d'avis que ses résultats scolaires sont insatisfaisants (item 5); il croit que ses capacités de concentration et d'attention pendant les cours sont ``plus ou moins'' bonnes 8 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE (item 6); il situe son rendement scolaire sous 59% (item 9); il a peur de ne pas réussir l'année scolaire en cours et préférerait abandonner l'école plutôt que d'échouer (item 17). Par ailleurs, dans l'ensemble, les énoncés de cette dimension contribuent de façon significative à la prédiction de l'abandon scolaire (t=6,38). La cinquième dimension (dimension E) du questionnaire porte sur ``la confiance de l'élève face à sa capacité de réussir ses études'' (p. 9). Tous les énoncés de cette dimension s'avèrent significatifs. Les situations décrites ci-après s'avèrent donc liées au décrochage scolaire: l'élève croit ne pas réussir durant l'année en cours (item 26); il n'est pas sûr de réussir ce qu'il entreprend (item 27); il n'a pas confiance dans ses talents scolaires (item 31); il pense avoir des échecs dans au moins deux matières (item 43) et il dit mieux réussir dans ce qu'il fait en dehors de l'école que dans les matières scolaires (item 47). L'analyse globale des énoncés nous permet d'affirmer que, dans l'ensemble, les items de cette dimension sont significatifs (t=5,41). Une sixième dimension (dimension F) cerne le phénomène d'absentéisme chez l'élève et décrit ``certaines attitudes et certains comportements relativement à la fréquentation scolaire. Un élève en voie d'abandon manquera des cours sans raison et sera sensible aux stimulations extérieures (salaire)'' (p. 10). Pour la moitié seulement des six énoncés, nous enregistrons des données significatives. En somme l'élève, décrit dans les situations suivantes, fait montre d'un comportement lié à l'abandon des études: il supporte difficilement les règlements et les façons de faire de l'école (item 7); il avoue avoir manqué ses cours plusieurs fois pour des raisons que les autorités de l'école ne jugent pas valables (item 12) et il affirme qu'il manquerait l'école moins souvent si on le payait pour y aller (item 41). Dans l'ensemble, les items de cette dimension s'avèrent significatifs (t=3,69). La septième dimension (dimension G) décrit ``la qualité de la relation qu'un élève a avec ses enseignants et le personnel de l'école. Un élève en situation d'abandon se perçoit comme très éloigné de ses enseignants et de ce qu'ils font dans leur enseignement'' (p. 11). Pour cinq des huit énoncés de cette dimension, nous enregistrons des données significatives. Nous sommes donc amenés à conclure que les situations décrites ci-après sont liées au décrochage scolaire: l'élève estime que ses relations avec le personnel de l'école sont plus ou moins bonnes (item 8); il est d'avis que ses relations avec les enseignants sont plus ou moins bonnes (item 13); il affirme que la plupart des enseignants ne savent pas rendre leurs cours intéressants (item 39); ses enseignants ne semblent pas le comprendre (item 44) et il est d'avis que la plupart de ses enseignants ne réussissent pas vraiment à lui donner le goût d'apprendre (item 51). En outre, l'analyse globale des énoncés démontre que cette dimension L'ABANDON SCOLAIRE 9 s'avère significative (t=3,79). La huitième dimension (dimension H) porte sur l'intérêt de l'élève pour l'école et les huit énoncés de cette dimension ``visent à cerner l'intérêt que l'élève a pour ses études et pour sa vie scolaire'' (p. 12). La moitié de ces énoncés s'avèrent significatifs auprès de notre échantillon. Les indicateurs de cette dimension liés à l'abandon des études sont les suivants: l'élève n'aime pas aller à l'école (item 1); il considère que les cours inscrits à son horaire ne l'intéressent pas du tout (item 14); il n'aime pas les matières qu'il doit étudier (item 29) et il affirme ne pas aimer l'école en général (item 30). L'analyse globale des énoncés démontre que cette dimension contribue de façon significative à la prédiction de l'abandon scolaire (t=3,57). Au terme de notre analyse, nous pouvons conclure que toutes les dimensions contiennent un ou des énoncés à valeur prédictive auprès de notre échantillon, sauf la première qui traite des caractéristiques familiales. Il est également à noter que la deuxième dimension portant sur le sentiment d'isolement de l'élève s'avère non significative lorsqu'elle est considérée globalement. Quant aux six autres dimensions, la moitié au moins de leurs énoncés s'avèrent significatifs. Nous avons trouvé, sur un total de 52 au départ, 28 énoncés significatifs en tant qu'éléments de prédiction. Lors de l'analyse de l'ensemble des énoncés des huit dimensions, les six dernières se sont avérées significatives. Les corrélations entre les dimensions du questionnaire Le tableau 3 présente les corrélations entre les dimensions du questionnaire. Seule la dimension A (caractéristiques familiales) n'entre pas en corrélation avec les autres dimensions du questionnaire. Elle se trouve en quelque sorte isolée. En outre, ainsi que nous l'avons constaté avec le test t de Student, elle ne participe pas à la prédiction de l'abandon, du moins dans l'échantillon choisi. Toutes les autres dimensions entrent en corrélation et cela, de façon significative au seuil p<0,001. Un seul cas fait exception: il n'y a pas de corrélation significative entre le facteur B, le sentiment d'isolement, et le facteur F, l'absentéisme. La corrélation la plus forte se situe entre le facteur C, les projets scolaires, et le facteur H, l'intérêt pour l'école: elle atteint le niveau de 0,67. La seconde corrélation en importance se situe entre le facteur H et le facteur G, le besoin de soutien des enseignants et la troisième relie les facteurs C et G. On peut donc s'attendre à trouver là plusieurs facteurs opérant de concert. 10 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE Tableau 3 Corrélations entre les dimensions du questionnaire A A — B C D E B C D E F G H 0,14 -0,04 0,05 0,03 -0,01 0,02 0,03 — 0,28* 0,22* 0,23* 0,12 0,35* 0,32* — 0,37* 0,39* 0,46* 0,49* 0,67* — 0,48* 0,38* 0,44* 0,44* — 0,33* 0,41* 0,46* — 0,45* 0,48* — 0,62* F G H — * p<0,001 Conclusion partielle Les analyses présentées ci-dessus nous amènent à conclure que le recours aux dimensions pour expliquer l'abandon scolaire ne donne pas de résultats cohérents et cela, pour deux raisons. D'une part, le nombre d'énoncés significatifs s'avère très irrégulier d'une dimension à l'autre; d'autre part, le contenu des énoncés significatifs d'une dimension donnée ne correspond pas toujours à la définition initiale de la dimension. Par conséquent, il serait préférable d'utiliser les énoncés significatifs indépendamment de leur association à une dimension. De fait, le dépistage de l'abandon scolaire devrait être effectué à l'aide des 28 énoncés qui se sont avérés significatifs, du moins avec une population semblable à notre échantillon. LA VALEUR PRÉDICTIVE GLOBALE DU QUESTIONNAIRE Au terme de trois années de recherche, l'analyse des résultats nous a permis d'établir à 74% la valeur prédictive globale du questionnaire de dépistage. À L'ABANDON SCOLAIRE 11 première vue, ce taux peut paraître assez bon étant donné les impondérables qui jouent dans toute science humaine: en effet, l'on conçoit difficilement un instrument dont la valeur prédictive s'établirait aux environs de 100%. Toutefois, une étude des prédictions réussies auprès de notre échantillon démontre que le questionnaire utilisé tel quel ne prédit pas aussi bien les cas d'élèves qui abandonnent leurs études (26%) que les cas d'élèves qui les poursuivent (88%). Cette disproportion dans les taux de prédiction pose un problème puisque l'instrument doit permettre de dépister les décrocheurs éventuels. Une deuxième difficulté provient du critère québécois retenu pour faire le partage entre les décrocheurs potentiels et les persévérants. En effet, au Québec, l'on considère qu'un élève qui obtient un score de 25 points ou plus doit être classé dans le groupe des décrocheurs potentiels. Or l'analyse des données recueillies auprès de notre échantillon montre une moyenne de 21,03 chez les décrocheurs, alors qu'elle descend à 14,93 chez ceux qui persévèrent. Nous sommes donc amenés à nous interroger sur les possibilités d'adaptation de l'instrument afin d'accroître sa valeur prédictive auprès d'une population d'élèves franco-ontariens. 2 L'application du x a permis d'identifier, parmi les 52 énoncés du questionnaire, 28 qui contribuent de façon significative à la prédiction de l'issue des études. Il serait donc possible de se limiter à l'utilisation de ces 28 énoncés auprès d'une population d'élèves franco-ontariens. Dans ce cas, le seuil indicateur d'un décrochage éventuel devrait nécessairement être modifié. Ainsi, nous constatons que la moyenne se situe à 11,47 pour les cas d'abandon scolaire et à 6,83 pour les cas de poursuite des études. La coupure devrait donc s'effectuer entre les valeurs de 7 et de 11. Lorsque l'on fixe le seuil à 8, 75% des cas d'abandon et 62% des cas de poursuite des études sont dépistés. Ce dernier critère nous permet d'obtenir la meilleure combinaison de prédictions valides; ainsi, quand un sujet obtient un score de 8 (ou plus) sur 28, il convient de le suivre plus attentivement, car il court de grands risques d'abandonner ses études. L'analyse discriminante ne nous a pas permis de distinguer les items qui, ensemble, contribuent le mieux à la prédiction, mais elle peut attribuer à chacun des 52 items une pondération, même minime, même négative, pondération qui correspond à la part à laquelle chaque item contribue, en combinaison avec les autres, à l'atteinte du critère proposé. Les opérations se font grâce au programme DISCRIMINANT de l'ensemble SPSS/PC+: pour chaque sujet, chacune des 52 réponses est affectée d'un coefficient; la somme des réponses ainsi pondérées est évaluée en fonction de l'ensemble des sujets et chaque sujet est classé d'office dans le groupe abandon ou dans le groupe poursuite des études. La comparaison entre 12 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE l'attribution statistique à un groupe et l'appartenance réelle à l'un ou à l'autre groupe nous montre que le calcul ainsi effectué fournit les meilleures prédictions. Plus précisément, on arrive à déceler 75% des cas réels d'abandon scolaire; par ailleurs, l'on prédit 81% des cas de poursuite des études. Enfin, le taux global de prédiction s'élève à 80%, ce qui représente une nette 2 augmentation sur la prédiction faite à partir du x et une augmentation intéressante par rapport à l'approche fondée sur les critères québécois. Outre cette augmentation de l'efficacité globale de la prédiction, il importe de souligner que le taux de prédiction devient plus proportionné entre les décrocheurs et les persévérants. Cette dernière approche consiste donc à classer un élève dans un groupe ou l'autre à partir des réponses du sujet et des pondérations obtenues de la part de sujets antérieurs. Il va de soi que le recours à cette approche s'avère non seulement plus efficace, mais encore permet de gagner du temps, car le traitement des réponses des élèves est fait par ordinateur. L'utilisation des résultats de l'analyse discriminante suppose une organisation technique complexe qui n'est pas nécessairement à la portée de tous les organismes scolaires locaux: il faut à la fois posséder un ordinateur assez puissant et pouvant utiliser le logiciel SPSS/PC. Un avantage pourrait cependant en découler: si les données étaient traitées dans un centre, il serait possible de réviser la valeur prédictive de chacun des items tous les trois ans et d'ajuster les indices statistiques en conséquence. LIMITES Faute de fonds disponibles en vue des déplacements à des endroits éloignés, l'échantillon de répondants a dû être limité à des élèves provenant d'écoles autour de l'Université. Dans ces conditions, nous ne pouvons prétendre à la représentativité statistique de nos données pour l'ensemble de la province. Nous affirmerons donc exclusivement ce qui suit: si la population d'élèves de l'Ontario était semblable à celle de notre échantillon, il y aurait intérêt à utiliser le questionnaire ou à le modifier conformément aux conclusions qui se dégagent de nos analyses. Il convient de signaler que la technique de l'analyse discriminante suppose que les données soient distribuées normalement; or nos données sont dichotomisées et sont représentées soit par 1, soit par 0. Dans ce cas, la fonction discriminante n'est pas optimale, mais elle peut donner d'assez bons résultats: ``In the case of dichotomous variables, most evidence suggests that the linear discriminant function often performs reasonably well'' (Norusis, 1986, p. B-31). Nous avons toutes les raisons de croire que l'analyse L'ABANDON SCOLAIRE 13 discriminante fonctionnerait mieux avec un questionnaire où le sujet a le choix entre cinq réponses distribuées selon un continuum. Le questionnaire de dépistage, même modifié, comporte plusieurs limites qu'il convient de noter. En effet, rien ne garantit que, de fait, un élève qui atteint le seuil indicateur d'un décrochage scolaire (soit 8 énoncés ou plus) abandonnera ses études: les parents, les amis, les enseignants ou d'autres personnes pourront l'influencer dans un sens positif. Inversement, rien ne garantit qu'un sujet qui n'atteint pas le seuil indicateur (soit moins de 8 énoncés) n'abandonnera pas l'école: le questionnaire ne garantit pas qu'il aura les aptitudes nécessaires ou qu'il se trouvera toujours dans les conditions optimales de réussite. De plus, le questionnaire repose sur la sommation d'indices considérés tous comme équivalents; il n'est pas exclu qu'un seul indice soit suffisant, chez un sujet donné, pour provoquer l'abandon des études. Nous n'obtenons aucun renseignement sur l'importance d'un indice chez un sujet, ni sur la signification d'un ``vrai'' ou d'un ``faux.'' L'application du questionnaire suppose des précautions qui sont indiquées par les auteurs du questionnaire et que l'on peut trouver traitées ailleurs (Beauchemin, 1989). CONCLUSION Si les données recueillies auprès de notre échantillon d'élèves s'avèrent représentatives de la population franco-ontarienne, l'efficacité de la prédiction pourrait être accrue en utilisant le questionnaire sous la forme que nous avons proposée. Le questionnaire conçu par le MÉQ et adapté à la population francoontarienne nous paraît un outil extrêmement précieux, voire indispensable, si nous cherchons à enrayer le décrochage scolaire. Beaucoup d'autres moyens doivent être mis en oeuvre, tels l'amélioration du climat scolaire, la mise sur pied de programmes plus souples permettant de répondre aux besoins particuliers de certains groupes d'élèves. Cependant, il demeurera toujours fondamental d'effectuer un dépistage auprès des élèves de la 8e ou de la 9e année, ou les deux, de manière à ce que l'on puisse intervenir avant que ceux-ci n'atteignent l'âge légal leur permettant d'abandonner leurs études. 14 CLAIRE BEAUCHEMIN ET VIATEUR LEMIRE La vigilance doit être accrue auprès d'une population minoritaire aux plans linguistique et culturel et cela, dans la mesure où nous y enregistrons un taux de décrochage scolaire particulièrement élevé. Conséquemment, dans les efforts en vue de promouvoir l'épanouissement des futurs adultes francoontariens, l'opération dépistage s'avère des plus indiquée auprès de ce groupe linguistique. RÉFÉRENCES Beauchemin, C. (1986). Le dépistage des décrocheurs scolaires. Revue canadienne de l'éducation, 11, 152–173. Beauchemin, C. (1989). Les indicateurs du décrochage scolaire. Dans C. Beauchemin (dir.), Faites qu'ils ne décrochent pas!— Give them a reason to stay! (pp. 37–43). Toronto: Conseil ontarien de recherches pédagogiques/Ontario Educational Research Council. Ministère de l'Éducation du Québec. (1983). L'école, ça m'intéresse? Québec: Gouvernement du Québec. Norusis, N.J. (1986). Advanced Statistics SPSS/PC+ for the IBM PC/XT/AT. Chicago: SPSS Inc. Claire Beauchemin est professeure à l'École des sciences de l'éducation, Université Laurentienne, Chemin du lac Ramsey, Sudbury, Ontario, P3E 2C6 et Viateur Lemire est professeur à la Faculté des sciences de l'éducation, Université de Montréal, Case postale 6203, Succursale A, Montréal, Québec, H3C 3T3. Deprivatizing Private Education: The British Columbia Experience1 Jean Barman university of british columbia Until 1977 the state did not regulate private schools in British Columbia. Then came provincial legislation. Today, not only must all non-public schools register with provincial authorities but the overwhelming majority receive 50 percent of the funding accorded local public schools. I here argue that family choice and state control have grown in dialectical fashion. The expansion of choice, as evidenced in higher enrolments and new private schools, has encouraged public oversight, which has then acted to constrain the boundaries of choice. Today most private schools differ little from their public counterparts as regards teaching methods and basic curriculum. Private schools' philosophical and religious underpinnings, supposedly the reason for their existence in the first place, have also come under the scrutiny of public opinion and had to be balanced against growing recognition of children's rights. What began as a single piece of legislation secured by a small interest group has become an integral component of public policy. Private education has been deprivatized. Jusqu'en 1977, les écoles privées de la Colombie-Britannique échappaient à toute réglementation gouvernementale. Puis une loi provinciale a été édictée. Aujourd'hui, non seulement toutes les écoles privées doivent s'enregistrer auprès des autorités gouvernementales, mais la très grande majorité reçoivent 50 pour 100 des subventions accordées aux écoles publiques locales. Le choix des parents et le contrôle de l'État se sont développés d'une manière dialectique. L'élargissement du choix, comme en témoigne un plus grand nombre d'inscriptions et d'établissements privés, incite le public à être plus vigilant, ce qui a pour effet de limiter les choix. Aujourd'hui la plupart des écoles privées ne diffèrent guère de leurs homologues du système public pour ce qui est des méthodes pédagogiques et des programmes de base. Les principes philosophiques et religieux des écoles privées—ceux-là même pour lesquels elles auraient été créées—font, eux aussi, l'objet d'un examen minutieux de la part du public, surtout à la lumière de la reconnaissance grandissante des droits des enfants. Ce qui a d'abord été une loi édictée pour un petit groupe d'intérêt fait maintenant partie intégrante de la politique générale. L'enseignement privé est déprivatisé. 12 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) DEPRIVATIZING PRIVATE EDUCATION 13 In 1977 British Columbia embarked on an educational policy virtually unique in North America.2 Until then the province's private schools were unregulated, subject to no external requirements apart from basic health and safety standards applicable generally across the society. Then came provincial legislation. Today, not only do the overwhelming majority of non-public schools receive 50 percent of the funding accorded local public schools, but all educational institutions must register with provincial authorities whether or not they desire financial assistance. Private education has been deprivatized. Although the British Columbia experience generated initial scholarly interest, effects over the long term have not been analyzed.3 My argument is that family choice and state control have grown dialectically. Government funding, intended to expand the boundaries of choice for parents, did bring higher enrolments and new schools. This in turn encouraged greater public oversight, which has then constrained the boundaries of choice. I do not enter the debate over the comparative merits of public and non-public education.4 BACKGROUND Until 1977, private schooling in British Columbia was limited in its influence to small minorities centred in specific social settings and geographical areas. Over 95 percent of children attended local public non-denominational schools. The provincial government concerned itself only with the public sector. Private schools were not mentioned in the Ministry of Education's annual reports, much less monitored. There were three distinctive groups of schools, each of which for its own reasons helped form the lobby that from the 1960s sought to persuade the provincial government to enact the crucial legislation. The oldest group were Catholic schools whose beginnings went back as far as did European settlement itself—to the mid-nineteenth century.5 Because the Catholic church failed to secure legal recognition for its schools prior to British Columbia's entry into Confederation in 1871, the schools acquired no claim under the terms of the British North America Act to be financially supported as alternatives within the public system, as occurred with Catholic schools in some other areas of Canada. British Columbia's handful of Catholic schools limped along as private institutions, continuing to believe, however, that they were legitimately entitled to official recognition and public funding. After the Second World War an increasingly assertive Catholic hierarchy took direct action. Not only were dozens of new schools constructed across the province to serve the one in seven British Columbians who was Catholic, but a 13 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 14 JEAN BARMAN very public war of words was waged through repeated briefs and appeals to the provincial government.6 The number of Catholic schools quadrupled between the early 1950s and mid-1960s to well over 60, but, despite its higher profile, the Catholic church was unable on its own to obtain any concessions or assistance from the province. A second group of non-public schools had origins going back almost as far in time, to British Columbia's origins as a British colony.7 As around the world, so in colonial British Columbia the Church of England established its own private, elite schools which on Confederation also remained outside the provincial system. The Anglican tradition was buttressed early in the twentieth century as a consequence of extensive upper-middle-class British immigration into British Columbia, which many newcomers perceived as still a British outpost where they could educate their children in the same class-based fashion as in Britain itself. Over a hundred private boys' and girls' schools on the British model were established in areas of extensive British settlement, many soon also acquiring students from among families of other backgrounds who sought similar, supposedly superior status for their children. By mid-century many of the three dozen or so schools still in operation had fallen on hard times, unable to provide the costly physical amenities of the postwar public system. At the same time schools continued to attract many offspring of influential families, including those whose fathers were willing to use political connections to ensure the schools' survival. This was particularly the case once attention turned to the securing of financial support from the provincial government. It was the third principal group of private schools that spearheaded the joint lobbying effort to obtain government support. Holland's devastation in the Second World War brought many young people to areas of the world with similar geography. Upwards of 20,000 settled in British Columbia's fertile river valleys.8 Like their British predecessors, the Dutch brought with them a strong commitment to private education. The unquestioned assumption in the Netherlands was that each child would be schooled according to the family's religious beliefs in a government-supported but denomination- ally based institution. Many Dutch immigrants to British Columbia were Calvinists committed to what they termed ``Christian'' schooling. Assisted by missionaries from older settlements in the United States, they soon established some two dozen Christian schools.9 These new British Columbians firmly believed that government, be it in the old world or the new, had a responsibility to fund their offsprings' schooling just as it did that of most other children in the society. By the early 1960s each of the three groups of schools realized that, on their DEPRIVATIZING PRIVATE EDUCATION 15 own, they were unable to change a provincial policy that had never acknowledged, much less funded, educational alternatives to the public system. In 1966 the associations representing the three groups, totalling 121 schools, came together to form a joint lobby, the Federation of Independent School Associations. FISA, as it is usually known, was not an organization of schools but rather of their separate associations, whose continued existence showed the great extent to which the separate strands in private education stood apart from each other. The word ``independent'' in the name of the federation denoted these schools' conscious change in orientation from being ` `private,'' in the sense of private profitmaking, to independent, in the sense of distinct from the public system.10 FISA's sole mandate was to secure provincial recognition and funding. Its executive director, Gerry Ensing, came out of the very vigorous Dutch Calvinist tradition and was determined that the provincial government must acknowledge the private sector's contribution to education and accord it its financial due. Ensing was extraordinarily capable and effective in promoting grass-roots activism among private-school supporters. ``Think carefully! YOU have supported your private school, financially, YOU have read and heard all about this subject and presumably, agree. BUT, HAVE YOU WRITTEN YOUR LETTER? Male or female, youth or adult—the testing time is NOW! The wedge is inserted! DRIVE IT HOME, WITH A GENTLE BUT FIRM BLOW WITH YOUR PEN!''11 Key provincial legislators of diverse political orientations soon saw the practical advantages in supporting the cause. As L.W. Downey has analyzed in detail, the passage of legislation in September 1977 underlined the extent to which a small but determined vested-interest group could set public policy.12 LEGISLATION The School Support (Independent) Act of 1977 provided for two levels of per-pupil funding to schools in operation for at least five years. To qualify for assistance at 10 percent of what it cost to educate the same child in a public school in the same district, a school had only to satisfy a school inspector that it did not promote racial or religious intolerance or social change through violent means, and that it had adequate facilities. Funding at the higher rate of 30 percent of comparable costs required adherence to the same basic educational program being offered in the public system, subsequent employment of qualified teachers, participation in provincial student assessment and examination programs, and operation as a non-profit enterprise. Most established schools requested funding at the higher level even 16 JEAN BARMAN though the legislation did not, it must be stressed, compel schools to seek recognition and funding. Only a small minority then or later sought assistance at the lower level. Schools that for religious or other reasons rejected the principle of government control over education remained free to operate unhindered by any outside authority, be it the provincial government or FISA. Official terminology thereafter tended to refer to schools receiving funds as independent, those opting to go their own way as private. The original Act was subsequently amended and rewritten in ways more favourable to schools seeking funding. In 1982 the time a school had to operate before applying for assistance was cut from five to three years, in mid-1987 to just a single year, shifts that encouraged the foundation of new schools. Also in 1987 the date when a school would actually receive the first payment for a particular school year was advanced from November of the subsequent year to February of the year in question, a considerable boon for smaller schools operating on the economic margin.13 Maximum funding was at the same time raised to 35 percent. Responding to recommendations of the provincial Sullivan Royal Commission on Education, which reported in 1988, a new Independent School Act was passed in mid-1989. The funding level was raised to 50 percent for schools whose per-pupil operating expenses did not exceed those of public institutions in the same school district and which, as summed up by the Minister of Education during debate on the legislation, ``meet all the requirements or parallel requirements of the public school system in terms of educational programs.'' For schools whose per-pupil costs were higher than in public schools in the same district, the same regulations held but funding remained at 35 percent. The lower rate continued at 10 percent. Although the latter schools did not have to follow the provincial curriculum, they were now, as the minister emphasized, ``required to provide an educational program, as . . . in the public schools.''14 Schools' capital and other non- operating costs are not provincially supported, although schools have been and continue to be accorded a proportion of funds targeted from time to time for special purposes, such as Pacific Rim initiatives, computer education, and programs for children with learning disabilities.15 The 1989 Act also put private education as a whole under state control for the first time in British Columbia. All schools enrolling ten or more children and all home-schooling families, defined as school-aged groups of fewer than ten, were required to register with provincial authorities.16 Upon registration, a school was officially inspected. Home-schooling families were subject to superintendents' inspection. As had been the case in funded schools, all schools were now explicitly prohibited from offering programs that fostered DEPRIVATIZING PRIVATE EDUCATION 17 racial or ethnic superiority, religious intolerance, or social change through violent means. Very importantly, the Independent School Act of 1989 began with the same preamble as did its companion School Act, for the first time committing all schools across the province to a common purpose developed by the ministry for the public system. ``The purpose of the British Columbia school system is to enable learners to develop their individual potential and to acquire the knowledge, skills and attitudes needed to contribute to a healthy society and a prosperous and sustainable economy.''17 Although non-funded schools could still make a profit and hire unqualified teachers, the requirement clearly and unequivocally put the state's social and economic priorities up front. British Columbia's remaining ``private'' schools were in effect legislated out of existence. GROWING NUMBERS Since 1978 both the number of pupils in non-public schools and the number of institutions have grown steadily, although, as Table 1 makes clear, two important shifts sometimes attributed to the legislation were already underway. Demographics were depressing public school enrolments even as those of non-public schools were rising, partly in reaction to what some British Columbians perceived to be public-school permissiveness. 18 JEAN BARMAN TABLE 1 Comparison of British Columbia Public and Private School Enrolments, 1970/71–1990/91* Public school enrolment % change over prev. year Private school enrolment % change over prev. Total year enrolment Private enrol. as % of total 1970/71 526,991 — 21,319 — 548,310 3.9 1971/72 524,305 -0.5 21,777 2.1 546,082 4.0 1972/73 537,067 2.4 22,061 1.3 559,128 4.0 1973/74 549,019 -2.2 21,421 -2.9 570,440 3.8 1974/75 541,575 -1.4 21,055 -1.7 562,630 3.7 1975/76 542,680 0.2 23,071 9.6 565,751 4.1 1976/77 536,237 -1.2 23,318 1.1 559,555 4.2 1977/78 527,769 -1.6 23,691 1.6 551,460 4.3 1978/79 517,786 -1.9 24,556 3.7 542,342 4.5 1979/80 511,671 -1.2 24,827 1.1 536,498 4.6 1980/81 509,805 -0.4 26,314 6.0 536,119 4.9 1981/82 503,371 -1.3 27,936 6.2 531,307 5.3 1982/83 500,336 -0.6 28,280 1.2 528,616 5.4 1983/84 497,312 -0.6 29,118 3.0 526,430 5.5 1984/85 491,264 -1.2 30,326 4.1 521,590 5.8 1985/86 486,777 -0.9 33,553 10.6 520,330 6.5 1986/87 486,299 -0.1 34,242 2.1 520,541 6.6 1987/88 491,309 1.0 36,724 7.3 528,033 7.0 1988/89 500,088 1.8 37,731 2.7 537,819 7.0 1989/90** 513,533 2.7 39,240 4.0 552,773 7.1 19 DEPRIVATIZING PRIVATE EDUCATION 1990/91** % change over 20 years % change since funding 527,900 2.8 0.2 nil 41,391 5.5 94.2 74.7 569,291 7.3 3.8 3.2 *Federal schools for native Indian children and schools for blind and deaf students are excluded from the total. **Figures shown are estimates. Sources:Statistics Canada, Elementary-Secondary School Enrolment (81-210) and Advanced Statistics of Education (81-220), and FISA calculations. 20 JEAN BARMAN The number of children in the public system fell from a high of 549,00 in 1973/74 to under 530,000 by 1977/78, during which time enrolment in non-public schools grew from just over 21,000 to almost 24,000. Funding accelerated the trend in favour of non-public school enrolments. Public school numbers troughed at 486,000 in 1986/87, moving slowly upwards thereafter, whereas the number of non-public pupils surpassed 41,000 by 1990/91. Overall, the proportion of British Columbia children being educated outside the public system rose by two thirds, from 4.3 percent in 1977/78 to 7.3 percent in 1990/91. The number of non-public institutions also grew by two thirds, from approximately 167 in 1977/78 to 279 by 1989/90. In addition, an estimated 2,000 to 3,000 children, or just over 0.5 percent of their cohort, were being home-schooled. Overall figures are somewhat misleading, for growth in numbers and thereby in families' choice of school for their children has not been evenly dispersed between the principal groups of non-public schools. As Table 2 shows, Catholic enrolments have increased least. Yet the influence of funding for this, the largest group of schools, has probably been the most significant. The province's Catholic schools had by their own admission fallen on hard times, a situation worsened by a worldwide shortage of cheap, dedicated Catholic labour. Many schools so optimistically established across hinterland British Columbia during the postwar years were barely surviving. The church's willingness to countenance, never mind to champion, a joint funding campaign is perhaps the best evidence of the situation's gravity. Funding turned matters around. By 1980 enrolments were slowly but steadily moving upward. Fees could be kept down while individual schools were made more attractive through the improvement of deteriorating facilities and employment of paid teachers to replace aging nuns and lay brothers. Of 67 Catholic schools in operation on the eve of funding, 1977/78, just four subsequently closed, two at least for non-economic reasons. Overriding strenuous parental objections, an elderly order of nuns from Montreal shut down an exclusive Vancouver girls' school rather than see it fall into the hands of lay teachers. A few years later a popular girls' high school in nearby Burnaby was summarily closed by the local archdiocese rather than submit to unionizing teachers' demands.18 Nine new Catholic schools were founded in the early to mid-1980s, primarily in rapidly expanding surburban communities.19 Their appearance partially accounts for the rise in enrolments from just over 13,000 at the beginning of the decade to 17,000 by 1987. Totals thereafter levelled out. This is in part because, rather than reducing fees and so encouraging additional families to consider attendance, institutions used provincial funds primarily to raise teachers' salaries toward provincial norms DEPRIVATIZING PRIVATE EDUCATION 21 in the public system, hoping to counter threats of unionization. State funding has been critical to the renaissance of Catholic education in British Columbia.20 TABLE 2 British Columbia Private School Enrolment, 1977/78–1990/91 Catholic 1977/78 13,264 1978/79 13,395 1979/80 % incr. over prev. year — Elite % incr. over prev. year Funded Christian % incr. over prev. year — Other funded 3,559 — 2,471 1,357 1.0 3,556 -0.1 2,702 9.8 1,411 13,226 -1.3 3,667 3.1 2,946 9.0 1980/81 13,712 3.7 3,661 -0.2 3,239 1981/82 14,077 2.7 3,839 4.9 1982/83 14,620 3.9 3,872 1983/84 15,516 6.1 1984/85 15,421 1985/86 1986/87 % incr. over prev. year — Nonfunded* % incr. over prev. year Total 3,040 — 23,691 4.0 3,492 14.9 24,556 1,273 -9.8 3,715 6.4 24,827 10.0 1,498 17.7 4,204 13.2 26,314 3,436 6.1 2,056 37.3 4,528 7.7 27,936 0.9 3,592 4.5 2,002 -2.6 4,194 -7.4 28,280 3,935 1.6 3,745 4.3 1,518 -24.2 4,404 5.0 29,118 -0.6 3,886 -1.3 3,969 6.0 1,756 15.7 5,294 20.2 30,326 16,592 7.6 4,331 11.5 4,149 4.5 2,047 16.6 6,434 21.5 33,553 16,934 2.1 4,484 3.5 4,639 11.8 2,563 25.2 5,622 -28.2 34,242 23 DEPRIVATIZING PRIVATE EDUCATION 1977/78 13,264 1978/79 13,395 1979/80 3,559 — 2,471 3,040 — 23,691 1.0 3,556 -0.1 2,702 9.8 1,411 4.0 3,492 14.9 24,556 13,226 -1.3 3,667 3.1 2,946 9.0 1,273 -9.8 3,715 6.4 24,827 1980/81 13,712 3.7 3,661 -0.2 3,239 10.0 1,498 17.7 4,204 13.2 26,314 1981/82 14,077 2.7 3,839 4.9 3,436 6.1 2,056 37.3 4,528 7.7 27,936 1982/83 14,620 3.9 3,872 0.9 3,592 4.5 2,002 -2.6 4,194 -7.4 28,280 1983/84 15,516 6.1 3,935 1.6 3,745 4.3 1,518 -24.2 4,404 5.0 29,118 1984/85 15,421 -0.6 3,886 -1.3 3,969 6.0 1,756 15.7 5,294 20.2 30,326 1985/86 16,592 7.6 4,331 11.5 4,149 4.5 2,047 16.6 6,434 21.5 33,553 1987/88 17,029 0.6 4,697 4.8 5,133 10.0 3,396 32.5 6,469 15.1 36,724 1988/89 16,734 -1.7 4,814 2.5 5,509 7.3 3,755 10.6 6,919 6.9 37,731 1989/90 16,845 0.7 5,196 7.9 6,281 14.0 4,570 21.7 6,348 8.3 39,240 1990/91 17,354 3.0 5,158 -0.7 7,476 19.0 5,344 16.9 6,059 -4.5 41,391 % increase since funding — 30.8 44.9 — 202.6 1,357 — 293.8 99.3 24 *Enrolments in non-funded schools are estimates only. Source: Enrolment statistics compiled by the Federation of Independent School Associations on behalf of Statistics Canada. JEAN BARMAN DEPRIVATIZING PRIVATE EDUCATION In the case of the province's elite schools on the British model, their relatively small growth in enrolments has been largely self-imposed. The ten that survived into the late 1970s used funding primarily to retrieve lost exclusivity. Rather than moderating fees, they chose to upgrade facilities or even open new campuses in order to maximize appeal and thereby pupil selectivity. Their success was most visible in the foundation in the heavily populated Greater Vancouver area of several new schools quite contented to accept the older schools' rejects.21 These institutions, old and new, have been especially concerned to maintain their image as distinct from and superior to the public system.22 In 1989 they opposed any further rise in provincial funding beyond 35 percent and helped fashion the dual policy whereby only schools whose per-pupil cost was below that in local public schools received the higher rate of 50 percent. Christian schools have expanded the most dramatically in numbers and enrolment. The general appeal of conservative Christian values has been evident in the parallel growth of funded Christian schools and of their non-funded counterparts.23 Funded Christian schools have increased enrolments one and a half times over the past twelve years, while overall enrolments in non-funded private schools, the majority evangelical Christian in outlook, have doubled. In practice the two kinds of Christian schools intertwine.24 Those originating in Dutch immigration have gradually become more welcoming of families belonging to other Protestant churches.25 State funding has been vital in legitimizing curricula and teachers and thereby achieving broadly based acceptability within the larger Christian community. Some non-funded Christian schools begun by particular evangelical or fundamentalist denominations have moved closer to their funded counterparts by joining the association encompassing funded Christian schools and applying for provincial recognition and financial assistance. Thus, enrolment in non-funded schools as a whole began to decline in the late 1980s even as, so Table 2 details, that in funded Christian schools continued to rise. Newer funded schools were mostly located in geographical areas without Dutch settlement, thereby increasing funded Christian schools' accessibility to families across the province. By the end of the 1980s, twenty-five to thirty different denominations were represented among pupils attending funded Christian schools. Christian schools choosing to remain non-funded have often had relatively short life spans. Founded by an enterprising minister and operating in ad hoc quarters, likely a church basement, they have relied on individualized curricula such as Alpha-Omega or Accelerated Christian Education, the latter able to be overseen by non-professionals, often the minister and his wife or other 26 volunteers from within the church. Thus, almost half the approximately 60 non-funded Christian schools in operation in the early 1980s had begun after 1977 but were closed by the end of the 1980s, by which time another 30 or so new non-funded Christian schools were in operation across British Columbia.26 Other non-public schools have fared variously. The stagnation of alternative school enrolments, even where such schools received funding, was likely a consequence of general conservatism in social values in the 1980s. Seventh Day Adventists, who at first rejected government funding, have had little success in opening new schools. Other religious schools, schools for very young children, and schools for children with special needs have each tripled in numbers, due largely to the increased ease of obtaining provincial funding. Among groups newly establishing schools in the 1980s in British Columbia were Mormons, Sikhs and Muslims. INCREASED OVERSIGHT The growth in numbers of pupils and schools has both encouraged and been encouraged by increased official and unofficial oversight of non-public education. The shift has gone beyond changes in legislation into attitudes. Non-public schools have come to be perceived as an integral component of a provincial system of education. Whereas once it was the Federation of Independent School Associations alone that spoke out for private education, three powerful groups now look out for their interests. First, unlike some lobbies that fold their tent as soon as their goal is secured, FISA strengthened its presence in British Columbia as the principal liaison between, and advocate for, various groups or associations of schools that otherwise continued to have relatively little in common.27 The federation communicates schools' concerns to the proper authorities, monitors government actions, and administers some provincial programs encompassing non-public schools, making FISA a direct agent of state control. FISA also functions as the principal advocate of independent education, in the press and elsewhere defending the principle of funding and making the case for family choice and diversity in education.28 FISA's role should not be underestimated. FISA has had internally to maintain a delicate balancing act between school associations, some of which favour increased funding, even as high as 100 percent, whereas others oppose any change appearing to legitimize government intervention in their operations. FISA has been remarkably successful in quietly and effectively reconciling very different perspectives. The provincial Ministry of Education officially oversees non-public DEPRIVATIZING PRIVATE EDUCATION education, ensuring that individual schools adhere to designated standards for curriculum and teachers' credentials. The presence of an Independent Schools Division within a government ministry traditionally responsible only for public education has played a major role in legitimizing private schools as integral to the provincial system. Although some individuals within the division, including Gerry Ensing, formerly of FISA, have been scrupulous in their public neutrality, others have sometimes sounded ``more like an apologist for the private schools than their inspector.''29 The third critical support group is the provincial government itself. The centre-right Social Credit coalition that has been in power since 1977 has actively encouraged non-public schooling as an option for British Columbian families. Some MLAs have been attracted by the elitism, others have been genuinely concerned to give parents the opportunity to opt for religiouslybased schooling for their offspring. Over the past dozen years evangelical Christians have played a growing role in government as members of the legislature and as ministers. Overall, the vision of society held by members of the ruling political party has been more closely approximated by some component of the non-public sector, or at the least by the freedom to choose, than by public education.30 THE DIALECTIC Growing oversight combined with the expansion in family choice has fundamentally altered the character of non-public education in British Columbia. Provincial funding revitalized non-public schools, but at a price. Whereas a dozen years ago these schools quietly went their own way, they are now accountable not just to the government but in the court of public opinion. Their every action is monitored by and discussed in the press, due in good part to their appeal. The dominant image of private education depicted in the press is of a panacea inaccessible to ordinary British Columbians. An editorial in the province's major newspaper unequivocally asserted in 1987 that all private schools ``are elitist.''31 Such an assessment gains credibility from the frequent advertisements in the daily and periodical press for the province's handful of truly elite schools, containing details like ``fully 96% of last year's graduating seniors gain[ed] admission to universities such as Harvard, Princeton and MIT.''32 Newspaper headlines at first glance negative in tone—``Hefty private school funding hike angers cash-strapped public schools''—leave much the same message.33 FISA's very success in holding together an independent school coalition has ironically heightened the perception of all non-public 28 schools as fashioned in the image of the select few. The press's tendency to obscure schools' differing goals and clientele is due in part to its distillation of expertise. Having polled British Columbians to determine their level of support for private education, Donald Erickson lumped his findings together as though they applied equally to all kinds of non-public schools.34 The Ministry of Education has contributed to the same perception through such actions as highlighting in its annual report a public opinion survey indicating that, ``if money was no object, more than half the population would choose to send their children to an independent school.''35 One consequence is that families believe they will obtain for their child at an economy-model Catholic or evangelical Christian school the attributes of exclusivity promised by one elite school with its public assertions that ``the world steps aside for any man who knows where he is going.''36 To the extent that families do not experience anticipated satisfaction or cannot afford a non-public school in the first place, antagonisms grow and non- public schools become more accountable for their every action. Non-public education's new visibility has meant that individual schools are monitored as never before. Efforts to get rezoning or other concessions result in extensive press coverage.37 The revelation in spring 1989 that two of Vancouver's elite schools limited admissions of local students of Asian background in the interests of maintaining an ``appropriate ethnic mix'' unleashed a public furor. Whereas half the children entering the public system in Vancouver spoke English as a second language, half of these a Chinese language, one of the two schools deliberately kept the proportions of Asians to twenty percent and of other ethnic groups to between 2 and 3 percent, despite half its applicants being of Asian descent.38 Another outcry erupted a year later over the realization that some non-public schools issued tuition rebate slips for income tax purposes on the ground that the school offered at least one post-secondary course and therefore the fees of all students, whatever their academic level, were deductible for tax purposes, a position apparently upheld by Revenue Canada.39 Also in 1990 came news that one of the province's best-known elite schools had decided to continue to restrict its enrolment to males, which some in the public considered reason for withdrawing public funds from the institution.40 Funded schools whose religious underpinnings have appeared to take precedence over their educational function have also come under public scrutiny.41 The most extreme case was a 1988 conflict between the Catholic church and teachers at the province's only Catholic girls' high school. In the end the church got its way by simply shutting down the school, but the cost was much heavier than if the events had occurred a decade previous. The DEPRIVATIZING PRIVATE EDUCATION conflict began when teachers sought to unionize in order to raise their salaries and to secure better working conditions. The Catholic hierarchy was unwilling to discuss such issues as teachers' personal behaviour outside school hours. Many interpreted it as a warning to teachers in other Catholic schools considering unionization that the church closed the school over the protests of students, parents and teachers. Every scene and act in a lengthy drama of conflicting views was monitored by the daily press, and the church lost decisively in the court of public opinion.42 The Catholic church was made accountable for its actions in so unfavourable a light as to make it highly unlikely that any school or religious group would ever again act in similar fashion. All non-public schools across British Columbia were put on guard that even in terms of their philosophical and religious underpinnings, there were public standards for acceptable behaviour. As for the Catholic church, it not suprisingly used much of the 1989 funding increase to raise teachers' salaries. Neither are funded schools any longer independent in terms of daily operations. Individual schools still embody very different philosophical, religious and even class-based perspectives. Yet each must now serve the same basic purposes as does the public system, summed up in the preamble to the 1989 legislation. Educational programs build on a core curriculum developed within the public system. Some long-standing teachers are qualified through experience, but more and more receive their training in the same post-secondary institutions serving the public system and are similarly certified, meaning that they can readily move between public and non-public schools.43 All students take the same provincial graduation examinations and graduate equally qualified to enter institutions of higher learning. The provincial inspector of independent schools has the authority to appraise all school records as well as to ``examine the achievement of students and examine and assess teachers, programs, operations and administration.''44 Further, by accepting funding non-public schools have committed themselves in advance to whatever new regulations the Ministry of Education may implement for the system as a whole. Through FISA, schools have some voice in policy formation, but that voice is very small compared to that of the much larger public system. When during the early 1980s the provincial government repeatedly cut back public education in the name of economic restraint, independent schools were also cut back. Far-reaching policy changes consequent on the 1988 Sullivan Royal Commission look toward a fundamental restructuring of the entire system by the year 2000. Kindergarten through grade 3 is becoming ungraded, and grades 11 and 12 will be reoriented. The traditional subject areas are to be replaced by four interwoven 30 strands: humanities, fine arts, sciences and practical arts.45 Although independent schools have some flexibility, the widespread assumption that their academic component equals or surpasses that in the public school creates tremendous pressures to conform. As one independent school head put the case, ``it's our job to be up-to-date with what's happening educationally.''46 For non-public schools in British Columbia, the future is no longer theirs alone to determine. The 1989 legislation paired the carrot of funding with the stick of mandatory registration and what the minister termed ``stronger inspection.''47 The appeal of financial assistance had already brought into the regulated category the majority of schools, together enrolling about 85 percent of non-publicly educated children. Although the new Act does not force the remaining schools to accept provincial funding, it does stipulate that they as well as home-schooling families must, for the first time, acknowledge themselves before the state. When the legislation was passed, the provincial inspector of private schools commented that some non-funded schools deeply opposed the new Act. ``They don't want us to know about them because they're afraid of government intervention.''48 The new Act effectively puts children's right to a basic education, whatever school they attend, above their parents' and the school's philosophical or religious predilections.49 As the Act's preamble affirms, children's rights take priority: ``The purpose of the British Columbia school system is to enable learners to develop their individual potential and to acquire the knowledge, skills and attitudes needed to contribute to a healthy society and a prosperous and sustainable economy.'' The Minister of Education explained the preamble's purpose as ensuring that non-public schools ``meet more stringent requirements relative to the public school act, so that if students had a choice, they also had equal opportunity to get an education that would prepare them for a healthy society.''50 It is too early to determine proportions of schools and home-schooling families refusing to register or whether the provincial ministry will act against the holdouts. As of early 1991, the section of the legislation making non-registration an offence, Section 13, had not yet been proclaimed, the delay intended to give schools time to comply voluntarily. The Act gives the government the authority to order a school closed for failing to comply. Such a school would remain closed during any appeal, likely dooming long-term viability. Over the long run the Act likely will result in the closure of some schools, mostly voluntarily, and cause decisions to open new schools to be taken less lightly than during the 1980s. Most supporters of non-public education, by distinguishing between schools' DEPRIVATIZING PRIVATE EDUCATION didactic and moral functions, have had little difficulty accepting the state's greater role. They applauded the 1989 legislation as putting ``into a legislative code a commitment to pluralism in education'' with ``room for parental choice.' '51 They hold that their ability to teach from their own philosophical or religious perspective has been little, if at all, affected by the growth of state oversight. A minority, including some members of the evangelical Christian community, have expressed reservations based on their strong belief that the state has no role in schooling. Others worry over the appropriate percentage of financial support, with its implication of a comparable degree of state control. The greater the reliance on government funding, the more difficult it becomes to oppose government requests that might in the event of opposition become demands. Thus, during internal debate preceding the 1989 legislation, some voices within FISA argued that the proportion should not top the current 35 percent, others that it not exceed 49 percent, to ensure schools retain 51 percent control. For the overwhelming majority, the security of financial support far outweighs apprehensions that a provincial government of a different political orientation might revise regulations. FISA's effective cooption of provincial political parties and of most major interest groups through ongoing liaison has ensured there will be no drastic reversal in policy.52 Funding itself is no longer at issue. The principal opposition party, the New Democrats, has since the early 1980s committed itself to maintaining financial support of non-public schooling. In debating the 1989 legislation, the NDP critic for education, Anita Hagen, emphasized that ``we agree with the government that choice and alternatives should be the hallmark of an educational system,'' even though the preference would be for ``that kind of choice and diversity to exist within the public school system as broadly as possible.'' She continued, ``So I am passionately committed to the public school system, but I recognize too—and certainly we have recognized and acknowledged—that parents are seeking choices related to the educational needs of their children and also to the values that they feel are important.''53 On the other hand, if in power, the province's left-leaning opposition might well effect changes toward greater accountability and accessibility and emphasis on children's rights. Home schoolers and non-funded schools on the margin would probably be pushed closer to the independent school mainstream. During the 1989 legislative debate an opposition member commended the new requirement that ``every child to be registered somewhere in a school.'' She urged that children be given ``some choice about whether they will be schooled at home or in schools.'' Some opposition members would curtail funding to ``schools that charge fees that make them available only to 32 parents who are wealthy.'' ``Enrolment procedures should be ones that do not preclude the attendance of people who themselves choose such schools, rather than having standards of enrolment that may preclude them from enrolment.''54 In the interests of expanding choice and greater equity between families, differences between public and non-public schools would further diminish. Thus, what began in 1977 as a single piece of legislation secured by a small interest group has become an integral component of public policy. Growing numbers of British Columbian families have come to consider non-public alternatives for their children. At the same time, family choice has been constrained, in part through non-public schools' very success. The didactic function of most such schools now differs little from that of their public counterparts. Even schools' philosophical and religious underpinnings, supposedly the reason for their existence in the first place, have increasingly come under public scrutiny. Individual schools may still run roughshod over teachers and families, but only at considerable cost in terms of public censure. Independent education's new visibility may not dictate but certainly tempers schools' behaviour in philosophical and religious as well as in didactic realms. From the perspective of children's rights, events in British Columbia have further meaning. The distinctive philosophical and religious underpinnings of independent schools have been moderated by the right of all children, to quote once again from the preamable common to the School and Independent School Acts, to ``acquire the knowledge, skills and attitudes needed to contribute to a healthy society.'' Children are protected, at least in theory, against the actions of willful schools even where those are selected by equally willful parents. Education in British Columbia may not conform to the traditional image of the local public school as the common meeting ground for the next generation, yet the system has since 1977 moved markedly in that direction. Among questions that remain to be answered is whether this shift results from factors unique to British Columbia or is an inevitable concomitant of public funding for private education. NOTES 1 I am grateful to the Social Sciences and Humanities Research Council for financial support of the Canadian Childhood History Project, under whose auspices this assessment was developed. It draws not only on written sources including the daily press but on conversations with numerous individuals more expert than myself, including Gerry Ensing, Fred Herfst, Harro Van Brummelen, and private-school teachers and principals in Vanderhoof, Vernon and DEPRIVATIZING PRIVATE EDUCATION Vancouver. William Bruneau, Gerry Ensing, Jud Purdy, Patricia Roy, Harro Van Brummelen, and J. Donald Wilson usefully made critiques of earlier versions of the assessment presented to the American Educational Research Association in spring 1990 and to the Canadian History of Education Association in fall 1990. Comments received there were also very helpful. 2 Only Alberta is comparable, although Saskatchewan, Manitoba and Quebec also fund private schools. Provinces' policies are summarized in Romulo F. Magsino, ``Human Rights, Fair Treatment, and Funding of Private Schools in Canada,'' Canadian Journal of Education 11 (1986), pp. 245–63, and in J. Donald Wilson and Marvin Lazerson, ``Historical and Constitutional Perspectives on Family Choice in Schooling: the Canadian Case,'' in M.E. Manley- Casimir, ed., Family Choice in Schooling: Issues and Dilemnas (Lexington: D.C. Heath, 1982), pp. 1 –19. Private education across Canada is discussed in an international context in John J. Bergen, ``Canada: Private Schools,'' in Geoffrey Walford, ed., Private Schools in Ten Countries: Policy and Practice (London: Routledge, 1989), pp. 85–104, and in Charles L. Glenn, Choice of Schools in Six Nations (Washington, DC: U.S. Department of Education, 1989), pp. 145–85. The issues raised in British Columbia have also received considerable attention in Ontario, expressed most strongly in Bernard Shapiro, Commission on Private Schools in Ontario, Report (Toronto: Ontario Department of Education, 1985), which argued against public assistance. 3 The largest was the multi-year COFIS (``A Study of the Consequences of Funding Independent Schools in British Columbia'') study undertaken by Donald Erickson, whose published findings have been sparse. See Donald E. Erickson, Lloyd MacDonald and Michael E. Manley-Casimir, Characteristics and Relationships in Public and Independent Schools (San Francisco and Vancouver: Centre for Research on Private Education and Educational Research Institute of British Columbia, 1979); and Donald A. Erickson, ``Should All the Nation's Schools Compete for Clients and Support?'' Phi Delta Kappan, September 1979, pp. 14–17, 77. For unpublished reports by Erickson and associates, see Frank J. Dragojevich, ``The Funding of Roman Catholic Schools in British Columbia: Issues and Implications'' (M.Ed. major paper, Department of Administrative, Adult, and Higher Education, University of British Columbia [1988]), pp. B2-B3. On British Columbia, also see Daniel J. Brown, ``Financial Effects of Aid to Nonpublic Schools: The British Columbia Experience,'' Educational Evaluation and Policy Analysis, 4 (1982), pp. 443–60. 4 Some of these issues are discussed in Donald Fisher, ``Family Choice and Education: Privatizing a Public Good,'' in Manley-Casimir, ed., Family Choice, pp. 199–206; Donald Fisher and Averlyn Gill, ``Diversity in Society and Schools,'' Pacific Group for Policy Alternatives (paper no. P-85-03), (Vancouver, 1985); and Donald Fisher and Betty Gilgoff, ``The Crisis in B.C. 34 Public Education: The State and the Public Interest,'' in Terry Wotherspoon, ed., A Sociology of Education: Readings in the Political Economy of Canadian Schooling (Toronto: Methuen, 1986), pp. 68–93. 5 On the broader historical context, see Jean Barman, ``Transfer, Imposition or Consensus? The Emergence of Educational Structures in Nineteenth-Century British Columbia,'' in Nancy M. Sheehan, J. Donald Wilson and David C. Jones, ed., Schools in the West: Essays in Canadian Educational History (Calgary: Detselig, 1986), pp. 241–64; and Jean Barman, The West Beyond the West: A History of British Columbia (Toronto: University of Toronto Press, 1991). 6 The official Catholic interpretation of events is summarized in ``History of B.C.'s independent school struggle,'' B.C. Catholic, 18 September 1977, p. 3. 7 On these schools, see Jean Barman, Growing Up British in British Columbia: Boys in Private School (Vancouver: University of British Columbia Press, 1984). 8 On Dutch immigration to British Columbia, see Edith M. Ginn, ``Rural Dutch Immigrants in the Lower Fraser Valley'' (M.A. thesis, Department of Geography, University of British Columbia, 1967). 9 See Harro W. Van Brummelen, Telling the Next Generation: Educational Development in North American Calvinist Christian Schools (Lanham: University Press of America, 1986), pp. 250–65. 10 The term ``independent'' began to be used by the elite schools in British Columbia after the Second World War, as it was in Britain, to set themselves apart as no longer private-profit-making. The British Columbia press still uses the two terms interchangeably. 11 Undated FISA bulletin from 1970. Capital letters in original. 12 L.W. Downey, ``The Aid-to-Independent Schools Movement in British Columbia,'' in Sheehan, Wilson and Jones, Schools in the West, pp. 305–23. More revealing of events from the perspective of proponents within the private schools are ``FISA: Working against all the odds,'' B.C. Catholic, 18 September 1977, p. 3, and the minutes of the Independent Schools Association of British Columbia, available in the British Columbia Archives and Records Service. 13 FISA Memo, 4 September 1987; Sun, 25 June and 5 September 1987; and FISA, ``Commentary on the Independent School Act, 16 October 1989, p. 2. The 1989 legislation continued these provisions. 14 Anthony Brummet, 4 July 1989, in Legislative Assembly, Debates, v. 14, no. 23, p. 8120. 15 For examples, see Ministry of Education, ``News Release,'' 22 June 1987, and FISA, Monday Bulletin, 1 February and 13 June 1988. 16 More specifically, home-schooling families were required to register with a local public or non-public school of their choice or with the Ministry of Education's correspondence division. In exchange for providing access to evaluation and DEPRIVATIZING PRIVATE EDUCATION assessment services and loan of educational materials, the school receives for each home schooler registered one-quarter of its per-pupil provincial funding. Bill 67, School Act, 1989, part two, sections 12–13; Bill 68, Independent School Act, regulations, section 6; and Sun, 1 November 1989. 17 Ministry of Education, Annual Report, 1987/88, 3, amd School Act and Independent School Act, 1989, preamble. 18 Respectively, the Convent of the Sacred Heart and Marian Regional High School. 19 Data compiled from FISA's annual Independent Schools Directory. 20 The same point is made forcefully in Dragojevich, ``Funding,'' based primarily on interviews with individuals knowledgable about the Catholic school system in the Greater Vancouver area. 21 Notably North Vancouver's Collingwood and Maple Ridge's Meadowridge, founded specifically to take rejects from Vancouver's St. George's School and Crofton House as well as students who might prefer an elite private school closer to home. Sun, 18 and 30 January, 9 June and 20 September 1984, 24 June 1985, and 9 June 1987, and North Shore News, 15 April 1984. Among the more eclectic newcomers have been Woburn Ladies College, established as a girls' finishing school, and Marlborough College, founded by a property developer ` `to create millionaires.'' Sun, 27 April and 3 and 14 September 1988. 22 This point underlies Elizabeth J. Thomas, ``The Importance of School Culture in School Improvement: A Case Study'' (M.Ed. paper, Department of Administrative, Adult, and Higher Education, University of British Columbia, 1988), a portrait of Crofton House from the perspective of a participant-observer. 23 For detail on these schools' operation, see Gordon C. Calvert, ``Growth of Non-FISA Christian Schools in British Columbia: 1975–1985'' (M.A. thesis, Department of Social and Educational Studies, University of British Columbia, 1987). For more general introductions with relevance to British Columbia, see Alan Peshkin, God's Choice: The Total World of a Fundamentalist Christian School (Chicago: University of Chicago Press, 1986), and Susan D. Rose, Keeping Them Out of the Hands of Satan: Evangelical Schooling in America (New York: Routledge, 1988). 24 This point is incisively elaborated in Harro Van Brummelen's comparative study of three Christian schools in a single Fraser Valley community. Curriculum Implementation in Three Christian Schools (Grand Rapids: Calvin College, 1989). 25 See Harro Van Brummelen, ``Leadership without coercion,'' Canadian School Executive, January 1984, pp. 14–15, and his Telling the Next Generation, esp. pp. 1, 253–54 and 265. Church membership is often a qualification for admission. 26 FISA, Independent Schools Directory, 1978/78, 1983/84, and 1990/91. 36 27 Visiting the different non-public schools in two small interior communities in the mid-1980s, the author was repeatedly queried by school heads about the operation of other schools in the same community. It was clear they knew almost nothing about each other, their horizons extending no further than maintaining day-to-day operations and satisfying parental expectations within the philosophical framework mandating their existence. 28 FISA's role is well summed up in its annual brochure. 29 Sun, editorial of 6 October 1982, referring to E. Lester Bullen, who became provincial inspector of independent schools in 1980. Bullen's views are clear in his ``Freedom of Choice in Education,'' Education Canada, Fall 1978, pp. 24– 30. 30 See Harold S. Drysdale, ``The B.C. Independent School Debate: Cultural Diversity, Family Choice, and Privatization,'' Policy Explorations 2, 5 (n.d.), pp. 1–4. 31 Sun, 29 June 1987. Several days later (9 July) came the rebuttal from FISA's executive director. Similarly, an editorial by Walter Block in the weekly newsmagazine British Columbia Report in early 1991 characterized the province's private schools as ``vastly superior'' (25 February 1991, p. 4). 32 Advertisement for St. George's School, Vancouver, appearing in a wide variety of provincial daily and weekly newspapers and magazines, as well as in Toronto's Globe and Mail in January 1991. 33 Sun, 25 March 1988. Due to continued enrolment growth, the budget of the province's 206 funded private schools had risen over the past year from $40.7 to $48 million, or by 18 percent, at the same time as total public school funding only increased from $1.73 to $1.85 billion, or by 7.4 percent. 34 Donald Erickson quoted in Toronto Star, 6 July 1982, as well as the other findings from the COFIS study. The tendency by scholars to generalize across non-public education is not limited to British Columbia, as evidenced by the aggregate approach of James Coleman and others in analyzing non-public education in the United States. James Coleman, Thomas Hoffer and Sally Kilgore, Public and Private Schools (Washington, DC: National Center for Education Statistics, 1981); James Coleman and Thomas Hoffer, Public and Private High Schools: the Impact of Communities (New York: Basic Books, 1987); Daniel C. Levy, Private Education: Studies in Choice and Public Policy (New York: Oxford University Press, 1986); and Neil E. Devins, ed., Public Values, Private Schools (London: Falmer, 1989), among other studies. 35 Ministry of Education, Annual Report, 1987–88, p. 49. 36 Sun, 5 February 1988, ad for St. George's School, Vancouver. 37 Exemplary was Collingwood's rezoning application, detailed in the Sun through May and June 1988. The press can also compliment schools, as in its recognition of the efforts by Vancouver's Sikh school to rectify health and other DEPRIVATIZING PRIVATE EDUCATION problems. Sun, 19 February 1990. Sun, 25 April and 2 and 12 May 1989. 39 Sun, 28 April and 1 May 1990. Other tax benefits include property tax relief for schools, and deductions allowable to individuals for charitable donations made to school building programs and to the religious group operating a school. 40 Sun, 27 April and 16 May 1990, and Western News, 26 April and 24 May 1990. 41 See, for instance, the charges made in the press in September 1990 against a funded Mormon school that it favoured the children of prominent sect members, used excessive discipline, and had included in a grade 11 biology examination questions on the sect's polygamous marriage practices. Sun, 15 September 1990. 42 Sun, 13 and 25 August 1987 and 24–27 May, 1–3, 6–7, 9–11, 15–16, 21–25 and 29 June, 6 July and 10 August 1988. 43 With the 1989 legislation, teachers are encouraged to be certified by the province's College of Teachers. This point is underlined in FISA, ``Commentary on the Independent School Act,'' issued 16 October 1989, p. 2. 44 Bill 68, Independent School Act, 1989, section 2. 45 See Royal Commission on Education, A Legacy for Learners, 1988, and Commissioned Papers, v. 1–7, 1988. The base for change is the new 1989 School Act and Independent School Act, and the ministry documents, Policy Directions: Year 2000: A Curriculum and Assessment Framework for the Future, and Year 2000: A Framework for Learning. The implementation process is made public in periodic working plans: Working Plan #3 was issued in November 1990. For a short overview of intended shifts, see Globe and Mail, 7 October 1989. 46 John Parry, headmaster of St. George's School, Vancouver, quoted in the Sun, 25 September 1989. For evidence of some growing frustration over restructuring, see British Columbia Report, 25 February 1991, p. 32. 47 Brummet, 4 July 1989, in Legislative Assembly, Debates, v. 14, no. 23, p. 8119. 48 Glenn Wall, in Globe and Mail, 8 July 1989. 49 On this issue, see Eamonn Callan, ``Justice and Denominational Schooling,'' Canadian Journal of Education 13 (1988), 367–83. 50 Brummet, 4 July 1989, in Legislative Assembly, Debates, v. 14, no. 23, p. 8119. 51 Leo Hollaar, educational coordinator for the Society of Christian Schools (funded Christian schools) in British Columbia, quoted in Globe and Mail, 8 July 1989. 52 For example, FISA, Monday Bulletin, 7 November 1988, p. 2, and 5 December 1988, p. 2. 53 Anita Hagen, 4 July 1989, in Legislative Assembly, Debates, v. 14, no. 23, p. 8121. 54 Anita Hagen, 28 June and 4 July 1989, in Legislative Assembly, Debates, v. 14, no. 21, p. 8008, and no. 23, p. 8022, and Anita Hagen and Barry Jones, 4 July 38 38 1989, no. 23, pp. 8120–25. Jean Barman is in the Department of Social and Educational Studies, University of British Columbia, 2125 Main Mall, Vancouver, British Columbia, V6T 1Z5. Problems in the Reform of Educational Finance: A Case Study* Tim Sale t. sale and associates Benjamin Levin university of manitoba Educational finance reform proposals emphasize too heavily features of desirable financing systems, and underplay the significant constraints facing any reform proposal. Persons interested in finance reform should pay more attention to factors affecting both adoption and implementation, including limits on decision makers' time, attention, and understanding; the difficulty of integrating all relevant considerations; political limitations; and problems of implementation. We illustrate these constraints and their implications for finance reform through a case study of a Canadian province. Les projets de réforme des finances en matière d'éducation insistent trop sur les caractéristiques des systèmes de financement souhaités et minimisent les contraintes importantes auxquelles est soumis tout projet de réforme. Les personnes qui s'intéressent à cette question devraient davantage prendre en compte les facteurs ayant une incidence sur l'adoption et l'implantation d'une réforme, y compris les contraintes de temps et les connaissances limitées des décideurs, la difficulté d'intégrer toutes les considérations pertinentes, les contraintes politiques et les problèmes liés à la mise en oeuvre d'une réforme. Nous illustrons ces contraintes et leurs répercussions sur les réformes des finances à l'aide d'une étude de cas tirée d'une province canadienne. The case we wish to make is a simple one. We contend that discussion of educational finance reform has emphasized too much the elements of a desirable financing system, and not enough the significant constraints facing any reform proposal. We contend that finance reform can only be understood, * The authors acknowledge the helpful comments of J.A. Riffel, Peter Coleman, Kent McGuire and Elchanan Cohen on earlier versions of this paper. 32 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 33 REFORM OF EDUCATIONAL FINANCE and indeed should only be undertaken, with greater attention to factors affecting both adoption and implementation. We set out, using a particular case in which both authors were participants, to illustrate some of the limitations on the reform of educational finance, and conclude with suggestions for educational finance reformers. INTRODUCTION The reform of educational finance is never-ending. Jurisdictions frequently change their approach to educational finance in order to maximize such goals as equity, excellence, efficiency, local control, or accountability. Finance reform is also motivated, of course, by such considerations as tight budgets, legal issues, and new programs. The finance literature is extensive and wide-ranging. We believe, however, that it has underutilized relevant research on policy adoption and implementation, even though many have recognized the importance of these elements (Garms, 1986). For example, texts on educational finance often give much more attention to various finance formula approaches than to the politics of finance (Burrupp, 1977; Guthrie, Garms & Pierce, 1988; Johns, Morphet & Alexander, 1983). Reviews of finance literature (for example, Guthrie, 1988) also give insufficient play to political considerations. Finance policy is regarded primarily as a matter of working out formulas (Barro, 1989); the key role of political and organizational considerations in policy making is understated. CONSTRAINTS ON THE ADOPTION OF REFORM The decision to adopt a new mode of financing education is essentially political, even when the impetus is judicial (Colvin, 1989; Ward, 1988). A political body will decide what reforms, if any, to make. That being said, many discussions of reform do not take into account the limitations politics necessarily impose. Our approach borrows heavily from Dror (1986), whose analysis of problems of policy making is, in our view, unsurpassed. We identify four main limitations on policy making, recognizing that they are separable only intellectually, and that other formulations could well be developed. 1.The limits of decision makers' time, attention, and understanding. 2. The difficulty in integrating all relevant aspects of reform. 3. The limits imposed by political elements on the scope of any reform. 33 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 34 TIM SALE & BENJAMIN LEVIN 4. The difficulty of dealing with issues of implementation. Time, Attention, and Understanding Educational finance is complex and even the simplest finance formula or system (and most are far from simple) has multiple components. On the revenue side, there are questions of the balance among revenue elements, at both the district and provincial levels. These require consideration of property values, property assessment policies, other tax sources, and so on. On the expenditure side, the various competing goals of a finance system must be kept in mind. So must the mix of elements (categorical, block, equalization, and other grants), as well as the specific policies to be adopted for each of these elements. All of this is complex enough to fill a long textbook. It is also relatively unfamiliar territory to many elected officials asked to determine, or at least to approve, changes to current practice. Educational finance reform therefore impels decision makers to acquire a very considerable amount of knowledge in a complex, technical, and sometimes arcane field. The decision maker at the provincial level must also consider the political dimension of proposed reforms. How will any particular proposal affect various political constituencies? Whose districts will benefit, and whose will lose? How will interest groups react to the various provisions? Although there are agreements on some technical aspects of educational finance, the weighing of political considerations will necessarily be subjective (Lawton, 1979). Then there is the matter of the place of educational finance reform on a government's overall agenda. Complex and important as it is, finance reform competes with many other issues facing any administration, many equally complex and many ranking higher on the political agenda. Thus, the time a provincial Cabinet may devote to understanding finance reform is likely to be limited. This is not a hopeful conclusion, given earlier comments on the complexity of finance as a subject, and most decision makers' relative unfamiliarity with it. Integration of Relevant Aspects Educational finance is itself complex, but also linked to other, equally complex matters that would, in the best of possible worlds, receive simultaneous consideration. Educational finance should be considered in the general context of municipal taxation systems, property assessment systems, and taxation levels. Important constitutional or legal provisions may affect finance REFORM OF EDUCATIONAL FINANCE 35 decisions. Other levels of government are involved, and their views and situations must be taken into account. Equally, decisions about educational finance must attend to likely spending consequences, and thus to the place and priority of education as compared with other areas of expenditure. In Canada, for example, health care is consistently the public's number-one spending priority (Morrow, 1985), although there is evidence that education is moving up the public agenda (Livingstone & Hart, 1987). Since health care costs continue to rise more rapidly than inflation, relative priorities determine how much money may be available for educational finance regardless of the merits of any particular financing scheme. Indeed, lack of money has itself been a powerful motive for changes in financing systems in Canadian provinces (Fleming & Anderson, 1984). A second set of conditions that should be, but frequently are not integrated into policy calculations are those to do with possible impacts and outcomes. Although it is reasonable to ask what impact any educational finance plan might have on the actual provision of schooling, or to ask what unanticipated outcomes might result, such questions are not often posed in the policy-making process. Thus, until recently, justifications of educational finance proposals rarely mentioned their impact at the school or classroom level, or even the programmatic effects at the district level. This is so despite the fact that no policy will produce all the desired effects and will produce unanticipated, although not always negative, results (Jordan & McKeown, 1988). Levin (1988) has pointed out the unused potential of cost-effectiveness in deciding educational policy, noting the system's incapacity to take into account this fact. Coleman and LaRocque (1990), Hanushek (1986; 1989), and Walberg (1984), among others, have argued that current financing practices are unlikely to have the desired effect on school outcomes. One possibility is that in making decisions we lack the will or the skills to think through questions of impact. Alternatively, there may be compelling reasons to discount such questions when decisions are being made. In fact, both are likely. Dror (1986) notes a number of ``policymaking incapacities'' (p. 131) involving features of organizations and features of human thinking. He claims that Currently known core policymaking institutions, including structures and processes and their interactions, have limited maximum performance capacities, error propensities, and resulting incapacities. These result partly from inbuilt characteristics of the process-system and of the materials out of which it is made. (p. 133) Dror concludes, to simplify an eloquent and detailed argument, that although 36 TIM SALE & BENJAMIN LEVIN policy-making incapacities can be reduced, there are important reasons for believing they cannot be eliminated or even made negligible; ``Many incapacities are shared by all central minds of governments, being in the main common to all contemporary forms of governments'' (p. 216). Political Constraints Political calculations will inevitably—and properly—play on government decision making about educational finance. Beyond the requirement politically to calculate, however, politics impose absolute restraints on reform. For example, a system in which the majority of members of a legislature represent rural districts militates against reforms that would increase the rural tax burden. Some contend that these political elements interfere with rational decision making. In our opinion, that view misconstrues democracy, where we trust these political elements to yield a better decision than would any competing method. We do not pretend for a moment that political processes always result in good decisions. Implementation There is now a very considerable body of literature on policy implementation, both in education (McLaughlin, 1987) and more generally in public policy and administrative studies (Linder & Peters, 1987; Wildavsky, 1979). If one were to find a lesson in this work, it would surely be that implementation cannot be taken for granted; what is intended and what results are often different. Several implementation issues require especially careful attention in considering educational finance change: the capacity of the system (including the people in it) to understand and to absorb the change, the willingness of the system to do so, and the various unanticipated but nonetheless serious effects of any change. Majone (1975) has argued that policy making should discard optimal solutions in favour of a stringent focus on feasible choices, thus requiring careful attention to implementation: ``When all . . . constraints are taken into consideration, the range of feasible choices turns out to be much more restricted than is usually assumed'' (p. 50). Of course, some would suggest that consideration of feasibility, however flawed, is precisely what political processes accomplish. Finally, we should note Dror's concept of ``high probability of low probability events.'' In other words, we can predict that in the course of policy making and execution some very significant surprises will occur, with major REFORM OF EDUCATIONAL FINANCE 37 resulting disruption. We cannot—and this is true by definition— predict which particular surprises these will be. Given all of this, it is not surprising that educational finance changes are rarely well thought out, have multiple and possibly contradictory goals, or are undertaken without adequate attention to practical results. Our perspective suggests no alternative. In the remainder of this article, we illustrate these considerations through description of a case study of educational finance change in Manitoba. THE CASE The Setting The Province of Manitoba has some sixty school divisions and districts. There are a total of about 200,000 students in 700 schools, about 250 of which enrol fewer than 200 students. School districts were consolidated more than twenty years ago, resulting in large rural districts. However, declining population and demographic changes have meant that even geographically large districts may have very small and dispersed student populations. This makes pupil transportation a major concern. More than half of all divisions/districts had fewer than 1500 students in 1989. Additionally, school districts vary greatly in size, the smallest having under 1,000 students, the largest more than 30,000. There are great geographic, demographic, economic, tax base, and other disparities among districts. About 80% of the funding of public schools in Manitoba is supplied by the provincial government through convoluted arrangements. This is exclusive of a large program of property tax credits normally not seen as education funding even though they reduce school tax. The Authors' Perspective The case is built from the authors' personal experience. Both of us were on the staff of the Manitoba Department of Education during many of the events we describe, one as Assistant Deputy Minister for educational finance, the other in senior staff positions not directly involved in reforms. Both of us left the Department—one in 1988 and the other in 1989. The case description derives from documentary sources and from our experiences and recollections. We sought and received critical review by others directly involved in these events. Background to Change 38 TIM SALE & BENJAMIN LEVIN Manitoba implemented its program of school finance in 1984, after extensive public review of an earlier system implemented only in 1980. To understand why there were three major shifts in less than a decade, the reader should know that Manitoba changed its governing party in 1977, 1981, and again in 1988; each new government brought forward new programs of educational finance. The review discussed in this article sprang from two major sources, reform of the province's property assessment system, and the recommendation in the 1984 reform that, after three years' operation, the Government Support to Education Program (GSEP) be reviewed. In addition to these formal causes, there had been widespread dissatisfaction with major features of the GSEP, particularly the role of equalization payments and the degree to which the GSEP was based upon the previous year's expenditures of each school division. The review began internally in March 1986, and initially was coordinated with assessment reform through a staff committee representing five provincial departments and the central government's policy arm. Public review commenced in the fall of 1986 with a series of regional meetings with members of the Manitoba Association of School Trustees (MAST), the Manitoba Teachers' Society (MTS), and the Manitoba Association of School Business Officials (MASBO). These meetings were designed to sensitize audiences to major policy issues in Manitoba's educational finance. Various groups submitted briefs. The Department discussed ``work in progress'' with the groups, with the support of the Minister and Deputy Minister. The 1989 spring Throne Speech indicated that the government would issue a ``consultation paper'' on this subject during the 1989 session of the legislative assembly. Despite later announcements that release was imminent, as of this writing (January 1991) the consultation paper has not appeared. The three organizations know that the consultation paper has been in draft for a year, and have indicated to the Minister their hope it will be circulated for their comment and reaction prior to formal release. The Minister has indicated his wish for further seminars, but has not yet directed that these take place. Major Stakeholders in the Review There are four major stakeholders: Central government: Anxious to control expenditure growth and to reduce unpredictability of fiscal demands. Prefers a structural rather than an ad hoc REFORM OF EDUCATIONAL FINANCE 39 approach. Department of Education: Interested in a wide range of program issues including transportation, special needs, giftedness, libraries, and guidance. Recognizes limitations on funding but sees uneven program delivery across the province. Providers: Teachers, Trustees, Superintendents, and other administrators, all of whom emphasize program availability and cost control, yet value local autonomy. This group has the greatest variety of agendas. Recipients: Children and parents, whose lobby groups want specific solutions to local issues. For example, parents want more program variety. Lobby groups want ``more'' of whatever they exist to lobby for. This is the least articulate and most diffuse group. The last stakeholder group—recipients—has not been formally included in the review, with the exception of such specific lobby groups as a library committee of parents in one school and advocacy groups presenting briefs. The review was set up to provide significant political opportunity to educational interest groups regarded as having the most political influence. One outcome was a bias towards the status quo, since changes unacceptable to any group were likely to be rejected before any formal report. The Manitoba Teachers' Society has well-developed policies on educational finance the review must consider if the Society is to be satisfied with proposed change. Extensive consultation thus narrows the range of possible policy choices. It also shifts governments' attention towards the political agendas of the participants, perhaps at the cost of more consideration of educationally sound alternatives. Consultation also emphasized the formula more than its implementation and follow-up, which organizations see as their prerogatives. Major Issues in the Review To the government, the major policy issues have to do with the desirability and feasibility of change from fiscal, administrative, and political perspectives. These issues might be explored under the following headings: How imperative is the overall need for change? (central government, school boards, taxpayers) How imperative is the need for change from a program perspective? (department and field) How feasible is any change that would take into account the fiscal realities of central government? 40 TIM SALE & BENJAMIN LEVIN How feasible is any program change of interest to the department and its clients? No single proposal could satisfy all these divergent agendas. Thus reform must take into account, as it proceeds, both the substantive desires of the participants, and their relative political clout. Careful management is required. The Imperative of Change Manitoba's overall fiscal situation is that of a ``poor'' province. This status is not likely to change in the foreseeable future. Wage pressures in the education sector are nonetheless increasing as teachers come off a two-year agreement that did not provide increases to meet rises in the cost-of-living. Pressures will be greater because of teacher shortages in Ontario and British Columbia. In terms of program expenditures, and because of Manitoba's rapidly aging population, the greatest fiscal pressure facing the Province arises particularly but not exclusively from the health care sector. Debt service costs will also continue to require a significantly larger proportion of current income than was the case a decade ago. Despite the major structural fiscal isses noted above, the present funding of Manitoba's public education system does not reflect the province's underlying financial situation. Manitoba's pupil-teacher ratio (PTR) of 14.9:1 is the lowest in Canada. The average of all provincial PTRs in Canada today is 16.7:1 (Council of Ministers of Education of Canada, 1988). The difference between Manitoba's and the average Canadian PTR represents over $60 million annually in salary costs. Manitoba also spends more than the Canadian average per pupil, and devotes a higher percentage of gross provincial product (GPP) to education than do other, wealthier, provinces. The student population is stable, with no projected significant increase. Educational finance research shows that much variation in per-pupil expenditures can be explained by pupil-teacher ratios. The PTR is thus both a major structural issue and a major policy lever in control of education costs. It is unclear whether smaller PTRs increase pupil performance. Some researchers contend that lowering of PTR is a poor use of educational resources (for a recent treatment of this issue, see Tomlinson, 1989). As many jurisdictions do, Manitoba faces economic pressure to restrain expenditure growth in the education sector so funds can be allocated to higher demand areas. To accomplish this politically difficult task, allocation mechanisms must be, and be seen to be fair and balanced. Moreover, any changes must be realizable in practice. School divisions and teachers will REFORM OF EDUCATIONAL FINANCE 41 accept only with difficulty any proposal that would effectively raise pupilteacher ratios. Just as importantly, if schools and school divisions do not wish to, or do not see how to provide education with a somewhat higher PTR, then a proposal to increase PTR is likely to be unworkable, or to create more negative consequences than it otherwise might. School Board Perspective Although school divisions, like other publicly funded bodies, will always wish for more funding than is available, divisions face serious problems as a result of GSEP structures. The GSEP requires divisions to provide the first-year costs of any new program, with the GSEP providing support from the second year. This means divisions able to raise local support can attract provincial support after one year, whereas those with less local fiscal capacity are less able to do so. Divisions with low assessment bases may face extreme local tax pressures when raising very small sums of money. This is especially problematic given the substantial differences in local tax bases among Manitoba school divisions. As well, the GSEP makes no allowance for the extreme range in Manitoba in costs of transportation, special needs services, or other unevenly distributed costs of education. Coleman (1987) has suggested that uncontrollable costs are due largely to geographic factors, and account for a high proportion of cost variation among school districts. Equalization grants are tied to balanced per-pupil assessment. Although this is a logical measure of a division's ability to raise funds on its local tax base, it works against those divisions with declining enrolment. As enrolment drops, their balanced assessment per-pupil rises, making them appear wealthier and less in need of equalization. In fact, their costs do not decline in step with enrolment, and their per-pupil costs often increase. Finally, the GSEP contains no provision for such services as libraries and guidance teachers, considered necessary in a modern education system. Although support for these services could be introduced through categorical grants, this would add excessively to the costs of the system, since many wealthier divisions are now providing these services through their local levy. Others, with weak levy bases, cannot afford to do so. The above analysis illustrates how imperative is educational finance reform from the board perspective. Reforms, however, will likely be acceptable only insofar as they add funds for ``needful'' programs without reducing funding in others. If some boards are penalized and others gain, the political costs of reform will rise steeply. Boards will see any proposed reform from their own, 42 TIM SALE & BENJAMIN LEVIN rather narrow point of view rather than the broader provincial perspective. And all boards have an interest in increasing the total amount of provincial funding rather than in redistributing existing funding. Taxpayers' Perspective Ultimately, all of the costs of education come from taxpayers. In Manitoba the property tax provides about 44% of the costs of public education. This tax is offset by a complex set of tax credits delivered through the income tax and property tax system to various target groups. About 50% of the tax credits are neither income dependent nor linked to the level of the property taxes in question. Over the years, tax incidence levels have shifted so that particular groups, such as residents of rural towns and villages, pay almost no property taxes for education, and others, such as land-intensive farmers, pay very high education taxes. Taxpayers in adjoining school divisions may pay radically different rates yet enjoy roughly the same educational services. Departmental Perspective The Department of Education and Training must disburse funding for public education in a manner that is fair and that assists divisions to provide programs consistently across the Province. It is doubtful that the GSEP adequately responds to demands. Field Perspective Staff members who deliver education services to Manitoba's children generally agree there are significant disparities in education programs and opportunities across the province. Through local and provincial organizations, they have made repeated calls for funding to reduce these disparities. The Feasibility of Change Central Government Perspective Manitoba's central government agencies have called on line departments to become increasingly accountable for achieving specific program goals with assigned funding. At present, there are no clear program goals in the Department of Education against which assigned funding levels can be tested. Few elements link system goals with funding, program levels, and outcomes at any REFORM OF EDUCATIONAL FINANCE 43 level of the system. This is not a recent problem, but rather stems from what might be termed ` `benign neglect'' dating from the re-organization of school division boundaries in the mid-1960s. No government since that time has seen public education as a major priority in policy. Although funding has been generous, it has been mechanistically distributed, and thus the direction of current programs is divorced from funding. The GSEP is fiscally driven, with few program- or service-level goals informing funding. It is thus incapable of serving as a funding mechanism in a system that seeks to develop program accountability. In other words, it cannot serve the central government's current goal of accountability. Departmental and Field Perspective Department and field perspectives on this issue are similar to that of the central government. Over the past few years, most divisions have developed increased financial management capacity, and accept the provincial financial reporting system (FRAME). Although divisions sometimes allocate expenditures to inappropriate FRAME categories, this may well result from there being no incentives to increase accuracy since FRAME data are not central in determining funding levels in the GSEP. In sum, structural reform of Manitoba's educational finance system is warranted according to field, departmental and central government perspectives. Reform is feasible; the development in 1988 of a fully functional model of an altered funding system proved this. There is significant support from the three major educational organizations for a new funding system. The elements of a significant reform are in place. Yet, as of the end of 1990, no new educational finance package has been announced. Why has reform not proceeded? Political Realities and Incapacities At this point we return to the initial section of our article, and indicate how the constraints and incapacities earlier described have worked in this particular case. Each of the limitations has had an important effect on finance reform. Educational finance reform in Manitoba has suffered because such reform is complex, difficult to grasp. With the advent of a new government in 1988, Cabinet ministers needed time to acquire at least a rudimentary understanding of the finance system and possible alternatives. In Manitoba, educational 44 TIM SALE & BENJAMIN LEVIN finance reform was not a significant part of any party's commitment during the 1990 election, nor has it been high on the Conservative government's political agenda, with the exception of tax relief for farmers, partly implemented already. The problem was exacerbated by the limited ability of both the Department of Education and the Department of Finance to project the financial implications of various changes over the medium-to-long term. Bureaucratic units have assumed continuance of similar policies, and have difficulty answering questions about what might happen under quite different rules and conditions. The capacity to provide sound advice is therefore limited. When the Education finance unit developed a reasoned approach to long-term forecasting, it found that interest in such projections among politicians and political staff was not very high, especially from 1988 to 1990, while the government was in minority. A central problem of the reform is, in fact, an effect of the 1988 change in government. The finance reform was conceived and initiated under the previous government. The substantive content of the proposed change, its discussion, and its implementation occurred under particular political conditions, and envisaged a particular group of policy mkers. The review was well advanced when the 1988 election and change of government came. Many of the fundamental parameters then shifted, but strategy did not officially change—no doubt partly because the new Minister did not at first see clearly the various implications of the review and therefore could not give directions about change. The tremendous pressure from so many sides and on so many issues that immediately hits a new minister, and then continues unrelentingly, also makes it difficult to devote sustained attention to any particular issue, even one as important as educational finance. The new government has also sought to manage other complex issues that have national implications, such as Meech Lake, where Manitoba turned out to have a very important role. The political agenda has been extremely crowded and the stakes on national issues very high. Cabinet has been unable to devote the time required for full understanding and discussion of the implications of educational finance reform. Further, the government was until recently in minority and still has only a bare majority. Until the last election the government's primary consideration was survival and obtaining a majority. Each policy action was evaluated under that constraint. Thorough-going educational finance reform, especially when linked to impending property assessment reform, is likely to be controversial and hard to sell to the public, and hence is to be avoided in minority government. It is too soon to know whether the slim majority the REFORM OF EDUCATIONAL FINANCE 45 Conservatives obtained in the fall of 1990 will change the government's approach to educational finance reform. The Conservative government has also been most anxious about the provincial budget deficit, and therefore reluctant to consider alternatives requiring injections of new money into the education system. Without new money, government has difficulty creating support for policy change. The Conservative government is composed largely of members from rural constituencies. This means great weight will be given in decision making to the interests of rural school divisions, and to such issues such as pupil transportation. Many of the preoccupations of the former government, such as the needs of the inner city, are now much less salient. A further barrier to change came with another of Dror's low-probability events. Through an unusual set of circumstances, three senior members of one particular school division were catapulted into senior governmental advisory or staff positions. The Deputy Minister of Education, a senior advisor to the Premier (since elected an MLA), and the Chair of the Minister's Advisory Committee on Education Finance—all from the same school division—have considerable influence on government policy. Since the school division in question has strong and not necessarily typical views on major issues, reform has been significantly affected. Finally, senior staff persons who conducted the finance review were appointed by the previous government, and were viewed with considerable suspicion by the new government. Manitoba has a politicized (by Canadian standards) senior administration; those who survive from one administration to the next may still be removed in due course. This happened to the Assistant Deputy Minister of Education, who had been responsible for the finance reform effort. However, because there were no other senior staff with a background that would enable them to take over reform, reform was largely halted for some months so the bureaucracy could develop new expertise to compensate for his removal. Thus, despite the feasibility of and imperative for change, educational finance reform did not proceed. All of the difficulties outlined at the beginning of this article played a part in these events. Limits of time, attention, and understanding both slowed the reform effort and reduced its priority in government. Political pressure from various interest groups, particularly from those with close links to the new government, raised questions about the credibility of work done in 1987 and early 1988. Reluctance to provide additional funds narrowed the reform options available. The needs of a minority government brought issues other than educational finance to the fore. In all of this, issues of implementation have received particularly short 46 TIM SALE & BENJAMIN LEVIN shrift. The 1987–1988 review assumed that implementation could be fostered through participation in policy making. However, well over a year has now passed since the end of the formal discussions on finance reform. Changing circumstances and budget pressures may well undermine a fragile consensus. Thus, even were changes to be announced soon, there might be more opposition to them, both in principle and in their implementation, than would have been the case with an earlier announcement. IMPLICATIONS We do not think the particular circumstances described here unusual. Indeed, we would suggest that, although the specifics may vary, any complex policy reform will have to contend with the kinds of events, both anticipated and not, that occurred in Manitoba. Change in any policy arena takes place on ground that is itself changing. We are drawn to the analogy of so-called chaotic systems such as weather, in which small perturbations in any system may have dramatic long-term effects. Persons interested in reform, then, must be prepared to work in a disruptive and disrupted world. It is not reasonable to expect a major policy reform to be developed, approved, and implemented in a smooth and linear way. It might be better, perhaps, to think of the reform process as analogous to whitewater rafting on an unfamiliar river. There will be periods of intense and even frantic activity, as well as periods where activity stalls. Reform is not smooth and continuous. Under these conditions, promoters of reform must be prepared to be persistent, patient, and adaptable. Persistence is required to keep the objective in mind and to follow through on reform despite major unforeseen obstacles and substantial delays; to continue to look for opportunities to move forward whenever these occur; and to work towards effective implementation of policy changes. Patience is required in inauspicious times, or when other agendas come to the fore and a reform agenda has to be delayed or temporarily put aside. It is important not to be discouraged too easily at such times. And adaptability is required to make changes in any reform proposal, changes which without destroying the reform's integrity may yet secure a crucial vote or opinion, or overcome a particularly difficult obstacle. The obstacles cited at the beginning of the article are, as our case study illustrates, substantial, and they have important implications. The pursuit of reform may seem so difficult as to be overwhelming. Yet change takes place. We argue for recognizing the difficulties without abandoning the enterprise, for a point of view that does not underestimate the task but equally does not REFORM OF EDUCATIONAL FINANCE 47 shirk from it. We can be assured at the outset only that the journey will be important, interesting, and full of surprises. REFERENCES Barro, S. (1989). Fund distribution issues in school finance: Priorities for the next round of research. Educational Evaluation and Policy Analysis, 11, 17–30. Burrupp, P. (1977). Financing education in a climate of change. Boston: Allyn and Bacon. Coleman, P. (1987). Equal or equitable? Fiscal equity and the problem of student dispersion. Journal of Educational Finance, 13, 71–96. Coleman, P., & LaRocque, L. (1990). Struggling to be good enough: Administrative practices and school district ethos. London: Falmer. Colvin, R. (1989). School finance: Equity concerns in an age of reforms. Educational Researcher, 18 (1), 11–15. Council of Ministers of Education of Canada. (1988). The financing of elementary and secondary education in Canada. Toronto: CMEC. Dror, Y. (1986). Policy-making under adversity. New York: Transaction Press. Fleming, J., & Anderson, B. (1894). Financial management of education in British Columbia. Victoria, BC: Ministry of Education. Garms, W. (1986). The determinants of public revenues for higher and lower education: A thirty-year perspective. Educational Evaluation and Policy Analysis, 8, 277–293. Guthrie, J., Garms, W., & Pierce, L. (1988). School finance: The economics and politics of public education (2nd ed.). Englewood Cliffs, NJ: Prentice-Hall. Guthrie, J. (1988). Educational finance: The lower schools. In N. Boyan (Ed.), Handbook of research in educational administration (pp. 373–389). New York: Longman. Hanushek, E. (1986). The economics of schooling: Production and efficiency in public schools. Journal of Economic Literature, 24, 1141–1177. Hanushek, E. (1989). The impact of differential expenditures on school performance. Educational Researcher, 18 (4), 45–51. House, P. (1982). The art of public policy analysis. Beverly Hills: Sage. Johns, R., Morphet, E., & Alexander, K. (1983). The economics and financing of Education. Englewood Cliffs, NJ: Prentice-Hall. Jordan, K., & McKeown, M. (1988). State funding for education reform: False hopes and unfulfilled expectations. Journal of Educational Finance, 14, 18–29. Lawton, S. (1979). Political values in educational finance in Canada and the United States. Journal of Education Finance, 5, 1–18. Levin, H. (1988). Cost effectiveness and educational policy. Educational Evaluation and Policy Analysis, 10, 51–69. 48 TIM SALE & BENJAMIN LEVIN Linder, S., & Peters, G. (1987). A design perspective on policy implementation. Policy Studies Review, 6, 459–475. Livingstone, D., & Hart, D. (1987). The people speak: Public attitudes toward schooling in Canada. In R. Ghosh & D. Ray, (Eds.) Social change and education in Canada (pp. 3–27). Toronto: Harcourt Brace Jovanovich. Majone, G. (1975). The feasibility of social policies. Policy Sciences, 6, 49–69. McLaughlin, M. (1987). Learning from experience: Lessons from policy implementation. Educational Evaluation and Policy Analysis, 9, 171–178. Morrow, D. (1985). Public attitudes to education: A review of opinion polls (Report 85-01). Winnipeg: Manitoba Department of Education Planning and Research Branch. Tomlinson, T. (1989). Class size and public policy: Politics and panaceas. Educational Policy, 3, 261–274. Walberg, H. (1984). Improving the productivity of America's schools. Educational Leadership, 41 (8), 19–27. Wildavksy, A. (1979). Speaking truth to power. Boston: Little, Brown. Tim Sale is with T. Sale and Associates, 941 North Drive, Winnipeg, Manitoba, R3T 0A9, and Benjamin Levin is in the Department of Educational Administration and Foundations, Faculty of Education, University of Manitoba, Winnipeg, Manitoba, R3T 2N2. A Cross-Canada Study of High School Art Teachers* James U. Gray Ronald N. MacGregor university of british columbia In A Place Called School (1984) Goodlad suggested that art teaching in American schools was characterized by make-work projects, lack of concern for individuality, and general fuzziness of goals. To determine whether the same could be said of art teaching in Canada, we studied 59 high schools across the country. We conclude that Canadian art teachers enjoy considerable autonomy in what they teach and how they teach it. Teachers' goals for the students, while often developed from personal experience rather than from identifiable prescriptive sources, nevertheless have sufficient commonality that their subject can be characterized as ``art.'' Our study's profile of the Canadian high school art teacher is more complex than that in Goodlad's American research. Dans A Place Called School (1984), Goodlad avance que les cours d'arts plastiques dans les écoles américaines sont au fond des cours de remplissage dont les objectifs sont en général assez flous. Pour déterminer s'il en est de même au Canada, nous avons étudié 59 écoles secondaires d'un océan à l'autre. Nous sommes maintenant en mesure de conclure que les enseignants en arts plastiques jouissent d'une très grande autonomie quant à la matière enseignée et aux méthodes pédagogiques. Si les buts que fixent les enseignants à leurs élèves sont souvent dérivés de l'expérience personnelle plutôt que de sources normatives identifiables, ils sont suffisamment semblables pour que la matière à laquelle ils se rattachent soit identifiée sous la dénomination ``arts plastiques.'' Le profil que trace notre étude de l'enseignant en arts plastiques au secondaire est plus complexe que celui qui ressort de la recherche menée par Goodlad aux États-Unis. * The authors gratefully acknowledge the Social Sciences and Humanities Research Council's grant in support of this study. 47 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 48 JAMES U. GRAY & RONALD N. MACGREGOR This study is at once commonplace and unique. It is commonplace in that it records what it is to be a high school teacher of art in Canada, what sorts of programs a number of these persons teach, and what kinds of products result. It is unique in that it has never been done before. On the face of it, this last statement is difficult to believe. The literature of art education, in Canada and the United States, is filled with claims that, readers must assume, are predicated on empirically derived observation. To some extent, that is correct: writers in the field often have themselves taught art, and their professional lives may bring them into continual contact with teachers, administrators, and even students. But invariably their analyses— and their generalizations—are based on local knowledge, or on fragmentary evidence obtained from colleagues and from the literature to which they contribute. Between 1985 and 1988, we visited 59 high schools across Canada. From our field notes and data we describe circumstances in which art is taught and learned, individuals who have a hand in its administration, and products that result.1 Our study is not evaluative, either in the sense of judging the perceived success of a program, or in determining which of teachers' characteristics elicited favourable or unfavourable responses from the students. Instead our study deals with particulars, the dynamic here-and-now of teaching art in Canadian schools. FRAMEWORK OF THE STUDY Every piece of writing owes its existence to one or several progenitors that provide legitimacy and inspiration. We acknowledge that tradition of classroom case studies established by Phillip Jackson (1968) and supported by a generation of classroom ethnographers. Donald Schon's Reflective Practitioner (1983) offered a model for professional dialogue, along with evidence that being a professional required much more than fulfilling a job description. The kinds of knowledge the professional teacher possesses have been explored by Connelly and Clandinin (1985), Clandinin (1986), and Elbaz (1981). Goodlad's A Place Called School (1984) spurred us to carry out our national study. These and similar sources kindled our interest in observing art teachers as they worked, and in questioning them about their practices. Goodlad (1984) had noted that American programs tended towards make-work projects, individuality was not encouraged in class, and the goals 48 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) HIGH SCHOOL ART TEACHERS 49 and objectives of art education were generally fuzzy. Was this as true of Canada as he alleged of the United States? We knew that, compared with other subjects, art in Canadian schools was taught with few prescriptive constraints. Although most provinces had curriculum guides, from years of conversations with teachers in various places we suspected that these documents did not furnish the goals around which teachers built their lessons. Indeed, we surmised that teachers were primarily idiosyncratic in their construction of programs, with their individual temperaments as influential as any body of theory or prescription. The matter of teaching autonomy led to other, disarmingly simple questions. What goes on in classrooms? How does the community, in this case of art teacher and students, conduct its business? We designed research questions that would help to answer these more general questions and provide some initial structure for data collection. We began with a survey of literature on art teacher education, and found it dealt largely with three themes. One was teachers' aims and priorities, derived from training and experience, for the content of an art program. A second described classroom interactions, and the third concerned settings, equipment, and products. These persistent themes led to our research questions: 1. What factors in art teachers' personal experience and interests affect the organization and conduct of their classes? 2. What kinds of classroom interactions characterize the conduct of art programs? 3. How are art teacher priorities and attitudes embodied in classroom environments and art products? Selection of Participants and Conduct of the Study Conventional methods of sample selection were not practical for this study: two researchers compiling data across ten provinces over periods that seldom exceeded two weeks at a time could not accommodate those geographic, economic, and demographic differences that might have yielded a stratified random sample of respondents. Instead, we undertook a series of observational case studies, with numbers of subjects varying from province to province. There being no lists of respondents who might satisfy various criteria for representing the art teaching body, in each province we contacted an art 50 JAMES U. GRAY & RONALD N. MACGREGOR educator with extensive experience and asked her/him to name teachers we might visit in the time available. These adaptive steps produced a decidedly irregular patchwork, yet overall, we collected quite a range of histories and situations. Situations visited ranged from 18 in our home province, British Columbia, to two in each of New Brunswick, Newfoundland/Labrador, and Prince Edward Island. In British Columbia we studied both urban and rural situations; in Quebec, only urban schools. Teachers' professional preparation included several permutations of art school, university and teacher college; their teaching experience ranged from two years to almost thirty-five; they taught schools enrolling from 200 to over 2,000 students. Each teacher we visited received a letter outlining the study's purposes, and was asked to obtain permission to participate from the school principal or district superintendent. We also enclosed information about the study to assist the principal or superintendent in making a decision on participation. The teachers themselves provided information on their background and perceived professional role. Each teacher was then interviewed by the researcher responsible for that particular geographical area. Formal and informal interviews took place over two to three days, during and after school. The conduct of classroom activity was recorded by the researcher, who accompanied the teacher to class, and recorded events as they happened. The teacher later verified the accuracy of the researcher's notes and elaborated upon them in discussion with the researcher. Space and equipment were described by the researcher, while information on products came from a combination of researcher observation and anecdotal material supplied by the teacher. PRESENTATION OF THE DATA Material gathered from interviews with 59 high school art teachers across Canada was analyzed for content by each of the two researchers. This information was grouped under each of the three general headings from which the research questions were derived, and these groupings were then discussed and modified until we had an agreed-upon set of subheadings. The heading teacher background and perceived professional role yielded ten subheadings: experience, influences, professional commitments, attitudes to teaching and students, relations with other staff, ongoing studio activity, role of curriculum guides, special character of the school, role of art history, and role of art criticism. The second heading, conduct of classroom activities, had five HIGH SCHOOL ART TEACHERS 51 subheadings: lesson content, interaction, technical expertise, evaluation, and administrative duties. The third heading, space, equipment, and products, included physical plant, tools, equipment and material resources, and class or student products. Rather than present numerical data as tables, general descriptors are used, sometimes along with numbers. Thus, nearly all means 90% or more of teachers interviewed; many means 70%–89%; half means 50%; some means 20%–49%; and a few means fewer than 20%. Teacher Background and Perceived Professional Role Art teacher preparation practices differed in each province. In British Columbia, half the informants had completed a five-year Education degree with an art major, while in the eastern provinces (Manitoba to Newfoundland) 10 of 27 informants possessed a BFA and teacher certification. Differences between the teachers' undergraduate programs had little effect upon their common sense of being centrally concerned with art as a body of knowledge. How they translated that knowledge into classroom practice was a consequence of personal preference, rather than of undergraduate training. Citing major influences during professional preparation, most teachers named three or four persons, distinguished by their dedication and accomplishments. One teacher cited an entire class of fellow students. In a few cases, participants said classroom teachers who supervised their practica were negative influences. Said one, ``I determined that whatever I did, I would never teach like that.'' Informants valued the practicum, experiences of art content, skill mastery, and classroom management techniques. Continuing personal involvement in art production was an art teacher's individual choice; we found no differences from one province to the next. What sets arts teachers apart from other teachers is the expectation of the public, students, and teachers themselves that they ought to be active practitioners. The majority of teachers we surveyed were involved in their own work moderately, slightly, or not at all, and were frequently apologetic about this. Only one or two respondents said they derived sufficient creative reward from their students' work, and did not need to pursue their own studies. The minority of participants who were heavily involved in their own work claimed it was vital to their well being. They worked individually, or with fellow art teachers, in which case they usually referred to the benefits of having a critical yet friendly audience for their ideas. Some exhibited professionally, while others used their time to explore new media, like computer graphics or video. 52 JAMES U. GRAY & RONALD N. MACGREGOR Although professional involvement as an art teacher occurred largely at a local level, several teachers (particularly in Ontario) mentioned that they taught courses for the Ministry of Education. Other teachers worked for provincial curriculum development committees, operated as faculty associates for universities, and served on professional executive bodies. Several had helped to plan and run the annual assembly of the Canadian Society of Education through Art, a national professional body that meets in a different province each year. Most said that lack of funding and travel time prevented them from participating in events outside their own province. Although most indicated willingness to participate in local inservice, they were not willing to give time to provincial inservice initiatives unless benefits to their own districts were clearly evident. The role of the art teacher was generally defined as providing students with opportunities to realize their own goals, whether these were a career in art or taking an art class for enjoyment. Participants took pleasure in working constructively with students, and responded to students' exuberance and vitality. They frequently referred to their personal rapport with individuals and classes, a rapport confirmed on several occasions during our visits by the appearance of former students who dropped in to see the art teacher. Positive remarks on the teacher's role far outweighed negative; these latter usually arose from perceptions of insufficient support by parents or administrators. Relationships between the art teacher and school administrators occasioned similar remarks in every province. Most teachers saw good in-school relations as means to maintain art's funding parity with other subject areas, and to ensure the program's visibility. In one Quebec school, where French and English programs coexisted, the failure of the English art teacher's attempts to convince the administration to equate the two art budgets was a matter of concern, even resentment. The school community, rather than the community at large, influenced and shaped the art teachers' aims. Although one or two interviewees mentioned schools being rewarded for their community efforts by being given new equipment or an improved facility, and though art teachers frequently referred to the presence of community values in the attitudes of their students, the microcosm of the school, and the mutual obligations on which that community is formed, captured most of the teachers' attention. The schools we visited were a cross-section of economic and cultural differences; the ultimate multicultural challenge was offered by a Quebec school where students represented 51 nationalities, 41 languages, and 18 religious groups. Yet for most of our participants, a student's identity was conferred by belonging to a particular school rather than an ethnic or social group. References to ``my HIGH SCHOOL ART TEACHERS 53 students'' mean more than a recognition that certain students attend art class, and several observed events testified to the teacher's personal interest in students' general welfare. One area where responses varied widely from province to province was in teachers' perceptions of the role of curriculum guides. Both the history of art curriculum development in the province, and the extent of the informant's participation in curriculum development, affected these perceptions. Further research might examine in depth the relationship between teacher perceptions of how curriculum is developed, and the official record of events that result in publication of a curriculum guide, since teachers were often unclear as to how the document originated, or why it took the form it did. In Saskatchewan and Nova Scotia, informants rated the provincial art guide all but invisible. Teachers there developed their own programs to suit local situations or to reflect their personal priorities. In British Columbia and Alberta, where curriculum guides had recently been updated, teachers— especially younger, less experienced teachers—expressed considerable support for them. Ontario teachers were most committed to the aims of their curriculum guide. Almost all of the eight Ontario informants indicated commitment to making it work, and voiced support for its comprehensiveness and effective translation of theory into practice. Since art history and criticism have in the past decade claimed an increasingly important share of art programs devised for North American schools,2 informants were asked how they felt about teaching these subjects. A few had reservations about teaching art history, alleging student resistance. Nevertheless, at least half offered it, chronologically or thematically, as part of their program. One Alberta respondent spoke for teachers in several other provinces in dismissing as unproductive so-called ``enrichment'' art history, wherein history is tacked on to whatever studio area is currently being undertaken, on the grounds that what students are doing is part of a worldwide, ongoing tradition of making art, and the role of art history is to illuminate that tradition. This informant, and others of similar persuasion, created opportunities for students to focus on art history as a subject in its own right. These students made oral presentations, developed booklets and papers, and worked individually and in groups. One enthusiastic student presenter had driven 50 miles to make (and to pay for) colour xerographs for her classmates. ``They wouldn't have got the real impact from black and white copies,'' she said. The Ontario Academic Credit (OAC) program provided the clearest articulation of an art history course of study. One Ontario respondent pointed out, however, that it had nothing on minorities, nothing on women, and almost 54 JAMES U. GRAY & RONALD N. MACGREGOR nothing on Canadian art. Quebec programs alone allotted part of the art history syllabus to the art and architecture of the home province. Across Canada, criticism occupied a more shadowy, less defined place in the curriculum than did art history. Its content varied according to whether the teacher defined it as self-reflection, or as the formal study of aesthetics. Some teachers encouraged students to visit galleries, to give reports on established artists, and to apply similar methods to their own work. Several times we encountered contextual analysis, questions related to why works have meaning, and why one interpretation may have greater validity than another. Feldman's (1969) categories of description, analysis, interpretation, and judgment were used most often for formal analysis. Of the few observed instances where critical discussion of work was the sole focus, one involved series of photographs taken by students according to a theme each had developed. The teacher used this opportunity to point out that art works may have public meaning, accessible to most of an audience, or may be so personal that only the artist can know the meaning. CONDUCT OF CLASSROOM ACTIVITIES Classroom interactions vary with type of activity: working on a task, reviewing or organizing material, casual conversation between peers and between teacher and students. Sometimes the teacher, like a good squash player, controlled the ``court'' and kept the ``play'' moving. In other situations, information was dispensed casually, sometimes while the teacher worked on something else, and students were expected to listen peripherally while they themselves worked. Technical advice formed a significant part of in-class dialogue, and usually took one of two forms. Process assistance described a sequence: mix this to get that. Rules assistance dealt with applied knowledge: invoking the rule that eye scanning begins near the centre of an object and travels to the edge helps to establish a centre of interest for a work in progress. In every classroom we visited, much conversation between teacher and students was one-to-one. Frequently, the teacher moved all over the room during a single period, fielding students' questions and dealing with individual difficulties as these arose. In classrooms where the teacher had a desk, it was almost invariably neglected, and often buried in bric-a-brac—evidence of the pervasiveness of practices that focused on the students' workspace. The desk of one teacher who taught art and social studies was systematically cleaned up for the social studies lesson, and the area around it became the locus of control and class HIGH SCHOOL ART TEACHERS 55 activity. When the next art class began, the desk reverted to being just another storage surface. Interaction between teacher and students varied according to the stage of project completion: relatively formal while information was first handed out, and increasingly personalized as individuals sought advice or discussed what they had accomplished. Students criticized each other's work, shared technical advice, and offered opinions about the chances of bringing the project to a successful conclusion. Teachers mediated disputes, encouraged students (not always successfully) to push their ideas past the conventional, and sometimes worked directly on students' work when words failed. Interaction carried over into evaluation of student work and even the assignment of grades. Evaluative comments might be facilitative (``Let's look at X's work to see how this was done''), or reinforcing (``This looks promising' '), or extending (``You could carry this further by . . .''). In one classroom where work was being graded, the teacher said ``I think a C+ for this.'' ``No, more,'' responded the student. ``You convince me, then,'' demanded the teacher, and the student, grinning, gave in, ``All right, then, C+.'' Patterns of interaction varied as seasonal activities intervened: work on the school yearbook, exhibition of work in the nearby shopping mall, involvement in art competitions, visits to and from feeder schools. Teachers accepted most tasks willingly in the interests of better dialogue with members of the profession and the public, though the limits of hospitality were usually reached with requests for throwaway posters for bake sales and car washes. SPACE, EQUIPMENT, AND PRODUCTS Of the art facilities we studied, most varied not so much by province as by the economic circumstances prevailing when the school was built. They ranged from basic block to well-equipped suite. Most facilities had a separate area for storage of supplies, and in almost half, teachers had an office separate from their classrooms, where they could keep their own books and teaching resources. Art rooms across the country fell into three groups: (1) a cube containing a sink, cupboards, and shelves; (2) a single area divided into bays where specialized activities like ceramics and printmaking were carried out; and (3) a number of specialized rooms, including one for showing slides or films. Some teachers said the kind of facility available to them constrained their programs. In a few cases, toxic activities were carried out in relatively unventilated conditions, but it was more common for teachers to exclude potentially harmful activities from their program. Other cited reasons for 56 JAMES U. GRAY & RONALD N. MACGREGOR restricted offerings included lack of student interest, lack of materials, change in the nature of the curriculum, and lack of commitment to the principle of offering a variety of options or experiences. Very few teachers volunteered information on why their art rooms looked the way they did, yet the effects of external events were sometimes clearly visible. In one situation, the art program was in temporary decline; a handful of students occupied an echoing suite of rooms. At the other end of the scale, expansion of working areas, or construction of an art gallery space in the school, indicated a program's health. In one instance, a work study program enabled the art teacher to claim that the art program's working environment extended beyond the school's walls into the larger community. Art rooms often bear signs of having gradually assumed a character over the years, particularly where the teacher has a fondness for acquisition and a reluctance to throw anything away, reasoning that any object might provide a stimulus or serve as a resource. The shelves of one such area contained bottles, a 50-year-old typewriter, a merry-go-round horse, skulls of many animals, a B-flat baritone horn, hubcaps, a Canadian flag, an Oriental screen, peacock feathers, a toaster, model boats, radio innards, a sewing machine, fungi, plants, washing machine parts, signs, a bird cage, lamps, a hornet's nest, saddles, chains, calculator parts, and a gas pump dial. Students in all situations we visited used a variety of materials, mostly in response to specific assignments the teacher set. Alhough the content was often derived from the popular culture of television, rock videos, and commercial advertisements, it was seldom reinterpreted in film, video, or computer-generated images. Instead, students used traditional art materials (paint, clay, cardboard) and supplemented their work with ideas from sketchbooks or workbooks completed outside school hours. The tools and equipment used for these projects usually required a modest outlay of money. Whenever facilities for film or photography were being developed or expanded, expenditures rose sharply. Audio-visual equipment either belonged to the art area, or was readily available from the school's AV pool. Computers were relatively uncommon, though one or two art teachers had arranged to share computer time with another subject area. The products of art programs showed relatively few regional differences. Instead, the most evident difference was between teachers who favoured subjects derived from students' first-hand experiences and teachers who permitted subject matter derived from the mass media. Although classes might produce a variety of work, it often was sufficiently influenced by a teacher's preferences to be readily identifiable as the work of a particular school. Two-dimensional work was much more common than three- dimensional. HIGH SCHOOL ART TEACHERS 57 Large-scale sculptures were rare. CONCLUSIONS Several of the questions that prompted our study can now be answered. Were Goodlad's American findings about make-work projects, lack of individuality, and fuzziness about objectives replicated in Canadian high schools? No. Although many of the activities in art classrooms were not arranged sequentially, every teacher had a plan for what she/he intended to cover in a semester or year. The encouragement of individuality, far from being neglected, was a central tenet of every teacher's credo, and a recurring feature of everyday interaction with the students in the classroom. That the products of these art rooms were seldom ``radical'' probably says much about students' own definitions of ``art'' and ``not art.'' Teachers, for their part, had few doubts about their objectives, though it must be said that in many cases these were not formally articulated, and often only slightly resembled those in the provincial curriculum guide. That art teaching in Canada is an idiosyncratic activity was confirmed. Two teachers at opposite ends of the country might find that their programs and attitudes coincided, while two in the same city might have created quite different situations and conduct strikingly dissimilar programs. Why does the assumption of unity persist, in phrases such as ``the art teacher'' and ``the art curriculum,'' when the reality is so diversified? There is perhaps a level at which business has to be seen to happen, and another at which business actually occurs. Since the latter provides, as we have shown, anything but a uniform profile, it is tidier and more expeditious for writers to reconstruct reality in a more regular image. A curriculum planner who mistakes literary economy for the true state of affairs is doomed to disappointment. Yet, idiosyncrasy is not synonymous with whimsy. Individual temperament affected the selection of experiences that the teacher considered to be in the students' best interests, and determined whether the space in which art education was conducted was treated as a workshop or a shrine. Each teacher surveyed would, however, have admitted that the other informants were teaching a form of art. Although they enjoy an autonomy partly attributable to art's non-examination status in provincial systems, and partly to the Western tradition of individualism that surrounds the arts, teachers have evidently fashioned their programs from a common body of material. We saw no programs so bizarre as to force us to reconceptualize our notions of the forms taken by art in school. We have tried to convey the situational realities of art teachers across 58 JAMES U. GRAY & RONALD N. MACGREGOR Canada. Further research might now consider how materials developed for teachers might more closely accommodate those realities, doing justice to the complex theory/practice relationships our study described and implied. NOTES 1 The study was conducted under the acronym PROACTA: personally relevant observations about art concepts and teaching activities. 2 The most potent example of a current program that emphasizes art history and criticism is Discipline Based Art Education. It is being implemented in various parts of the United States, under the aegis of the Getty Center for Education in the Arts. HIGH SCHOOL ART TEACHERS 59 REFERENCES Clandinin, D.J. (1986). Classroom practice: Teacher images in action. London: Falmer Press. Connelly, F.M., & Clandinin, D.J. (1985). Personal practical knowledge and the modes of knowing: Relevance for teaching and learning. In E.W. Eisner (Ed.), Learning and teaching: Ways of knowing (pp. 174–198). Chicago: University of Chicago Press. Elbaz, F. (1981). The teacher's ``practical knowledge'': Report of a case study. Curriculum Inquiry, 11, 43–71. Feldman, E.B. (1969). Becoming human through art. Englewood Cliffs, NJ: Prentice Hall. Fullan, M. (1982). The meaning of educational change. Toronto: OISE Press. Goodlad, J.I. (1984). A place called school. NY: McGraw Hill. Jackson, P.W. (1968). Life in classrooms. Chicago: Holt, Rinehart, and Winston. Schon, D.A. (1983). The reflective practitioner: How professionals think in action. New York: Basic Books. James U. Gray and Ronald N. MacGregor are professors in the Department of Visual and Performing Arts in Education, University of British Columbia, Vancouver, British Columbia, V6T 1Z5. Relevance and the Romantic Imagination Kieran Egan simon fraser university It is a widespread belief that students will more readily learn and understand material if it is made relevant to their everyday experience. This truism is commonly interpreted to exclude students' imaginative life as an element of everyday experience. This article explores students' imaginative lives and considers implications for attempts to make material ``relevant.'' It further explores implications for the planning of teaching to engage students' imaginations. On entend souvent dire que la matière est plus facile à apprendre et à comprendre si elle a un lien avec la vie quotidienne des élèves, mais quand on énonce cette évidence, on exclut souvent l'imaginaire du vécu des élèves. Cet article explore certaines des caractéristiques de l'imaginaire des élèves et tire des conclusions, d'une part, sur les efforts qui sont faits en vue de rendre la matière ``pertinente'' et, d'autre part, sur la planification d'un enseignement visant à faire travailler l'imagination des élèves. INTRODUCTION It is a truism, if rather a stale one, that students will learn more effectively if what is taught is made relevant to their experience. I fear that ``relevance,'' like the word ``culture,'' impels people to reach for their guns. The over-use of the term in the sixties has made people somewhat wary of using it these days. Nonetheless, the notion that successful teaching comes about by making what is to be learned relevant to students' experience now has the status of a truism. This truism is, however, less problematic than is its most common interpretation. It is interpreted as meaning that new knowledge or experience will be more effectively learned if it is made relevant to the student's everyday experience. In this paper I argue that we can also interpret ``relevance'' in terms of the experience of students' imaginative lives. Such an interpretation could have a liberating effect both for teaching and for the curriculum. Why have we come to accept that children require connections with what Dewey (1916) called the ``material of ordinary acquaintance'' (p. 258), when 58 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) THE ROMANTIC IMAGINATION 59 we routinely observe them generating or eagerly accepting a menagery of creatures that do not and cannot exist, engaging in amazing adventures in never-never worlds? The most evident feature of the fantasy games invented by my children and their friends just outside my study window is a wild imaginativeness, as they transform the garden, its playhouse, compost heap, shed, and fruit trees into a strange kingdom full of monsters, castles, dungeons and dragons, and wizards. They imbue what to my dull eyes is a place for leisure into an enchanted place whose pragmatic reality is of only the slightest concern. Partly because of John Dewey's enormous influence and the influence of widely agreed interpretations of his work, educational practitioners generally accept that children are concrete thinkers whose intellectual activity is tied to here-and-now everyday experience. There is, of course, endless dispute about Dewey's work and the ways it has been interpreted or misinterpreted and the degrees to which it has been implemented or perverted (see, for example, Cuban, 1984; Kliebard, 1986). It is perhaps easier to measure influence on curriculum documents than on teaching practices and teachers' beliefs, but it does seem fair to conclude, as Cremin (1961, 1976) has argued in some detail, ``that by the 1950s the more fundamental tenets of the progressives had become the conventional wisdom of American education'' (1976, p. 19). It seems true also that ``whether or not we like Dewey and the progressives, we are heirs to their formulations, and the irony is that an age that has all but forgotten Dewey is still governed by his analytical categories'' (1976, p. 8). Among the most pervasive themes of Dewey's writing is insistence on the child's meaningful everyday experience as the paradigm of appropriate learning. ``Anything which can be called a study, whether arithmetic, history, geography, or one of the natural sciences, must be derived from materials which at the outset fall within the scope of ordinary life-experience'' (Dewey, 1938, p. 86). To avoid the class divisions he so hated and to bring about the kind of democracy he saw as liberating to the human spirit, Dewey wanted to ensure that all learning for all children was tied to democratic social experience. His social commitments and his related ideas about how scientific knowledge was generated and established led to a strong insistence on particular procedures in teaching and the curriculum. Dewey (1916) insists upon ``the necessity of an actual empirical situation as the initiating phase of thought'' (p. 153) and argues, ``Even for older students, the social sciences would be less abstract and formal, if they were dealt with less as sciences . . . and more in their direct subject-matter as that is found in the daily life of the social groups in which the student shares'' (p. 201). In general, he argues that ` 59 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 60 KIERAN EGAN `The subject matter of education consists primarily of the meanings which supply content to existing social life'' (p. 192), and that ``Before teaching can safely enter upon conveying facts and ideas through the media of signs, schooling must provide genuine situations in which personal participation brings home the import of the material and the problems which it conveys'' (p. 233). In his pamphlet, ``My Pedagogic Creed,'' he emphasizes that ``The school life should grow gradually out of the home life; . . . it should take up and continue the activities with which the child is already familiar in the home'' (Dewey, in Archambault, 1964, p. 431). Even its strongest proponents find problematic the idea that teaching in any area will be more effective if it connects with students' everyday experience. Dewey also wanted widespread understanding of disciplinary knowledge, some of which seems not easily accessible without significant breaks from the underlying assumptions given by everyday experience—a point argued strongly by Floden, Buchmann and Schwille (1987). The starting point in education for Dewey, however, remains the child's daily social experience, and he notes that ``The child lives in a somewhat narrow world of personal contacts'' (1902, p. 5). This is generally true as long as we do not interpret it exclusively: exclusively, that is, of the fact that the child also lives in a vivid and expansive world of imaginative activity. Dewey's concern with a kind of education appropriate to a developing industrial democratic society led him to try to undercut those features of schooling that seemed most responsible for dividing people from one another. He was especially concerned to discredit what he saw as the artificial, ` `ornamental,'' effete ``culture'' of European upper-middle classes. He was moved towards intemperate language whenever he discussed the kind of ` `inner'' cultural life whose development someone like, say, Matthew Arnold, saw as the point of education: And the idea of perfecting an ``inner'' personality is a sure sign of social divisions. What is called inner is simply that which does not connect with others—which is not capable of free and full communication. What is termed spiritual culture has usually been futile, with something rotten about it, just because it has been conceived as a thing which a man might have internally— and therefore exclusively. What one is as a person is what one is as associated with others. (Dewey, 1916, p. 122) Our imaginative lives are indeed not capable of ``free and full communication,'' and are indeed something ``inner.'' They can include futile, mind- wandering fantasizing, but also important constructive activity. The kind of statements THE ROMANTIC IMAGINATION 61 quoted above have led European educationalists in particular to see a significant totalitarian element in Dewey's theories (see, for instance, Bantock, 1984, pp. 315–322). It would be absurd to suggest that the author of Art as Experience was conducting a campaign against the use of imagination. But Dewey's insistence on the pragmatic, on the child's everyday social experience, has generated sets of pedagogical principles which have in turn stressed concrete activity to the neglect of imaginative activity. (I have elsewhere discussed the way in which interpretations of Piaget's work in education have reinforced this tendency [Egan, 1983].) We are, as Cremin notes, the heirs to Dewey's and his various progressivist interpreters' formulations, whether we like it or not. The inheritance in theory can be endlessly disputed, but in practice it is constantly evident. Just a couple of weeks ago, for example, I was talking with a recently graduated, bright, and conscientious teacher in the interior of British Columbia. The curriculum required that she teach her grade 8 class about the Middle Ages. With increasing desperation she had sought for weeks ``relevant'' material, and had only come up with the fact that this was the period during which women's high-heel shoes were invented. She had been taught, and accepted as reasonable, that to make something new meaningful and engaging to students she had to find in it elements relevant to students' everyday experience. Imagination in education is perhaps like the weather: everyone talks about it but nobody does anything. Beyond encouragement, the professional educationalist's job should be to offer some clarification about what imagination is and perhaps more usefully to offer some technical help to enable teachers to plan in such a way as to more routinely evoke imaginative activity in their students. I mean to consider briefly some incidents in the history of the imagination, then turn to common characteristics of adolescents' imaginative lives, and finally derive from these a technique for planning teaching. TWO INCIDENTS IN THE HISTORY OF IMAGINATION The human mind is complicated. We don't know what a natural mind might be like; we know minds only within particular cultures that evoke, stimulate, and develop particular potentials. One potential evoked, stimulated, and developed long ago, and very early in each of our lives, is what we rather vaguely call the imagination. The first historical incident I would like to touch on concerns its role in the survival of oral cultures. In oral cultures, people know only what they can remember. Without writing, what is forgotten is lost forever: a very 62 KIERAN EGAN high social value is thus placed on techniques that aid memorization. It was very early discovered that rhyme, rhythm, and meter made oral messages more reliably memorable. But perhaps the greatest social invention was the story. People discovered that the lore that determined social structures and relationships, technical skills, economic activities, and so on, could be made more memorable by encoding it into stories. All known oral cultures throughout the world use stories for this purpose. These stories, usually called myths, provided an important cohesion and relative stability to oral cultures. It was discovered also that the messages to be encoded in myths were more memorable if they were put in the form of vivid and dramatic events involving very strange creatures in weird circumstances. To be most memorable the events had to engage and to shape the emotions of their audience (Goody, 1977; Havelock, 1963, 1986; Lévi-Strauss, 1966; Ong, 1982). These techniques have been found throughout history to be reliable aids to memory, in literate but book-poor cultures as well as in oral cultures (Spence, 1984; Yates, 1966). What is crucial is evoking in the listener's mind vivid and strange images. In rituals, particularly initiation ceremonies, and more casually as parts of social life, myths in oral cultures evoked, stimulated, and developed the mind's potential for imaginative activity. We tend, ironically, to think of memorization and imagination as somewhat antithetical in early schooling. We might transcend this rather simplistic binary opposition by bearing in mind that the birth of the imagination and its early stimulation are a product of the need to remember. To most members of oral cultures the natural world is not made up of objective phenomena, but is rather imbued with vivid dramas in which gods and spirits of various kinds are ever-active, and the individual's behaviour must be coordinated with those great dramas. Classification schemes of natural phenomena are also tied to them (Lévi- Bruhl, 1910/1985). The second incident I would like briefly to touch on is the conflict in European culture about the role of the imagination once writing became commonplace. This conflict, like so many others, was set rolling by Plato's characteristically vigorous and intricately argued solution. Like everyone who, on his mother's knees, fought beside Achilles on the windy plains of Troy or sailed with Odysseus across the wine-dark sea, Plato had some difficulty reaching the conclusion to which his new conception of how to think and how to educate people to become rational drove him: ``he struggled within himself and proclaimed one part of himself the enemy of the other. He knew his inner war had to end with the victory of reason and the grudging surrender of passion, the victory of philosophy over poetry'' (Simon, 1978, p. 157). His solution was to ban poets from his ideal Republic, because poets seduced the THE ROMANTIC IMAGINATION 63 emotions and created in the soul falsehoods and illusions about reality. Some time after Plato's influential contribution this conflict reached another kind of resolution, perhaps best expressed in the work of one of the most underrated contributors to educational thought, William Wordsworth. His major insight is summed up in the observation that ``The child is father of the Man,'' and is elaborated on in many of his poetical works. He saw and expressed with greater clarity than anyone before him that the young child's perception of the world is not adequately described, as Plato described it, primarily in terms of confusion and illusion, as irrational or a-rational. This Platonic view led to a sense that education was the process of gradually leading the child from its initial confusion about reality to adult, mature rationality: from Plato's stage of eikasia or doxa to noiesis or episteme. This view is still prominent among traditionalist educational theorists. Oakeshott (1971), for example, characterizes young children as ``postulants to the human condition'' who require initiation into the inheritance of human understandings to become human beings with minds. Before this deliberate initiation, ``in the morning twilight of childhood, where there is nothing that, at a given moment, a clever child may be said exactly to know or not to know'' there is only ` `inclination . . . casual encounters provoked by the contingencies of moods . . . fleeting wants and sudden enthusiasms tied to circumstances . . . current wants and `interests''' (pp. 47, 48). Even Peters (1964), seeking an almost poetic summary of his image of education, says: ``It is education that provides that touch of eternity under the aspect of which endurance can pass into dignified, wry acceptance, and animal enjoyment into a quality of living'' (p. 48). Education turns the animal enjoyment, presumably what is available to the uneducated child, gradually into a ``quality of living.'' In Wordsworth's view, childhood perception is quite the opposite of Oakeshott's ``morning twilight.'' Rather, the world of early childhood appears ` `Apparelled in celestial light,'' with the glory and freshness that at length as we mature dies away and fades ``into the light of common day.'' This sense of childhood perception being bright and vivid, and childhood intellectual life being equivalently vivid and dramatic, is now a commonplace recognition in autobiographers of childhood (Coe, 1984). The educational problem for Wordsworth is to ensure that in the initiation of the child into the inheritance of human understandings, the imaginative freshness and vividness of childhood is not lost. If it is, if that is the price of admission to our accumulated knowledge, then that initiation carries with it ``Shades of the prison-house.'' Wordsworth's optimistic conclusion is that while we must indeed lose that vivid immediacy of childhood perception, ``the radiance which was once so bright,'' we can nevertheless carry it forward in our 64 KIERAN EGAN memories into ``the years that bring the philosophic mind.'' (All quotations from ``Intimations of Immortality from Recollections of Early Childhood.'') Wordsworth ``kept till the end of his life a sense that the ordinary can be transformed by the imagination and that the poet's task is to show this'' (Sturrock, 1988, p. 62). One may describe Wordsworth's achievement as recognizing a way in which the great intellectual achievements of oral cultures, and in particular their stimulation of the imagination and fluency with metaphor—used to encode social information into vivid stories—are not antithetical to the achievement of rationality—as Plato represented them. One can preserve the great intellectual achievements from the oral culture of childhood into the high literacy of modern educated adulthood. This insight of Wordsworth's is the key that can enable educational theory and practice to transcend the disabling conflict between progressivism and traditionalism, which continues today in a variety of forms. Wordsworth was not alone, of course, in radical reconception of the imagination's role in education. The Romantic movement was in part a reaction against what the Romantics considered an excessive dessicating rationality in eighteenth-century neo-classicism. Coleridge refers disparagingly to those ``who have been rationally educated, as it is styled. They were marked by a microscopic acuteness, but when they looked at great things, all became a blank and they saw nothing, and denied (very illogically) that anything could be seen. . . .'' Rather he advocates the importance of imaginative stories for the young: ``For from my early reading of fairy tales and genii, etc. etc. my mind had been habituated to the vast, and I never regarded my senses in any way as the criteria of my belief. I regulated all my creeds by my conceptions, not by my sight, even at that age'' (Coleridge, in Potter, 1933, p. 355). It is clear how far Coleridge's views are from today's commonly asserted principles about children's ability to learn. For the particular purposes of this paper, let me highlight very briefly just three characteristic features of distinctive imaginative activity in the Romantic movement. First is the new focus on reality. The excitement of Romanticism was not simply a sense of imagination being freed, but of its freedom to explore afresh the reality of human experience and of the world, uncluttered by artificial conventions imposed during eighteenth-century neo-classicism. Blake expressed it in terms of the need to cleanse the gates of perception; Shelley saw the poet's proper task as lifting the veil from the hidden beauty of the world and showing the familiar in all its strange wonder. It is the everyday detail of the world, often at a purely descriptive level, that fills much of the most distinctively Romanticist art and literature: ``Romantic art . . . is not THE ROMANTIC IMAGINATION 65 `romantic' in the vulgar sense, but `realistic' in the sense of concrete, full of particulars'' (Barzun, 1961, p. 26). A second characteristic of Romanticism is the ambivalence caught in the figure of the hero. ``The writers who achieved the greatest popular success in the late eighteenth and early nineteenth century were those who created simpler, more colourful imaginative worlds, dominated by heroes of superhuman effectiveness'' (Butler, 1981, p. 2). The ambivalence stems from recognition of the constraints of reality along with desire to transcend them. The hero is constrained by reality like the rest of us, but manages somehow to overcome the constraints. The career of Napoleon fascinated most Romantics because his force of will transcended what seemed politically and militarily possible. The Byronic hero is another example of the cult of heroism that grew up during the period. As in the earlier outburst of romantic energy during the Renaissance, which included revolt against the ossified scholasticism of the late Middle Ages, so the movers of Romanticism looked back to the earlier liberation of spirit they saw in, or projected into, myth and popular fantasy. Resistance to ``classical'' reason led many to a fascination with the exotic and mysterious, to fantasy and the ``irrational'' myths of the ancient world and contemporary ``savages.'' This attraction to extremes of experience and reality, then, is a third commonly observed feature of Romanticism on which I will draw. Clearly, the characteristics I have chosen are related, indeed they overlap considerably. My purpose is to consider some implications for education today of such observations about the imagination. SOME CHARACTERISTICS OF STUDENTS' IMAGINATIVE LIVES If one considers the kinds of films or reading material most engaging to early adolescents, there is evident a significant difference from the fantasy or fairy-tales that commonly engage younger children. Crucial is the concern with reality. Even the wilder super-heroes, like the Hulk or Spiderman, or even Superman, require an aetiology that links them with some possible, however implausible, reality. Superman is not accepted, as is Cinderella's fairy-godmother, without our knowing about his birth on the dying planet Krypton and his being launched into space by his father, Marlon Brando, and about his arrival in Kansas where he was cared for by Mr. and Mrs. Kent, and so on. Students in early adolescence seem most readily engaged by equivalents of People magazine, often having to do with pop-stars or sports-heroes, or by material such as that compiled in the Guinness Book of Records. That is, they 66 KIERAN EGAN are attracted not to reality in its everyday aspects, but rather to its extremes, to exotica and the bizarre. The student's imaginative grappling with reality emphasizes who or what is the biggest, the smallest, the fastest, the slowest, the fattest, the thinnest, the hairiest, etc. It is the mysterious, the strange, the weird, the wonderful, and emphatically not the everyday that engages the student's imagination. Another common feature of students' imaginative engagements during this time of life is their development of obsessive interests in something in particular, or in a hobby. Typically students are drawn to collect exhaustively or to master something in detail, or to find out everything about something. It may be a pop-music group, cathedrals, castles, a football team, the kings and queens of England, costume through the ages, steam trains, shells, spiders, or anything whatever. With the discovery of an autonomous real world comes the need to explore its extent and scale. Studying something exhaustively gives one some security and also some sense of the scale of things in general. Simply as a strategy for exploration, these are perfectly sensible procedures. They also partake of prominent features of imaginative exploration in Romanticism: intense interest in details of the world and in exotic and extreme features of the world and of experience. The third characteristic also echoes a common aspect of the Romantic imagination: what I shall call the association with transcendent human qualities. The everyday autonomous world is somewhat threatening to the immature ego; students are very much immersed in their everyday world but are relatively powerless to affect it, being subject to routines and activities decided on by others—parents, teachers, and so on. Students commonly respond by identifying with those human qualities best able to transcend the threats of the everyday world, qualities frequently embodied by a hero or heroine. As in Romanticism, the association with an heroic figure—whether Superman, pop-stars, sports heroes or teams, Rambo, Crocodile Dundee, Mad Max, Harriet the Spy, Alfred E. Neuman, or Alfred Einstein—allows the imagination both to acknowledge constraints of the real world and to associate with some means of transcending those constraints. Whether the association is merely passive, or whether the student tries more actively to follow the transcendent path laid out by the heroic figure by adopting, or trying on, a role, the result is some taste of power or control or security or confidence—if things go well. (This point begins to overlap with Erikson's [1963] developmental task of integrating ego identity.) Another internalizing of the heroic figure commonly finds expression in diary-keeping. The secret diary, with elaborate locks, enables one to gain some power over the everyday world. The diary is often associated with spying—the possession of secret knowledge. This can be THE ROMANTIC IMAGINATION 67 culled—parents often discover to their dismay—from overheard family conversations, telephone calls, chats with neighbours, captured and transformed into scarlet dramas in the pages of (most commonly daughters') diaries. It is not, I think, coincidental that the Romantic period saw the virtual birth and very rapid proliferation of the autobiography (S. Egan, 1984). RELEVANCE TO THE IMAGINATIVE LIFE: A PLANNING FRAMEWORK If we consider just these few characteristics of typical early adolescents' imaginative lives, how can we devise a technique for planning teaching that draws on them? At present we are in the odd position of having a restricted repertoire of planning devices for teaching. Virtually all available techniques are derived from Tyler's (1949) model, in which one must first establish objectives then determine content, select appropriate methods, and evaluate the product. This model, and its derivatives—which tend to vary little from their source—have been important technical aids to planning. What is odd is the virtual absence of alternative models from conceptions of teaching and education other than the rather mechanistic, assembly-line derivatives (Callaghan, 1962) currently dominant. (I have tried elsewhere to construct an alternative based on characteristics of primary school children's imaginative lives [Egan, 1986].) Here I construct another planning framework derived from the above observations, then show how it might be used. The Romantic Planning Framework 1. Taking a Romantic Perspective 1.1Identify Romantic qualities—What characteristics are brought to mind by looking at a particular topic in a Romantic way? What transcendent human qualities are most prominently embodied in the topic? 1.2Identifying Romantic associations—What aspects of the topic can most engagingly attract students' Romantic associations? What transcendent human qualities are most accessible? 2. Organizing the Content into a Story Form 2.1Providing access—What content, distant from students everyday experience, most vividly exemplifies the romantic qualities of the topic with which the students can associate? 68 KIERAN EGAN 2.2Organizing the unit/lesson—What content best articulates the topic into a developing story-form, drawing on the principles of Romance? 2.3Pursuing details—What content can best allow students to pursue some aspect of the topic in exhaustive detail? 3. Conclusion What is the best way of resolving the dramatic conflict on which the unit/lesson is articulated? How does one tie together a satisfactory ending to the Romantically important features of the topic? 4. Evaluation How can one know whether the topic has been understood and the appropriate Romantic capacities have been stimulated and developed? Earlier I implied a criticism of starting a unit on the Middle Ages that tried to begin with whatever could be found that seemed relevant to students' present-day experience. I should show how my model might make the Middle Ages accessible through something other than high heels. How can we use this model to make the Middle Ages engaging to students using the characteristics of their imaginative lives touched on above? Let us follow the Romantic model step by step and see how it might shape our unit. I will not work out such a unit in detail; my intention is to show, however schematically, that the model can be used in planning teaching. First, we are to take a Romantic perspective. This invites us to consider the Middle Ages romantically—not in the vulgar sense, but in the sense of highlighting the characteristics sketched earlier. The first step is to focus on whatever transcendent human qualities are most prominent in the topic. What, in Romantic human terms, were the Middle Ages all about? We might sensibly emphasize the Renaissance of the twelfth century and its aftermath— the High Middle Ages. This period succeeded centuries of political chaos, social disruption, and large-scale migrations of people, relieved briefly by Pepin's and Charlemagne's empire, which fell apart after Charlemagne's death. The main, although unstable, order came from the varied forms of the elaborate protection racket vaguely referred to as Feudalism. Gradually from this varied system there came a remarkable civilizing force that created and held together civilized life in Europe for more than a century. During this period, feudal protection rackets gave way to written-law-regulated political units, and over them developed one of the strangest organizations Europe has ever seen. The engines of this civilization were monasteries, the leading power THE ROMANTIC IMAGINATION 69 was the papacy, and among the most influential characters who caught the popular imagination was Francis of Assissi. The transcendent human quality we can identify as central to the Middle Ages is the ideal of a spiritual life, whose appeal is more powerful and important than the secular powers that have control over our bodies. The papacy's authority was based on its claim to represent this spiritual power, and on its near monopoly on literacy and the powers of organization it allowed. The Middle Ages, then, can be seen for our unit in terms of the rise and dominance of this spiritual power and its conflicts with the physical, worldly power of kings, princes, and emperors. It was a curious period of history when the powers of church and of states were very distinct, in a way not known before or since in Europe. We might emphasize the transcendent vision and courage of popes like Gregory VII and Innocent III and their attempts to keep alive the spiritual ideal and its authority in the face of the warring secular powers, and their resultant civilizing of those secular powers. The model directs us to organize the topic's content by selecting content distant from students' everyday experience which will nevertheless be accessible because it allows students to associate with the transcendent qualities central to our theme. We might begin with three vivid stories: first, emperor Henry IV's refusal to acknowledge Gregory VII as pope and Henry's being eventually forced to cross the Alps and stand waiting in the snow until Gregory pardoned him and lifted his excommunication; second, Henry II at the tomb of Thomas à Becket doing penance for his part in Thomas's death, while being whipped by monks (no doubt fairly gently); and third, how the tough and wily emperor Barbarossa was brought to heel by the pope—almost literally—being forced to kiss the pope's feet in repentance for encroaching on the church's property and prorogatives. These stories can be told, shown, or enacted in whatever way seems best to individual teachers. They are vivid and powerful when fleshed out in their dramatic detail, and they make clear to students how a spiritual organization with, at that time, virtually no armed resources could exert its power across Europe against the mightiest of kings and emperors. In organizing the unit, we are directed to select the content brought to the fore by our Romantic theme. The High Middle Ages are about, for example, the energy and sweetness of St. Francis of Assissi, who within a few short years immensely influenced Europe by renouncing all wealth and material goods and trying instead to help those in greatest need. Every time you see a crib at Christmas, you see something invented by St. Francis. He was helped by Innocent III to found an order of priests and brothers who were to put into practice his vision of how best to live. A century later papal authorities would 70 KIERAN EGAN likely have burned St. Francis at the stake as a heretic, as they did his ` `spiritual'' followers, but during the expansive years of the High Middle Ages the Franciscan spirit was part of the great Renaissance of civilized life. It also added new flavor to civilization, helping even to civilize barbarian knights with ideals of chivalry. By examining the careers of individuals like Peter Abelard, we can see old dogma attacked (and the schools of Paris emptying as the students followed the expelled Peter across France), and clerical skills in literacy helping to bring law and order to the kingdoms of Europe. We would also fill out such a unit, perhaps with a two-minute session at the beginning or end of each lesson, with a kind of Guinness Book of Records of the most strange, exotic, and wonderful events, characters, and inventions of the period. The options for pursuing some element of the Middle Ages in exhaustive detail seem endless: castles or cathedrals (perhaps beginning with David Macauley's superb books [1973, 1977])—and here we could indeed bring in high heels and costume in general, the simple rule St. Francis wrote for his followers, eating utensils and typical foods eaten by lords or peasants during a typical day, and so on. The conclusion might bring together all the elements of the unit to show how people could think of themselves first and foremost as members of Christendom and less significantly as members of a particular state. Our conclusion might also focus on the waning of this spiritual ideal and the narrowing vision, on the corruption of the papacy as the power-hungry struggled for it or to control it, the schisms, the effects of the Plague, the Inquisition, and the fading of an institution and set of bright ideas that for a while seemed to work and that had a remarkable civilizing effect on Europe. Our conclusion might stress that for a while something strange and wonderful happened in Europe, that brought art, literature, and architecture to new levels of achievement and made the likes of Francis of Assissi the pop-heroes of the age. Now clearly this is not the whole truth; it is a simplification. But it is not false: it catches something important and true about the Middle Ages, and it organizes it in a Romantic way that can catch the imagination of the typical early adolescent. Evaluation of such a unit might use informal observation and traditional kinds of assessment techniques, but something additional is clearly required to ensure that the students' Romantic capacities have been stimulated and developed. One might test this with assignments that elicit from the students evidence of enthusiastic engagement and a sense of wonder. Such assignments might include a project on some aspect of the Middle Ages that stim- ulates students' interest, or some model construction of a castle or cathedral, or THE ROMANTIC IMAGINATION 71 recreation of the dress or games available at the time, or the reenactment of some crucial event, or whatever. The important point is to provide for some kind of activity that allows the students' Romantic engagement to be exhibited, to find an outlet, and to be further developed at the same time. CONCLUSION These days many students, even those successful in the school's terms, leave school feeling cheated. So many assignments, so many tests, and somehow the richness of the world and experience beyond their everyday experience, which they sense is there, has eluded them. The sheer knowledge of the dimensions of the world, the range of human experience, are not a part of what they understand. What I am arguing for here as at least a partial solution to this problem is a sense of romance. Its agent is the imagination. In this I am echoing Whitehead (1929): ``Romantic emotion is essentially the excitement consequent on the transition from the bare facts to the first realizations of the import of their unexplored relationships'' (p. 18). It is the imagination that can carry us beyond bare facts and can hint at the wonder of their unexplored relationships. One shouldn't, of course, make too sharp a distinction between everyday experience and imaginative life, as each must continually feed the other. But we can forget that ``experience isn't necessarily a window on to meaning'' (Wills, 1988, p. 254), or as T.S. Eliot put it compactly in the Four Quartets, ` `We had the experience/But missed the meaning.'' The current half-hearted sense in which so many teachers feel they cannot bring much of the students' cultural heritage to vivid life but rather are responsible only to ``expose'' them to it, perhaps provides the experience, but, without imaginatively engaging students, misses the meaning. I fear that one of our main concerns with schooling at present ought to be that despite the heroic efforts of so many teachers, there is so little for the imagination. REFERENCES Archambault, R.D. (Ed.) (1964). 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New York: Viking Penguin. Sturrock, J. (1988). How the graminivorous ruminating quadruped jumped over the moon: A romantic approach. In K. Egan & D. Nadaner (Eds.), Imagination and education (pp. 57–75). New York: Teachers College Press. Tyler, R. (1949). Basic principles of curriculum and instruction. Chicago: University of Chicago Press. Vygotsky, L.S. (1978). Mind in society: The development of higher psychological processes. (M. Cole, V. John-Steiner, S. Scribner, & E. Souberman, Eds.). Cambridge: Harvard University Press. Wertsch, J.V. (1985). Vygotsky and the social formation of mind. Cambridge: Harvard University Press. Whitehead, A.N. (1929). The aims of education. London: Macmillan. Wills, C. (1988, March). Times Literary Supplement, 4–10. Yates, F.A. (1966). The art of memory. Chicago: University of Chicago Press. Kieran Egan is in the Faculty of Education, Simon Fraser University, Burnaby, British Columbia, V5A 1S6. College Choice: A Survey of English-Speaking High School Students in Quebec* Geoffrey B. Isherwood mcgill university Anglophone Quebec students may in their last year of high school choose a college to attend. Chapman's model of choice, which incorporates both student characteristics and external influences—significant others, college characteristics, and college efforts to communicate with students—offers a conceptual framework for detecting patterns in their choices. A sample survey of 422 students found that college reputation and location coupled with student academic average and attitude to high school determined choice. Colleges were caught in the dilemma of trying to achieve the goal of excellence while at the same time maintaining an open admission policy. A network of colleges with different corporate missions would, to some extent, alleviate the dilemma. La recherche présentée dans cet article visait à préciser comment les élèves anglophones du Québec dans leur dernière année de secondaire choisissent le collège qu'ils veulent fréquenter. Le modèle de choix de Chapman, qui intègre à la fois les caractéristiques des élèves et les influences extérieures—personnes prisées par les élèves, caractéristiques des collèges et efforts des collèges pour communiquer avec les élèves—a servi de cadre conceptuel. Un sondage mené auprès de 422 élèves a révélé que le choix de l'établissement était déterminé par la réputation et l'emplacement du collège ainsi que par la moyenne scolaire de l'élève et son attitude vis-à-vis de l'école secondaire. Les collèges sont aux prises avec un dilemme: essayer d'atteindre leur objectif d'excellence tout en maintenant une politique ouverte d'admission. Un réseau de collèges avec des missions différentes pourrait, dans une certaine mesure, régler ce dilemme. It is a 20th-century truism in North America that everyone needs a college * This article was originally submitted for publication in August 1988. 72 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) COLLEGE CHOICE 73 education. Education is a ticket to work, a step on the path to graduate study, a means to athletic prowess, an alternative to a tight labour market, an opportunity for self-development, and a means to a second career. In Quebec, Canada, a Province with historic roots in France and England and in their systems of education, a college education has additional meanings. In the early 1970s, Quebec had a population of about six million people. Roughly 80% were of French origin while the remainder had an English or ` `other'' heritage. In the 1980s, a low birth rate among the French, English out-migration to other parts of Canada and steady immigration from around the world has produced a demographic transition. The 1986 census revealed the population of greater Montreal, the hub of Quebec, was 67% French, 15% English and 18% ``other''—a diverse mix of nationalities (Bourbeau, 1986). The Montreal Catholic School Commission, the recipient of most immigrants to Montreal had, in 1981, 89% of its students with French as their mother tongue. By 1986 the number had diminished to 69%, and the projection for the year 2000 was well below 50% (Montreal Catholic School Commission, 1988). By the 21st century, the French flavour of Quebec would be replaced by a much more multiethnic one. Until the 1960s, there were two main educational systems in the province. The French system was composed of elementary and secondary schools along with private classical colleges, trade and technical schools, nursing schools, and family institutes. Few students graduated from secondary schools; fewer went on to the classical colleges; very few entered university (which required fifteen years of study prior to university entry). The smaller English school system provided an elementary and secondary education of only eleven years prior to university entry. There were no colleges for English students (Magnuson, 1980). Those in political power in the 1960s, seeking to bring French Quebec into the mainstream of English-speaking North America—while preserving their French heritage—legislated massive changes in the education system. At the post-secondary level, a new college institution was formed in 1967, the collèges d'enseignement général et professionnel (CEGEP), to ``encourage secondary school graduates to continue their schooling and [to] . . . eliminate the disparate paths to higher education of French and English students'' (Magnuson, 1980, p. 111). French-language CEGEPs were established from former classical colleges and other schools, while English- language CEGEPs had to be created from scratch. The CEGEPs provided two-year compulsory pre-university programs as well as three-year technical studies leading to employment. Enrolments grew 73 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 74 GEOFFREY B. ISHERWOOD rapidly, particularly in the university preparatory programs. Between 1962– 1963 and 1970–1971 full-time university enrolments, fed by the newly formed CEGEPs' graduates, tripled on the French side and doubled on the English side (Magnuson, 1980, p. 117). Administrators and professors molded their new organizations into vital institutions; colleges developed missions for themselves. As well, nationalism was on the rise in Quebec. In the mid-1970s, the separatist party came to power and passed language legislation to protect and to preserve French Quebec. Quebeckers whose mother tongue was French as well as non-Canadian immigrants to the Province had to send their children to 1 the French school system (K–11). Until then, most immigrants had entered English-speaking schools. As in former years, parents whose mother tongue was English, and who had an elementary education in English in Canada could send their children to the English school system (the Canada clause). This legislation, the reduced French birth rate, and the influx of migrants made the French school system both smaller and more multi-ethnic, and the English school system simply smaller. Some immigrants had difficulty studying in French, despite introduction of ``welcoming classes.'' By the mid-1980s, there were charges that French teachers diluted their courses so immigrants could keep up and that French students in the same classrooms suffered. However, entrance to CEGEPs was not decided by mother tongue. Students could elect to attend any CEGEP in the province, provided they met entrance requirements for their chosen program (and that the CEGEP had sufficient space in the program). In fact, some CEGEPs declared as part of their corporate mission that they were ``open'' institutions; they would admit any student to any program—all the student had to do was succeed, once enrolled. There are no studies of ``college choice'' among senior high school students in Quebec. Given the province's unique educational development, the fact a college education is mandatory prior to university study, and the competition among colleges for a declining pool of students, a study of Quebec students' college choice is worthwhile. I wish, therefore, to determine the basis of college choice for students in their last year of high school in the English school system. CONCEPTUAL FRAMEWORK Chapman (1981), in the United States, developed from the literature and his own research a model that postulated salient factors influencing a student's college choice. He found that choice was influenced by: —Student characteristics: parental background; socioeconomic status; COLLEGE CHOICE 75 aspiration (both level and type); high school performance; —External influences: significant persons (parents, siblings, friends, high school staff, others); fixed college characteristics (cost/aid, location, program availability, reputation); college effort to communicate with students (written information, campus visit, admissions, recruiting). Chapman speculated that interaction between a student's personal characteristics and external influences would lead the student to a set of expectations about college life in a particular institution. A student considering a group of institutions would likely develop a preference for one college over others; the student could then make a first choice, a second choice, and so forth. Chapman's model led to the development of the following research questions to guide the investigation: RQ1: What are the factors that influence college choice for students? Are the factors the same for different colleges? RQ2: Do personal characteristics of the student influence college choice? METHODOLOGY Design A sample survey produced data for analysis of the research questions. The population included secondary school students (grade 11) graduating from English-language high schools in the greater Montreal area (where the vast majority of English-speaking Quebeckers lived) in 1987 June. Of the approximately 8000 students, about 75% or 6000 would enter college. Of the 6000, some were interested in programs available at only one college; these students were excluded from the sample because ``college choice'' was not possible for them. The study emphasized public as opposed to private colleges. The vast majority of English college students in Quebec attend four public colleges (referred to as A, B, C and D). The study was funded by one college, and that college was primarily interested in students who might attend their school. This led to a random selection of students from 22 high schools in greater Montreal. English high schools elsewhere in the province were not included in the sample. A sample of about 400 of the 8000 graduating students would provide data with less than 5% error 95% of the time (Walonick, 1985). The final sample included 422 students. Interviews to collect all data were conducted in 1987 January. The inter- 76 GEOFFREY B. ISHERWOOD viewer would visit a school, meet randomly selected students during the students' free periods, interview them in a quiet setting for about 20 to 25 minutes, and record responses to questions. Respondents were guaranteed anonymity, as was their school. The interviewers were all female and university students. Instrumentation An interview guide was developed to tap each aspect of Chapman's model. ` `Significant others'' in college choice were assessed on a variant of a measure developed by Riley (1967). Students were asked to mark, on a 5-point scale, the level of influence each potential significant other had upon them. The four colleges' reputations were assessed in two ways. First, each college was placed on a 9-point scale ranging from low to high reputation. Second, the respondent's image of each college was established using a projective technique: respondents were asked the first word that came to mind after each college was named (each was named up to four times). Content analysis of responses yielded most frequently stated descriptors of each school. The ``Quality of School Life (Revised)'' measure—an 18-item measure that indicates attitude toward school, school work, and teachers (Isherwood & Hammah, 1981)—was used to assess students' attitude to high school. Data Analysis The individual interviews were coded, then entered into a data file verified to have less than .01% error. Data was analyzed using the STATPAK program of Walonick Associates (1985). FINDINGS The study's findings were organized around the research questions. RQ1: What are the factors that influence college choice for students? Are the factors the same for different colleges? Content analysis of student responses to the question, ``What are the key factors in making `X' your first choice of college?'' (repeated for the second choice) yielded 14 responses. See Table 1 for the leading responses by college. Program availability was mentioned in each case, college location or COLLEGE CHOICE 77 proximity in seven cases, and college reputation in six cases. Because the ` `program'' was available in each college, ``program'' had little to do with ` `choice.'' Location and reputation were the two salient factors in college choice. Most students (n=211) chose college D, because of its reputation. Many (n=151) said colleges A and B were first choice because of ``location'' coupled with ``reputation.'' College C was first choice for the fewest students (n=60). Their choice was based on ``location'' and ``suits me''—a euphemism used by students whose academic average in secondary school was weak. The factors influencing choice were the same for different colleges in Quebec. The saliency of ``reputation'' in college choice led me further to explore RQ1. Students rated each college's reputation on a 9-point scale (9 high, 1 low). College D had the highest reputation (mean of 7.1) and was the first choice of most students. College C had the lowest reputation (5.0) and was the first choice of the fewest students. College A (6.3) and College B (5.7) held intermediary reputational ratings. Analysis of variance was used to see if differences in reputation scores were significant. 78 GEOFFREY B. ISHERWOOD TABLE 1 The Three Leading Factors in College Choice by College of First Choice A College of First Choice (N=422) % C % % B Location 41 Location 29 Program Program 24 Reputation 19 Reputation 13 Program 15 n=71 A D % 45 Reputation 40 Location 18 Program 20 Suits me 10 Location 17 n=80 n=60 College of second choice (N=354) % C % % B Program 21 Reputation 26 2nd choice Location 15 Program 17 Reputation 15 ``Other'' 11 2nd choice 11 n=34 n=53 n=211 D % 28 Location 29 Program 19 Reputation 21 Location 15 Program 17 n=162 n=105 College D had a significantly higher reputation than College A, College A was significantly higher than College B, and College B was significantly higher than College C (F=86.78, p<.01). Students' responses to the projective measure (for instance, ``Tell me the first word you think of when I mention college A'') helped further to explain the meaning of each college's reputation. Each college evoked different images. The following descriptions, developed from students' responses, reveal each college's image. Many students thought college A was far away (it was about 35 km from the centre of the location of sample schools), so remote that they had no image of it. Students who knew about college A saw it as a large school with an attractive campus and a good academic reputation—it drew smart students. A few respondents saw college A as ``stuffy and snobby.'' Most students saw college B as having a good—but average—academic reputation, good programs of study, good atmosphere, and many good COLLEGE CHOICE 79 teachers. It appeared a clean and friendly place. Some saw it as a small school, while others viewed it as large. A few students thought it was far away (it was on the periphery of the sampling area, about 7 km from the centre). Everyone knew about college C: a school attended by low achievers, a school easy to get into. It was a big school with several campuses. Many saw it as a place where neither teachers nor students were serious, and where the climate was bad. For these students, college C was ``second choice,'' a ``last resort.'' By contrast, other students thought it a friendly school with some very good programs and good campuses. Students were divided on the image of college C. Most students knew about college D: a good school academically, people friendly despite overcrowding. College D was big and convenient to get to (public transportation was available). It had a fine reputation, good teachers and ``hard'' academic standards. Student rankings of the colleges clearly were based on each institution's envisioned academic reputation or lack thereof. The question arose of how students learned about each college and their associated reputations. Each student was asked how they learned about the colleges. They were asked to list up to four sources of information and to rate the usefulness of each source. Data was summed by source and degree of usefulness. The prime source of very useful or useful information was pamphlets (74% of 422 students mentioned pamphlets). School counsellors were good sources of information (52%); another source was college representatives (38%) and friends (35%). Teachers (1%), parents and siblings (17%), and relatives (6%) played minor roles in providing information about colleges. Students were asked the level of influence people had on their choice of college (Table 2). Analysis of variance was used to compare the relative influence of mothers, fathers, brothers, sisters, friends, teachers and counsellors. The most influential people were friends (mean 3.27); they were significantly more influential than mothers (3.03), fathers (2.86), and counsellors (2.83), who, in turn, were significantly more influential than teachers (2.41), sisters (1.65), and brothers (1.41) (F=8.73, p<.01). The pattern of influence for males was the same as that for the entire sample. However, the pattern altered slightly for female students. For them, friends (3.24) and mothers (3.15) were the most influential, while counsellors (2.92) and fathers (2.89) had less influence. 80 GEOFFREY B. ISHERWOOD TABLE 2 People Who Influence College Choice Level of Influence Moth 5 Key person Number of mentions (N=422) Fath Brot Sist Frnd Tchr Coun 67 64 28 41 57 23 57 4 A lot 105 91 31 43 138 71 95 3 Some 98 99 36 40 127 108 104 2 A little 79 71 34 29 61 75 57 1 No influence 71 85 153 139 39 144 104 0 No response 2 12 140 130 0 1 5 3.03 2.86 1.41 1.65 3.27 2.41 2.83 Mean Although older siblings were not perceived as influencing the college of first choice, a pattern emerged within families. If an older sibling attended a particular college, then their younger sibling was also likely to attend it: for college A, 77% of the time; college B, 56% of the time; college D, 68% of the time; college C, only 20% of the time. RQ2: Do personal characteristics of the student influence college choice? There was no indication the ethnic origin of students' parents was related to college choice. Only 32% of students' fathers and 33% of their mothers were born in Canada. Parents came from Italy (fathers 23%, mothers 21%), Greece (fathers 14%, mothers 14%), other European countries (fathers 10%, mothers 12%), Asia (fathers 7%, mothers 7%), the West Indies (fathers 4%, mothers 4%), and a scattering of other countries. Students in the anglophone school system formed a multi-ethnic community, and it was likely that many of their parents knew little about Quebec CEGEPs. There was no indication that either the socioeconomic status of parents or aspirations of students influenced college choice. In general, students' parents had modest means. Yet students had nearly significantly higher job aspirations than the current occupations of their fathers (Chi-square=71.4, p=.07). COLLEGE CHOICE 81 By contrast, high school performance as indicated by students' academic average and attitude to high school was related to college of first choice. Students who applied to colleges A, B, and D as first choice had a significantly higher high school academic average than students who applied to College C (AOV, F=4.41, p<.05). The same pattern was found for students' attitude to high school (AOV, F=3.91, p<.05). DISCUSSION College choice of students in the Quebec English-speaking school system can be understood in terms of the following model, reduced from Chapman's, and assuming that the program a student wants is available. College choice is determined by: —Student characteristics: academic average, attitude to school; —External influences: Primary Secondary Significant people A. Male students friends parents counsellors B. Female students friends counsellors mother father College characteristics (reputation, location) College efforts to communicate (pamphlets, recruiting visits to high schools by college representatives). College choice was influenced by student academic average in high school and by student attitude to high school. Better academic students, and those with more positive attitudes to high school sought colleges with higher academic reputations; they selected other colleges as ``second choice'' to ensure they would be accepted by at least one college. Students with weaker academic credentials sought entry to colleges ``open'' to them. Male high school graduates were primarily influenced in their choice by their friends in high school and their friends already at college; parents and school counsellors had less influence. Female high school students were primarily influenced by their friends and their mother. Fathers and counsellors had less influence on their choice of college. College characteristics that influenced choice were reputation and location (given program availability). As well, individual colleges influenced student choice through their pamphlets and visits to high schools by college representatives—visits by college staff members and visits by recent graduates of 82 GEOFFREY B. ISHERWOOD high schools. Not influencing choice in Quebec colleges, yet a part of Chapman's model, were parental background, family socioeconomic status, student job aspirations, teachers, siblings, college campus visits, or the cost of college. The cost factor might best be explained by noting that Quebec supports tuition through general taxation—there are few college costs for students. Of course, entering college meant a student would not likely enter the work force full-time. Attending college meant little or no earned income to the student or the student's family. We cannot tell how many students did not attend college, despite low costs, simply because their earned income was needed at home. The Chapman model remains useful in exploring issues related to college choice. Students in Quebec English-speaking high schools have roots around the world. As is often the case for recent immigrants to a country, adults have access only to occupations at the lower end of pay and status scales. These immigrants view the education system as a vehicle by which their children may gain a better place in life. Students who do well in Quebec high schools have high job aspirations—far higher that the positions held by their parents. The English-speaking college system in Quebec seems committed to supporting both parental hopes and student aspirations. Some colleges define their ``corporate mission'' as one of high standards and top-quality programs. Other colleges' stated mission is to be ``open''; that is, open to any student to come and try a program—and to succeed or not. Open- admission colleges have difficulty attracting high-calibre students because their reputation is poor. In an emerging multi-ethnic community, a community that relies on immigration to increase its human resources, colleges must be prepared to serve students linguistically limited, academically weak, or economically disadvantaged, as well as to serve the academically talented. Although not by design, Quebec English CEGEPs, seem to be meeting this challenge. NOTE 1 See Quebec's Bill 101 for a detailed statement of the language law in Quebec. Specific requirements for entry to French (Catholic) and English (Protestant) schools are detailed. REFERENCES Bourbeau, R. (1986). Canada: A linguistic profile. Ottawa: Minister of Supply and Services, 22–24. COLLEGE CHOICE 83 Chapman, David W. (1979). Improving information for student choice: The national effort. National ACAC Journal, 23 (1), 25–26. Chapman, David W. (1981). A model of college choice. Journal of Higher Education, 52 (5), 490–505. Edwards, Flora M. (1985). Can community colleges offer opportunity and excellence? Community, Technical and Junior College Journal, 56 (2), 41–42. El-Khawas, E. (1977). Better information for student choice: Report of the national task force. Washington, DC: American Association for Higher Learning. Isherwood, G.B., & Hammah, C.K. (1981). Home and school factors and the quality of school life in Canadian high schools. In Joyce L. Epstein (Ed.), The quality of school life (pp. 137–151). Toronto: D.C. Heath. Magnuson, Roger (1980). A brief history of Quebec education. Montreal: Harvest House. Montreal Catholic School Commission, Secteur Français (1988). Gain du français parlé sur le français maternel. Montreal: Montreal Catholic School Commission. Pascarella, E.T., Terenzini, P.T., & Wolfe, L.M. (1986). Orientation to college and freshman year persistence/withdrawal decisions. Journal of Higher Education, 57 (2), 155–175. Riley, Mathilda W. (1963). Sociological research (Volume 2). New York: Harper, Brace and Company. Walonic Associates (1987). StatPac. Minneapolis, MN: Walonic Associates. Geoffrey Isherwood is in Administration and Policy Studies in Education, McGill University, 3724 McTavish Street, Montreal, Quebec, H3A 1Y2. Limitations of Quantitative Methods for Research on Values in Sexuality Education Ronald W. Morris mcgill university Quantitative methods are rarely appropriate for research on values in sexuality education. Survey research cannot capture the richness, complexity, and depth of value questions. It pays no attention to levels of meaning, nuances in language, or lived values. Experimental research abstracts values, valuing, and sexuality education from their social, institutional, and relational contexts. Experimental designs are also undergirded by epistemological assumptions that are difficult to reconcile with research on values. Les méthodes quantitatives sont rarement utiles pour mener à bien des recherches sur les valeurs dans le domaine de l'éducation sexuelle. Les sondages ne peuvent capter la richesse, la complexité et la profondeur des questions ayant trait aux valeurs. Ils ne tiennent pas compte des niveaux de signification, des nuances de langage ou des valeurs vécues. La recherche expérimentale extrait les valeurs, les jugements de valeur et l'éducation sexuelle de leurs contextes sociaux, institutionnels ou relationnels. Elle repose en outre sur des hypothèses épistémologiques qu'il est difficile de concilier avec une recherche axée sur des valeurs. In the sixties and seventies sexuality education was inspired by a positivistic paradigm. Teachers, it was argued, should avoid values and teach only those ` `sexual facts which have been established as valid in the scientific community'' (Karmel, 1970, p. 95). In the eighties, enthusiasm for this approach began to subside. In Quebec, for example, the Ministry of Education's (1985) sexuality education program states that: ``because it is linked with the person and with human behaviour, because it is the subject of a moral position in every society, because it holds the attention of all religions, sex education may not be given without reference to values'' (p. 103). Recognizing that sexuality is more than a biological phenomenon, and that education is more than just information, sexuality 82 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) LIMITATIONS OF QUANTITATIVE METHODS 83 educators throughout North America are now pointing to the importance of values (Darling & Mabe, 1989; Desaulniers, 1982; Durand, 1985; Gilgun & Gordon, 1983; Gordon, 1981; Kenney & Orr, 1984; Lawlor, Morris, McKay, Purcell, & Comeau, 1990; Pegis, Gentles, & de Veber, 1986; Samson, 1979, 1981; Varcoe, 1988). As a result of this emphasis on values, sexuality education research has begun to emphasize value-related areas. Survey research has thrown new light on views and perceptions of value issues. Experimental studies have measured the impact of sexuality education programs on knowledge, behaviour and values. This paper raises issues about the appropriateness and adequacy of surveys and experimental studies for research on values in sexuality education. My first objective is to highlight the limitations of quantitative methods for research on values. Can a quantitative framework provide an adequate picture of values? Are its goals and procedures appropriate for research in this area? My second objective is to draw attention to methodological issues that have yet to be considered in sexuality education. Research in this area is almost exclusively quantitative. My third objective is to provide a context for further reflection and discussion about the relationship between quantitative and qualitative methods in educational research (for example, see Howe, 1988; Smith & Heshusius, 1986). But first it is important to clarify how I use the term ``values.'' ``Values” will refer to moral values. The term ``moral,'' as Daniel Maguire (1978) argues, ` `means human in the ought or normative sense'' (p. 114). When we say that rape is immoral, for example, ``we are saying that it is an inhuman activity; that it is not what humans ought to do in expressing their sexuality'' (p. 115). Sexual-moral values name what is most human about sexuality (Guindon, 1989). They are ideals or ``standards of goodness or rightness'' that serve as points of reference in evaluation, decision-making or action (Guindon, 1977, p. 22). Moral values also represent one's most fundamental convictions. They define ``what one will be, instead of merely what one will have'' (Maguire, 1978, p. 94). As affective appreciations of the good, moral values run deeper than attitudes (Samson, 1987). In addition to serving as points of reference, they also orient or give meaning to our evaluations, decisions and actions. As Maurice Friedman (1984) writes, real living values are ``touchstones of reality'' that we carry forward as ``life stances'' (p. 63). SURVEY RESEARCH AND QUESTIONNAIRES 83 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 84 RONALD W. MORRIS Although sexuality educators increasingly agree on the importance of values, some value-related issues remain highly controversial and complex. What specific values should underlie or inform a program in sexuality education? How should values and value-related areas be discussed in the classroom? Should a set of values be presented to students? If so, should these values be presented as guidelines or as absolutes that apply to all situations and issues? What should be the source of these values? Should sexuality education attempt solely to clarify personal values? Should teachers openly indicate to students their value preferences? My colleagues and I have designed survey research to study the views and perceptions of teachers, parents, and students in the Montreal area on these questions (Lawlor et al., 1990; Lawlor & Purcell, 1989a, 1989c; Morris, 1986; Purcell, Lawlor, & Morris, 1991). Other researchers have surveyed the views and attitudes of Ontario parents (Marsman & Herold, 1986). We have found that survey research can make important contributions to value-laden classroom practice. Although such research does not settle the issues outlined above, it serves as a context for further reflection and discussion. Knowing how different groups view and perceive these issues may also help reduce tensions, fears, and misunderstandings, legion in sexuality education. Our research to date, however, also indicates that surveys cannot penetrate values and value-related issues in all their richness and complexity. In the first phase of the research, we distributed a questionnaire to high school teachers of sexuality education (Morris, 1986). Some multiple-choice questions dealt with general issues in sexuality education, while others dealt specifically with values. The teachers in the study responded to the general questions on sexuality education without difficulty. They simply checked the appropriate answer. On questions dealing with values, however, most teachers specified on the questionnaire that they thought it necessary to qualify or to develop further their answers. The teachers emphasized that their responses would depend on the particular circumstances of the issue or question, and worried that statistical data would not catch the nuances and subtleties of their responses. These teachers were saying, in other words, that statistical analysis of value-rich data may easily become reductionistic. Questionnaires also provide researchers with little information about how respondents interpreted the questions. In the second phase of our research, we developed a questionnaire for parents (Lawlor & Purcell, 1989b; Purcell, Lawlor, & Morris, 1991). One question asked parents what source of values a sexuality education program should be based on. A typology developed for the LIMITATIONS OF QUANTITATIVE METHODS 85 study described: (1) a traditional Judeo-Christian approach based on a literal interpretation of the Bible; (2) a modern theological approach that sees sexuality as inherently good when expressed in a context of love and commitment; (3) practical guidelines drawn from medicine and psychology for good mental health, physical well-being and satisfactory interpersonal relationships; (4) principles of civil rights (such as a charter of human rights); (5) a humanistic philosophy (not based on religion) that emphasizes personal growth and relationships. From this question we learned that parents surveyed favoured (in decreasing order) practical guidelines drawn from medicine and psychology, principles of civil rights, a humanistic philosophy, and a modern theological approach. The traditional religious perspective was the least favoured source of values. The responses do not show what meaning parents gave to the question's language. This limitation is important in that values are deeply embedded in language. For example, how were the words ``traditional'' and ``modern'' understood? Some people will see the word ``traditional'' in the first type as pejorative, especially since it is followed by a value framework that is said to be ``modern.'' Modern, in our culture, usually implies ``more advanced'' or ` `better.'' For some people the word ``humanistic'' carries negative connotations. A questionnaire alone cannot probe these different layers of meaning. SURVEYS AND VALUE RANKING We identified the value priorities of high school students through value ranking (Lawlor & Purcell, 1989a, 1989c), a procedure also used in a Canada-wide study of adolescents (Bibby & Posterski, 1985) and in a study of the sexual values of Montreal adults (Samson, 1987). Studies using value ranking provide useful information. They may serve, for example, as a starting point for the development of a program that takes into account the value priorities of teachers, students, and parents. As Samson (1987) indicates, this instrument could, in larger comparative studies, identify values shared by different communities, cultures, or even countries. The problem with value ranking is that we do not know if the ranking shows what respondents value or what they believe should be valued. We do not know whether value priorities embody theoretical choices or whether they are lived values. Samson (1987) counters these possible criticisms by suggesting that ranking forces respondents to differentiate values that might lazily be 86 RONALD W. MORRIS perceived as identical, and that it best reveals the hierarchical structure of value thinking. Forcing the respondents clearly to differentiate and separate values, however, may easily become artificial and reductionistic. As Robb (1985) indicates, it assumes ``that values must be chosen at the expense of others'' (p. 215). Values like ``generosity,'' ``mutuality,'' and ``tenderness'' have many interrelated qualities. Forced ranking leaves little room for more nuanced or integrative/holistic thinking. Furthermore, consensus in ranking may be misleading. It is not unusual for individuals to give different meanings to the same value. Take a value like ` `mutuality,'' for example. One individual might understand mutuality as a form of intimacy that comes through fusion. For another, mutuality might mean ` `you scratch my back, and I'll scratch yours.'' A third respondent might see mutuality as a form of interindependence, that is, a form of intimacy or sharing where one's autonomy and uniqueness is both valued and celebrated (Kegan, 1982). Discerning differences and similarities in meaning-making is all the more critical in a pluralistic society where specific values are likely to have diverse meanings. It is also important when one is dealing with different age groups. According to psychologist Robert Kegan (1982), there is a developmental structure to the meaning people give to their values. Without more explicit emphasis on meanings underlying value choices, we have no sense of the degree of importance of values chosen, reasons why these values had priority, level or depth of valuing, or the extent to which rankings embody a value consensus. EXPERIMENTAL STUDIES AND ATTITUDINAL SCALES ON CLARITY OF VALUES Experimental studies have been designed to measure sexuality education programs' impact on knowledge, behaviour, and values. They have found that though school-based programs may successfully increase knowledge, they have no ``measurable impact'' on behaviour, and only a ``small impact” on values (Kirby, 1980, 1985; Pegis, Gentles, & de Veber, 1986). These findings provide useful information. First, they challenge the view that school-based programs lead to an increase in sexual activity (Richert, 1983; Schlafly, 1983). Second, by placing sexuality education in perspective, they may help alleviate the burden teachers are expected to carry, such as reducing the rates of teenage pregnancy and incidence of sexually transmitted diseases. The problem with experimental research is that it obscures the hidden LIMITATIONS OF QUANTITATIVE METHODS 87 curriculum, that is, the ways that sexual values are tacitly transmitted and learned through language, sex role expectations, the rules and regulations of a school, and the various social relationships of that school. Sexual values are shaped not only by formal classes on sexuality, but also by ``the interests and requirements of social institutions'' (Nelson, 1988, p. 26). Experimental research does not uncover the qualities of a value-rich sexuality education. What are the attitudes, experiences, processes, and relations that enhance sexual-moral valuing? What are the requirements of a meaningful and responsible education in human sexuality? These questions are not likely to show up in a framework that reduces sexuality education to an object in the school curriculum (Moran, 1983, 1987). The measure of values and valuing used in experimental studies is also problematic. To determine whether a sexuality education program affected students' values, students were given a pretest and posttest questionnaire (Kirby 1985; Parcel, Luttman, & Flaherty-Zonis, 1985). This questionnaire, consisting of attitudinal scales, asks students to indicate whether their sexual values are clear to them, whether it would be easy for them to describe their values to someone, and whether they get confused about their values in discussions about sexuality. Findings that suggest that a particular program did or did not affect perceptions of value clarity do not necessarily indicate that the program did or did not affect values. There is more to values and valuing than value clarity, especially when the instrument abstracts value clarification from its relational context. Are the respondents, for example, able to describe their values in ` `real-life'' discussions, particularly when partners in the discussion hold radically different values? If respondents are confused about their values, what might be the confusion's source? Does the confusion depend on which value-related question is being discussed? Does confusion arise more with certain conversational partners than with others (e.g., with parents versus peers)? What these instruments measure, in other words, are hypothetical perceptions of value clarity. They say very little about valuing itself. PHILOSOPHICAL DIFFICULTIES AND PRESUPPOSITIONS OF EXPERIMENTAL RESEARCH My criticism of experimental research will be controversial. The present research trend in sexuality education is toward more experimental studies (George & Behrendt, 1985). Only rigorously controlled experimental studies, it is argued, will produce ``hard data,'' ensure objectivity and neutrality, allow valid predictions, and establish causality (Jayne, 1986; Kelly, 1985, 1988; 88 RONALD W. MORRIS Kirby, 1985). I would respond that researchers in sexuality education have too readily and uncritically accepted the positivistic assumption that the methods and goals of the natural sciences can be applied to the human and social sciences. Notions like causality and prediction presuppose that there is such a thing as an objective human nature and society that follows formal laws akin to the laws of physical or material nature (Bernstein, 1985, pp. 8–20; Jagger, 1983, pp. 353–389). Epistemologically, this view rests on a correspondence theory of truth, which suggests that reality or truth is known ``out there'' and ``in itself,'' independent of the subject. What is real or true, according to this view, is known in the same way a mirror reflects objects (Rorty, 1979). Human beings, unlike physical or material phenomena, mediate their experience and understanding with meaning. Humans define themselves and interpret their experience through dialogue, symbols, rituals, and storytelling. A research method that strips sexuality, education and valuing of the ways in which persons construct meaning will have little to say about the ``specifically human aspects of sexual experience'' (Guindon, 1989, p. 8). Such a method perverts sexual language (Guindon, 1977; Lafortune, 1989), and will produce results ``inapplicable to real-life issues'' (Guindon, 1989, p. 9). From an ontological perspective, the view that experimental procedures will immunize the researcher against bias, ideology, and value judgments assumes that researchers can deliberately abstract themselves from their own history and meaning-making, and that there exists an ``archimedian point'' outside of history where one can be free of subjectivity, bias, and prejudice (Bernstein, 1985). It fails to recognize that data in the human and social sciences are mediated by the subjectivity, historical context, and language of both the researcher and the research subject. As Gadamer (1975) argues, ``the standpoint that is beyond any standpoint, a standpoint from which we could conceive its true identity, is a pure illusion'' (p. 339). We enter a world that is already pre-interpreted in language. Language mediates our values, and the place outside of language does not exist (Gadamer, 1976). From an ethical perspective, the commitment to value-neutrality in unacceptable because it leaves potentially insidious values unexamined. In Reflections on Gender and Science (1985), Keller argues that references to objective data as ``brute'' or ``hard'' (as opposed to ``soft'') reveal a masculinist bias. When we dub objective science as ``hard'' as opposed to the softer (that is, more subjective) branches of knowledge, we implicitly invoke a sexual metaphor, in which ``hard'' is of course masculine and ``soft'' feminine. A woman who thinks ``scientifically or objectively is thinking `like a man'; LIMITATIONS OF QUANTITATIVE METHODS 89 conversely, a man pursuing a nonrational argument is arguing `like a woman''' (p. 77). Ethicist James Nelson (1988) believes the prizing of hard over soft shows a ``phallic interpretation of reality'' (p. 90). Such an interpretation projects upon the world values about size, hardness, up-ness, linearity, and externality. These take precedence over values relating to the internal, ``the cyclical, the horizontal, and the soft'' (p. 90). The doctrine of value-freedom and neutrality played an important role in the history of the social sciences. Originally it liberated and emancipated (Gouldner, 1962). It ``established a breathing space'' and encouraged ``a temporary suspension of the moralizing reflexes built into the sociologist by his own society'' (p. 204). It does not follow however, that social sciences should abstain from all value-judgments, a position Barry (1979) calls ``a declaration of non-responsibility'' (p. 264). As Gouldner notes, the commitment to value-freedom and neutrality ``had a paradoxical potentiality: it might enable [persons] to make better value judgments rather than none'' (pp. 203– 204). It is ironic that sexuality education research favours a methodology whose language may perpetuate insidious sexual values. It is even more ironic that this methodology is modelled after an understanding of the natural sciences that is being rejected by researchers in the natural sciences. Recent developments in philosophy of science have shown how the issues discussed above also apply to the natural sciences. This work was spearheaded by Thomas Kuhn (1970), who outlined how scientific theories are based on traditions of research that condition the selection of research topics and interpretation of data. More recently, Mary Hesse (1980) has argued that data in both natural and social sciences are ``not detachable from theory, for what count as data are determined in light of some theoretical interpretation, and the facts themselves have to be reconstructed in light of interpretation'' (p. 171). According to Hesse, all science—whether natural or social—``is irreducibly metaphorical and inexact . . .'' (p. 172). In modern physics conviction is growing that the physicist not only observes the properties of atomic phenomena but participates in their creation. Rejecting the ``sharp Cartesian division between mind and matter, between the observer and the observed,'' physicists are asserting that ``we can never speak about nature without, at the same time, speaking about ourselves. . . . The patterns scientists observe in nature are intimately connected with the patterns of their mind; with their concepts, thoughts, and values'' (Capra, 1983, pp. 86– 87). From this perspective, the epistemological challenge of all research, and 90 RONALD W. MORRIS particularly of research on a value-rich area, is not a denial of subjectivity or ` `cool objectivity, but a clarity and honesty about where we begin'' (Zullo & Whitehead, 1983, p. 20). As sociologist Karl Manheim has said: A clear and explicit avowal of the implicit metaphysical presuppositions that underlie and make possible empirical knowledge will do more for the clarification and advancement of research than a verbal denial of the existence of these presuppositions accompanied by their surreptitious admission through the back door. (cited in Lyon, 1983, p. 181) Implicit value commitments are inaccessible to criticism and thereby subject to ideology. The quest for scientific objectivity, ``belies its own aims, subverting both the meaning and potential of objective inquiry'' (Keller, 1985, p. 12; see also Maguire, 1978, p. 180). Researchers must admit, clarify and criticize their own fundamental value presuppositions if their findings and conclusions are to become more objective. In other words, authentic subjectivity is genuine objectivity (Conn, 1981; Peshkin, 1988). CONCLUSION The current emphasis on values in sexuality education increases the need for research in this area. Researchers, however, must begin to consider possibilities other than surveys and experimental designs. Surveys' quantitative instruments can show only the external face of values, not the richness, depth and complexity of real living values. Experimental research reduces sexuality education to an object in the school curriculum, and reduces valuing to hypothetical perceptions of value clarity. Having adopted the goals and procedures of a science that deals with non-human objects and material phenomena, experimental research obscures the ways in which persons imbue their sexuality and valuing with meaning. Both surveys and experimental designs demean and decontextualize an area of human experience organically linked to meaning-making and irreducibly context dependent. As Mishler (1979) writes: Science is neither a cure nor a palliative for alienation. Nonetheless, it need not add to other alienating forces in the society. A better fit between our research methods and our phenomena of interest, the context dependence of human meaning and action, might be one step toward a nonalienating science. (p. 18) LIMITATIONS OF QUANTITATIVE METHODS 91 REFERENCES Barry, K. (1979). Female sexual slavery. New York: New York University Press. Bernstein, R.J. (1985). Beyond objectivism and relativism: Science, hermeneutics, and praxis. Philadelphia: University of Pennsylvania Press. Bibby, W., & Posterski, D.C. (1985). The emerging generation. Toronto: Irwin Publishing. Capra, F. (1983). The turning point: Science, society, and the rising culture. Toronto: Bantam Books. Conn, W. (1981). Conscience: Development and self-transcendence. Birmingham: Religious Education Press. Darling, C.A., & Mabe, A.R. (1989). Analyzing ethical issues in sexual relationships. Journal of Sex Education and Therapy, 15, 234–246. Desaulniers, M.-P. (1982). Values and sex education. Lumen Vitae, 38, 309–321. Durand, G. (1985). L'éducation sexuelle. Montreal: Éditions Fides. Friedman, M.S. (1984). Contemporary psychology: Revealing and obscuring the human. Pittsburgh: Duquesne University Press. Gadamer, H.-G. (1975). Truth and method (G. Barden & J. Cumming, Trans.). New York: Continuum. (Original work published 1960) Gadamer, H.-G. (1976). Philosophical hermeneutics (D.E. Linge, Trans.). Berkeley: University of California Press. George, K.D., & Behrendt, A.E. (1985). Research priorities in sex education. Journal of Sex Education and Therapy, 11 (1), 56–60. Gilgun, J., & Gordon, S. (1983). The role of values in sex education programs. Journal of Research and Development in Education, 16 (2), 27–33. Gordon, S. (1981). The case for a moral sex education in the schools. Journal of School Health, 51, 214–218. Gouldner, A.W. (1962). Anti-minotaur: The myth of value-free sociology. Social Problems, 9, 199–213. Guindon, A. (1977). The sexual language. Ottawa: University of Ottawa Press. Guindon, A. (1989). Mentioning the unmentionables. Compass, 7 (3), 6–10. Hesse, M. (1980). Revolutions and reconstructions in the philosophy of science. Brighton, England: Harvester Press. Howe, K.R. (1988). Against the quantitative-qualitative incompatibility thesis, or, dogmas die hard. Educational Researcher, 17 (8), 10–16. Jagger, A.M. (1983). Feminist politics and human nature. Sussex: Harvester Press. Jayne, C.E. (Ed.). (1986). Methodology in sex research [Special issue]. Journal of Sex Research, 22 (1). Karmel, L. (1970). Sex education, no; Sex information, yes. Phi Delta Kappan, 52, 95–96. Kegan, R. (1982). The evolving self: Problem and process in human development. 92 RONALD W. MORRIS Cambridge: Harvard University Press. Keller, E.F. (1985). Reflections on gender and science. New Haven: Yale University Press. Kelly, G.F. (Ed.). (1985). Sex education: Past, present, future [Special issue]. Journal of Sex Education and Therapy, 11 (1). Kelly, G.F. (Ed.). (1988). Sexuality today: The human perspective. Gruford, CT: Dushkin Publishing. LIMITATIONS OF QUANTITATIVE METHODS 93 Kenney, A., & Orr, M.T. (1984). Sex education: An overview of current programs, policies, and research. Phi Delta Kappan, 65, 491–496. Kirby, D. (1980). The effects of school sex education programs: A review of the literature. Journal of School Health, 50, 559–563. Kirby, D. (1985). The effects of selected sexuality education programs: Toward a more realistic view. Journal of Sex Education and Therapy, 11 (1), 28–37. Kuhn, T.S. (1970). The structure of scientific revolutions. Chicago: University of Chicago Press. Lafortune, M. (1989). Le psychologue pétrifié ou du modèle expérimental comme perversion du discours humain. Montreal: Louise Courteau. Lawlor, W., & Purcell, L. (1989a). A study of values and sex education in Montreal area English secondary schools. Unpublished manuscript, McGill University, Faculty of Education, Montreal. Lawlor, W., & Purcell, L. (1989b, May). Les valeurs familiales et l'éducation sexuelle à l'école. Paper presented at the 57th meeting of L'association canadienne-française pour l'avancement des sciences (ACFAS), Montreal. Lawlor, W., & Purcell, L. (1989c). Values and opinions about sex education among Montreal area English secondary school students. SIECCAN Journal, 4 (2), 26–33. Lawlor, W., Morris, R.W., McKay, A., Purcell, L.F., & Comeau, L. (1990 August/September). Human sexuality education and the search for values. SIECUS Report, 4–14. Lyon, D. (1983). Sociology and the human image. Leicester, England: InterVarsity Press. Maguire, D.C. (1978). The moral choice. New York: Doubleday. Marsman, J., & Herold, E.S. (1986). Attitudes towards sex education and values in sex education. Family Relations, 35, 357–361. Quebec, Ministry of Education. (1985). Sex education. Quebec: Gouvernement du Québec, Bibliothèque nationale du Québec. Mishler, E.G. (1979). Meaning in context: Is there any other kind? Harvard Educational Review, 49, 1–19. Moran, G. (1983). Education: Sexual and religious. In T. Nugent (Ed.), A challenge to love (pp. 159–173). New York: Crossroads Publishing. Moran, G. (1987). No ladder to the sky: Education and morality. San Francisco: Harper & Row. Morris, R.W. (1986). Integrating values in sex education. Journal of Sex Education and Therapy, 12 (2), 43–46. Nelson, J.B. (1988). The intimate connection: Male sexuality, masculine spirituality. Philadelphia: Westminster Press. Parcel, G.S., Luttman, D., & Flaherty-Zonis, C. (1985). Development and evaluation of a sex education curriculum for young adolescents. Journal of Sex 94 RONALD W. MORRIS Education and Therapy, 11 (1), 38–45. Pegis, J., Gentles, I., & de Veber, L.L. (1986). Sex education: A review of the literature from Canada, the United States, Britain and Sweden (Report no. 5). Toronto: Human Life Research Institute of Ottawa. Peshkin, A. (1988). In search of subjectivity—one's own. Educational Researcher, 17 (7), 17–22. Purcell, L., Lawlor, W., & Morris, R.W. (1991). Parental views and perceptions on values in sexuality education. Manuscript submitted for publication. LIMITATIONS OF QUANTITATIVE METHODS 95 Richert, C. (1983). Sex education scandal: How public schools promote promiscuity. In B. Leone & M.T. O'Neill (Eds.), Sexual values: Opposing viewpoints (pp. 54–58). St. Paul, MN: Greenhaven Press. Robb, C.S. (1985). A framework for feminist ethics. In B.H. Andolsen, C.E. Gudorf, & M.D. Pellauer (Eds.), Women's consciousness, women's conscience (pp. 211–234). San Francisco: Harper & Row. Rorty, R. (1979). Philosophy and the mirror of nature. Princeton, NJ: Princeton University Press. Samson, J.-M. (1979). Sex education and values: Is indoctrination avoidable? In D.B. Cochrane & M. Manley-Casimir (Eds.), Development of moral reasoning: Practical approaches (pp. 232–268). New York: Praeger. Samson, J.-M. (1981). L'éducation sexuelle à l'école. Montreal: Guérin. Samson, J.-M. (1987). Valeurs et valeurs sexuelles au Québec. In P. Fortin (Éd.), L'éthique à venir (pp. 453–488). Rimouski, PQ: Les Éditions du Groupe de Recherche Ethos, Université du Québec à Rimouski. Schlafly, P. (1983). What's wrong with sex education. In B. Leone & M.T. O'Neill (Eds.), Sexual values: Opposing viewpoints (pp. 44–49). St. Paul, MN: Greenhaven Press. Smith, J.K., & Heshusius, L. (1986). Closing down the conversation: The end of the quantitative-qualitative debate among educational researchers. Educational Researcher, 15 (1), 4–12. Varcoe, C.J. (1988). Sex education: Schools and values. In A.R. Cavaliere & J.M. Riggs (Eds.), Selected topics in human sexuality (pp. 161–171). Lanham: University Press of America. Zullo, J., & Whitehead, J. (1983). The Christian body and homosexual maturing. In R. Nugent (Ed.), A challenge to love (pp. 20–37). New York: Crossroads Publishing. Ronald W. Morris is in the Department of Religion and Philosophy in Education, McGill University, 3700 McTavish Street, Montreal, Quebec, H3A 1Y2. Profiles of the Abilities of Preschool Aged Children in an Isolated Northern Community* Patricia M. Canning mount saint vincent university This preliminary investigation into cognitive abilities, social competence, and home environments of preschool children living in a northern Labrador community was a first step in the development of an appropriate preschool program. The preschool was intended to help alleviate a pattern of school failure in the community. Eighteen children ranging in age from 34 to 46 months performed on standardized tests of language and cognitive ability at levels suggesting they were at risk of school failure. Even within this sample there is a subgroup who are at even greater risk and who are not receiving any early intervention. On a test of social competence both groups scored above the normative mean. These findings have implications for preschool intervention and for early schooling. Cette recherche préliminaire axée sur les aptitudes intellectuelles, les aptitudes sociales et les milieux familiaux des enfants d'âge préscolaire d'une communauté du nord du Labrador a constitué la première étape de l'élaboration d'un programme préscolaire visant à contribuer à la diminution des échecs scolaires au sein de cette communauté. Les résultats des tests mesurant le langage et les aptitudes intellectuelles de 18 enfants âgés de 34 à 46 mois ont donné à penser que ces derniers risquaient d'échouer à l'école. Un sous-groupe encore plus susceptible d'échouer ne fait l'objet d'aucune intervention précoce. Dans un test portant sur les aptitudes sociales, les deux groupes ont obtenu des résultats supérieurs à la moyenne. Ces observations peuvent servir en matière d'intervention et d'éducation préscolaires. This study grew out of a project to establish a preschool program in a northern * Preparation of this article was supported by a grant from the Social Sciences and Humanities Research Council of Canada. The author thanks the women and children who participated in this study, and R.R. Orr and M.E. Lyon for their comments and suggestions. 93 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 94 PATRICIA M. CANNING Labrador community. I hoped through studies of cognitive abilities, social competence, and home environments to explain why the community's preschool-aged children typically go on to fail in elementary school and how that pattern of failure might be broken. Research over the past 25 years indicates that preschool programs designed to improve intellectual and language development can help children from poor and disadvantaged environments to function in and benefit from public education (Bryant & Ramey, 1987; Lazar, Darlington, Murray, Royce & Snipper, 1982; Ramey & Campbell, 1984; Wright, 1983). This evidence comes predominantly from inner-city areas in the United States. Although social and educational problems in northern communities are well documented, there have been few interventions with, and little research on young children in such communities. Taylor and Skanes' (1975, 1976, 1977) studies of the cognitive and linguistic characteristics of elementary school-aged children in Labrador communities found that these children perform below the norm on standardized tests of intelligence and language. The effects of low socioeconomic status on children's performance is similar in northern, isolated communities and in southern, poor, inner-city areas in the United States and Canada. There are no similar published studies of preschool-aged children from isolated northern Canadian communities. The objective of this preliminary investigation was to gather information on the abilities of preschool aged children in this community. This information is essential if appropriate measures are to be taken to help prevent educational failure. METHOD Subjects This study's sample consisted of 18 preschool-aged children comprising approximately 90 percent of all children aged between 2 and 4 living in the community. The children ranged in age from 34 months to 46 months, with a mean age of 39.22 months. There were 8 males and 10 females. Of 18 children, 10 subsequently enrolled in the preschool program and 8 did not. There was no significant difference between the ages of those who enrolled in the preschool and those who did not. Preschool programs are voluntary, and controlling or matching the two groups was thus impossible. However, the results display interesting post-hoc differences. 94 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) PROFILES OF ABILITIES 95 The investigator and a community worker visited all families in the community with preschool-aged children to inform them of the preschool program and to request their assistance with preliminary data gathering. All parents reported prior knowledge of the preschool program. All parents whose children participated in the study spoke English. Only one preschool child, a male, was not of Inuit and/or Settler (that is, descendants of people of European origin who have lived in Labrador for approximately a century) origin. All children spoke English in the home and heard older persons speak Innukituk. Community The preschool centre was in a relatively large coastal community in Labrador, accessible by boat and plane during summer, and otherwise by plane. Television arrived in the late 1970s. The population includes Inuit, Settlers and outside transient workers (for example, teachers, police, hospital and government employees). It has tripled since the resettlement programs of the 1950s and the closure in the 1960s of small settlements mainly to the north. The transition from small group to large community living has been difficult. The community now has high rates of unemployment, alcoholism, family violence, teenage suicides, and low rates of school completion. Measures The McCarthy Scales of Children's Abilities (McCarthy, 1972) provide a differentiated profile of children's abilities and indicate a general level of intellectual functioning. Its relatively recent standardization included children from different races and different socioeconomic strata. The Peabody Picture Vocabulary Test–Revised (Dunn & Dunn, 1981) is widely used in intervention research. It primarily measures receptive vocabulary ability. The Vineland Social Maturity Scale (Doll, 1965) is a standardized developmental schedule that measures level of social competence. During early childhood the scale indicates self-help skills. The most recent edition was not available at the time of the initial testing. The High Scope Home Environment Scale (High Scope Educational Research Foundation, 1974) asks parents about the home setting and parentchild interactions. It assesses a number of areas, including mother's involvement, mother's teaching, child's participation in household tasks, playthings available, and books in the home. 96 PATRICIA M. CANNING Procedure The children were tested before the beginning of the preschool year. All children took the Peabody Picture Vocabulary Test–Revised (PPVT–R) and the McCarthy Scales of Children's Abilities (MSCA). The mothers completed the Vineland Social Maturity Scale (VSMS) and the High Scope Home Environment Scale (HES). Two experienced psychometrists tested all children in a quiet area of the preschool centre. Both psychometrists were female and assessed an equal number of males and females. RESULTS Table 1 shows the means and standard deviations on the McCarthy Scales of Children's Abilities, the PPVT–R, and the VSMS. TABLE 1 Means and Standard Deviations for the MSCA (General Cognitive Index), PPVT–R, and VSMS and the MSCA Subscales X S.D. MSCA 64.44 13.81 PPVT–R 74.22 16.05 118.11 21.13 Verbal 40.17 7.45 Perceptual-Performance 45.44 8.80 Quantitative 38.39 6.28 Memory 42.17 7.70 Motor 50.83 7.63 VSMS MSCA Subscales 97 PROFILES OF ABILITIES Scores on both the MSCA and the PPVT–R were significantly below the normative mean (that is, 100). The mean score on the VSMS, however, was above the mean for the normative sample. Scores on the MSCA General Cognitive Index (GCI) were higher than those on the PPVT–R. Table 1 displays the means and standard deviations for the subscales of the MSCA. The Verbal Scale and other scale performances did not differ significantly. Initial variability of data distinguished children who, subsequent to testing, enrolled in preschool (group P) and those who did not (group NP). Table 2 shows the means and standard deviations for the two groups on the MSCA, PPVT–R, and VSMS. TABLE 2 Means, Standard Deviations and t Values for the MSCA, PPVT–R and VSMS Group P Group NP X S.D. MSCA 91.30 8.36 PPVT–R 81.00 124.00 VSMS X S.D. t 75.88 14.47 2.66* 13.78 67.50 14.70 2.29* 18.88 111.00 21.40 1.29 *p<.05 T-tests indicated that group P had higher mean scores on the PPVT–R and the MSCA than group NP. Although children registered for preschool scored significantly higher on the PPVT–R than those not enrolled, the former were still below average compared to the normative sample. Both groups' performance on the MSCA was closer to the normative mean than was their performance on the PPVT–R. Group P's MSCA mean score was within the average range, although their performance on the PPVT–R was 98 PATRICIA M. CANNING more than 1 S.D. below the normative mean. Group NP's performance on the MSCA was within 1 S.D. of the normative mean, but their performance on the PPVT–R was more than 2 S.D.s below the normative mean. Both groups' performance on the VSMS was above the normative mean, with group P's performance more than 1 S.D. above. Table 3 presents the means, standard deviations and t values for the five subscales of the MSCA. Of the three subscales included in the General Cognitive Index—Verbal, Perceptual-Performance, and Quantitative—group P's scores on the Verbal and Quantitative scales were significantly higher than those of group NP. Of the supplementary scales—Memory and Motor—group P's performance on the Memory scale was significantly higher than group NP's. Group NP's mean discrepancy in level of performance on the Verbal and Perceptual-Performance subscales was significantly greater than that of group P. This indicates relatively lower verbal skills rather than more- developed perceptual abilities in the NP Group. The Home Environment Scale provided some very preliminary information about these children's home environments. Both groups of mothers responded similarly to items about objects available in the home, household tasks that the child helps mother with, and hours of television watched. The few differences that did emerge (on items such as child is read to almost every day, mother and child talk about feelings) may indicate that parents of group P children interact more verbally with their children and this may account for higher verbal scores. TABLE 3 Means, Standard Deviations and t Values for MSCA Subscales Group P X Verbal Group NP S.D. X S.D. t 44.80 4.00 34.37 6.67 3.88** Performance 47.50 7.47 42.87 9.61 1.08 Quantitative 43.10 5.82 32.50 12.97 2.18* Perceptual- 99 PROFILES OF ABILITIES Memory 46.10 5.05 37.25 7.61 2.78* Motor 53.60 5.59 47.38 8.40 1.26 *p<.05 **p<.01 TABLE 4 Description of Sample X S.D. Father's occupation Clerk 2 Fisherman/fish plant worker 1 3 Labourer 1 On government assistance 1 Technician 2 Government service 2 Self-employed 1 Mother's occupation Clerk 2 Fisherwoman/fish plant worker 1 On government assistance 2 Homemaker Technician Nurse's aide 2 2 1 Secretary Teacher's aide 3 2 2 1 100 PATRICIA M. CANNING Additional information about the families of these children was obtained by examining parents' occupations (see Table 4). Of the five fathers of group NP, three were fishermen or fish plant workers, one was a labourer, and one was unemployed. No father of a child enrolled in preschool was unemployed and seven of the ten fathers have blue- or white-collar jobs. There was no substantial difference between the two groups in the numbers of mothers working outside the home, nor did the mothers' occupations differ between groups. DISCUSSION Initial testing showed that these children's performance on both the MSCA and the PPVT–R is significantly below the norm for those tests. These data show that these children will be at a cognitive disadvantage when they begin school. Performance on the measure of social competence, however, indicated that these children have well-developed social skills. Results on cognitive and language measures are similar to those reported for older children living in that area (Taylor & Skanes, 1975). However, these children's performance on the receptive vocabulary measure (X_=74) is somewhat higher than that Taylor and Skanes (1976) reported for school- aged children in northern communities (X_between 58 and 61). These differences may be accounted for by the use of the revised PPVT or by the approximately 10-year gap between these studies, during which time there have been changes (for instance, the introduction of television in the late 1970s) that may facilitate vocabulary development. The inferior performance of the older school-aged children in the Taylor and Skanes study suggests that those who begin school at a disadvantage become more disadvantaged with age—a finding that would underscore the importance of early intervention. The relationship between this receptive language measure and a more comprehensive measure of intellectual functioning is similar for the preschool children in this study and for older children studied by Taylor and Skanes. That is, both groups of children scored lower on the Peabody Picture Vocabulary Test than on the measure of general cognitive functioning. Lower PPVT than Stanford-Binet scores have been reported by Zigler, Abelson and Seitz (1973) in ``disadvantaged'' ethnic minority children in the United States. While the lower PPVT–R scores obtained may therefore indicate that some items are inappropriate for children living in isolated communities, generally the PPVT–R does correlate with school achievement (Sattler, 1988). PROFILES OF ABILITIES 101 Educational materials used in northern schools are developed for Southern children; consequently, depressed scores on this measure of language skill may point to the need for educational materials better suited to such communities. Performance on the Verbal Scale of the MSCA did not differ significantly from performance on the other subscales. This result contrasts with data reported for older children in similar communities. Taylor and Skanes (1975) reported significantly higher scores on performance than on verbal scales on the Wechsler Preschool and Primary Scale of Intelligence (Wechsler, 1967) for school-aged children. The present findings may be a result of these children being at an age when there is less differentiation between separate abilities. Although all children require early intervention services, these data point to a sub-group at even greater risk of future school difficulties. On measures of both general cognitive functioning and receptive language, the children who did not subsequently enroll in preschool (group NP) performed significantly more poorly than those who enrolled in preschool (group P). That is, all children in the study are below average on the receptive language measure and on the comprehensive measure of general cognitive functioning, but the children who have greatest need for preschool experience are not receiving it. The two groups' performance on the VSMS did not differ significantly; the mean scores were above average for both groups. Preschool children's mothers have previously been found to report higher levels of competence than the children's teachers (Kaplan & Alatishe, 1976), which may be a factor in these results. Perhaps in isolated, northern communities a more traditional involvement of children in daily living is encouraged; as well, the size and nature of the community (no strangers, no cars) might allow more rapid development of social skills than would a more modern community (Skolnick, 1976). These results are also consistent with the independence and autonomy Native parents encourage in young children (Guemple, 1979; McKenzie & Hudson, 1985). Preschool and school programs should take into account the well-developed social competence of these children. As indicated earlier, there were no obvious demographic differences between the two groups. Information from the Home Environment Scale indicated that the homes of group NP children contain the same number of toys and other playthings as did the homes of the preschool group. However, the two groups' home backgrounds differ on several individual measures, including language experience. The higher verbal scores of the preschool group may be attributable to greater mother-child verbal interaction as reported by the mothers. Perhaps these parents are more likely to value such 102 PATRICIA M. CANNING interactions and recognize that advantages might stem from experiences during the early years. The fathers of children in group P work in skilled trades or white-collar jobs. Although wages of group P families may be higher than those of group NP families, attendance at preschool is thought not to be solely determined by financial considerations. Some of the families in the preschool group were receiving subsidies, and at the time of this study, additional subsidies were available. There was no evidence that mothers who did not enroll their children in preschool were less interested in their children than those who did, and both groups' mothers were equally willing to participate in this study. Recommendations Bryant and Ramey (1987) found that without some sort of systematic intervention during the preschool years, a significant proportion of children considered to be environmentally at risk are not likely to develop their full intellectual potential. These data indicate that children in isolated northern communities are at risk of later school failure and might benefit from early intervention. A variety of early intervention models can potentially influence development. This being so, preventive intervention for children at risk of educational failure should be tailored to the lifestyles and experiences of both the children and their families (Slaughter, 1983). Bronfenbrenner (1977) argues that an ecological approach generally is, and ought to be, more effective than intervention aimed at the child alone. Children's intellectual development improves most when children attend day care and families receive parent training or other services, regardless of variations in well-developed educational methods and practices (Bryant & Ramey, 1987). Services additional to the preschool program might be extended to all families through information services, parent get-togethers, book and toy lending libraries, mother-child groups, and drop in centres. Parents might be more willing or able to meet their children's needs if the program also meets their needs as adults and as parents. The community I studied has included an extra year of schooling between kindergarten and grade 1. However, simply staying in school longer will not help these children. Rather, the first school year could be modelled after preschool instead of a typical kindergarten class. These children would benefit from a variety of experiences and the language stimulation that is more easily encouraged in a preschool-like environment which emphasizes experimentation, exploration, and social interaction. PROFILES OF ABILITIES 103 CONCLUSIONS The children in this community are at risk of school failure. There is a sub-group—those who do not attend preschool—who are at even greater risk than the group as a whole and who do not receive any early intervention. I hope my data will help educators reexamine and revise educational practices to help these children and to build on their competences rather than on their weaknesses. Since research supports the value of preschool for children from lower socioeconomic families (Bryant & Ramey, 1987; Wright, 1985) it is important to identify factors that determine whether a parent enrolls a child. There have been many studies of disadvantaged preschool children who receive early intervention. Such studies often do not include information on children's levels of functioning when they start the program, or comparisons with those who do not attend (Department of Health and Human Services, 1985). Yet, the level of a child's functioning at the start of any intervention may affect whether she/he benefits from such a program and may be an important consideration for designing effective intervention. This study highlights the need for further research in this area. REFERENCES Bronfenbrenner, U. (1977). Toward an experimental ecology of human development. American Psychologist, 32, 513–531. Bryant, D.M., & Ramey, C.T. (1987). An analysis of the effectiveness of early intervention programs for environmentally at-risk children. In M. Guralnick & F. Bennett (Eds.), The effectiveness of early intervention for at-risk and handicapped children (pp. 33–78). New York: Academic Press. Department of Health and Human Services (1985). The impact of head start on children, families and communities (Publication number OHDS 85-31193). Washington, DC: U.S. Government Printing Office. Doll, L.A. (1965). Vineland Social Maturity Scale. Circle Pines, MN: American Guidance Service. Dunn, L.M., & Dunn, L.M. (1981). Peabody Picture Vocabulary Test–Revised. Circle Pines, MN: American Guidance Service. Guemple, L. (1979). Inuit socialization: A study of children as social actors in an Eskimo community. In K. Ishwaran (Ed.), Childhood and adolescence in Canada (pp. 39–53). Toronto: McGraw-Hill Ryerson. High Scope Educational Research Foundation (1974). High Scope Home Environment Scale. Ypsilanti, MI: High Scope Press. Kaplan, H.E., & Alatishe, M. (1976). Comparison of ratings by mothers and 104 PATRICIA M. CANNING teachers on preschool children using the Vineland Social Maturity Scale. Psychology in the Schools, 13, 27–28. Lazar, I., Darlington, R., Murray, H., Royce, J., & Snipper, A. (1982). Lasting effects of early education: A report from the Consortium for Longitudinal Studies (Monograph 47). PLACE: Society for Research in Child Development. McCarthy, D.A. (1972). Manual for the McCarthy Scales of Children's Abilities. New York: Psychological Corporation. /McKenzie, B., & Hudson, P. (1985). Native children, child welfare, and the colonization of native people. In K.L. Levitt & B. Wharf (Eds.), The challenge of child welfare (pp. 125–141). Vancouver, BC: UBC Press. Ramey, C.T., & Campbell, F.A. (1984). Preventive education for high-risk children: Cognitive consequences of the Carolina Abecedarian Project. American Journal of Mental Deficiency, 88, 515–523. Sattler, J. M. (1988). Assessment of children (3rd ed.). San Diego, CA: Author. Skolnick, A. (Ed.). (1976). Rethinking childhood: Perspectives on development and society. Toronto: Little, Brown. Slaughter, D.T. (1983). Early intervention and its effects on maternal and child development (Monograph 48). PLACE: Society for Research in Child Development. Taylor, L.J., & Skanes, G.R. (1975). Psycholinguistic abilities of children in isolated communities in Labrador. Canadian Journal of Behavioral Science, 7 (1), 30–39. Taylor, L.J., & Skanes, G.R. (1976). Cognitive abilities of Inuit and white children from similar environments. Canadian Journal of Behavioral Science, 8 (1), 1–8. Taylor, L.J., & Skanes, G.R. (1977). A cross-cultural examination of some of Jensen's hypotheses. Canadian Journal of Behavioral Science, 9 (4), 315–322. Wechsler, D. (1967). Manual for the Wechsler Preschool and Primary Scale of Intelligence. New York: Psychological Corporation. Wright, M.J. (1983). Compensatory education in the preschool. Ypsilanti, MI: High Scope Press. Zigler, E., Abelson, W.D., & Seitz, V. (1973). Motivational factors in the performance of economically disadvantaged children on the Peabody Picture Vocabulary Test. Child Development, 44, 294–303. Patricia M. Canning is in the Department of Child Study, Mount Saint Vincent University, 166 Bedford Highway, Halifax, Nova Scotia, B3M 2J6. Differences in the Given Names of Good and Poor Readers Jo-Ann L. Stewart Sidney J. Segalowitz brock university Of the many researchers who have investigated the psychological importance of names (Dion, 1985; Garwood, 1976; Hargreaves, Coleman, & Sluckin, 1983; McDavid & Harari, 1966), we are especially interested in those working on the relationship between student names and the school performance of those students. Busse and Seraydarian (1978), for example, found significant correlations between students' first name desirability, as rated by peers, and their school readiness, IQ, and school achievement. Harari and McDavid (1973) required teachers to evaluate fifth-grade essays previously rated by researchers as of equal quality. Writers were identified only by first name. The essays of authors whose names were associated with positive stereotypes were evaluated as being of a higher quality. One interpretation of these findings is that teachers' stereotypic attitudes influence the performance of the children under their care (Rosenthal & Jacobson, 1968). However, the question remains where these stereotypes come from and whether names are partly responsible for these differences. Possible factors differentiating the names include likability (Hargreaves, Colman, & Sluckin, 1983), commonality (Dion, 1985), traditionality (Dion, 1983b), and socio-economic status (Zweigenhaft, 1977). The present study derives from another investigation (Segalowitz & Wagner, 1989) on reading skills in grade 9 students, where we noticed anecdotally that individuals unfamiliar with the subjects or their names could nonetheless consistently differentiate the list of given names of the remedial group from that of the controls. One could not predict the group membership of a single name with accuracy, but each list as a block could be accurately assigned. METHOD Fifty-three teachers from six elementary schools rated their attitudes toward names on four different dimensions. Seven-point ratings were obtained for the 103 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) 104 RESEARCH NOTE / NOTE DE RECHERCHE commonality of each name (1=very common name, 7=very uncommon name), the traditionality (1=very traditional name, 7=very untraditional name) of each name and how well teachers liked the names (1=dislike the name strongly, 7=like the name strongly). We used a three-point scale to decide at which socio-economic level teachers thought the names were most common (1=lower level, 3=upper level). Names on the questionnaire were counter-balanced on gender and on reading ability group as determined in the other study. The names came from a list of 15-year-old secondary students from another school board in Southern Ontario, including persons referred for remedial reading classes and a control group many of whom were in an enrichment program. There were 40 names in the original lists of good and poor readers, with 20 appearing in both. After dropping names that occurred in both lists, we had 18 names in the good reading group and 14 names in the poor reading group. Names in the good reading list were Aaron, Cheryl, Kristie, Andrew, Rachel, Ryan, Stephanie, Shannon, Tanya, Kevin, Jennifer, Christopher, Jessica, Elisa, Sarah, Scott, Todd, and Suzanne. Names in the poor reading list were James, Kyle, Kathleen, Christine, George, Craig, Melanie, Wendy, Angie, William, Bill, Lana, Steven, and Jenn. Procedure Teachers were told that if they chose to complete the questionnaire, they were to rate the scales according to the names only. They were directed to try not to think of people or students they knew who shared the same names as those disclosed in the questionnaire. RESULTS Each subject's ratings were arranged to produce one rating on each scale for each of the two name groups. A paired samples t-test was then performed on each of the four scales. The groups did not differ on commonality or likability (t(41)=1.35 and t(41)=1.28, respectively). However, the names of the good readers were rated as significantly less traditional (M=3.688) than those of the poor readers (M=3.0786), t(41)=6.33, p<.0001 and higher in socio-economic level (M=2.1247) than the poor readers (M=2.0471), t(39)=2.37, p<.025. Two subjects had not completed the SES scale. The above analysis treats the group of names as a fixed effect, conforming 104 CANADIAN JOURNAL OF EDUCATION 16:1 (1991) RESEARCH NOTE / NOTE DE RECHERCHE 105 to informal observations described in our introduction. We could, however, view the names as subjects, that is, see whether the average rating per name would differentiate the reading levels, treating names as a random variable (Hays, 1988). Analyzed this way, the two groups were not different on any of the four scales (t=.84, 1.27, .42, and 1.11 for the likability, traditionality, commonality, and SES scales respectively, df=30). This conforms with our intuition that individual names were too variable to permit consistent individual allocation. DISCUSSION This study has confirmed earlier research into the relationship between teachers' attitudes toward student names and the students' school performance (Harari and McDavid, 1973). In our sample, groups with names rated by elementary school teachers as less traditional (for example, Elisa, Aaron) also performed well in academic subjects. Similarly, the group referred for remedial reading had traditional names (for example, William, Kathleen). The groups were similarly differentiated on perceived SES level. We emphasize the distinction of academic achievement because groups did not differ on non-verbal IQ as measured by the IPAT (t(27)=1.92, p<.05, IPAT quotient=104 and 96 for good and poor readers, respectively) nor the Digit Span (t(29)=1.06). As Harari and McDavid (1973) suggest, teachers may stereotype first names of students and have higher expectations for those students with names associated with positive stereotypes. For this group in our study whose parents belong more or less to the so-called baby-boom generation, upwardly mobile parents may have chosen less traditional names for their children in the mid-1970s. The traditional association between SES and reading skills may have mediated the effects. The critical link tying this effect to the reading skill of our secondary students—that non-traditional names were more popular in upper SES groups in the 1970s—may not hold any more, as parental naming patterns may have changed, but it may take some time before this change affects teachers' attitudes. REFERENCES Busse, T.V., & Seraydarian, L. (1978). The relationships between first name desirability and school readiness, IQ, and school achievement. Psychology in the Schools, 15, 297–302. Dion, K.L. (1985). Sex differences in desirability of first names: Another non- 106 RESEARCH NOTE / NOTE DE RECHERCHE conscious sexist bias? Academic Psychology Bulletin, 7, 287–298. Garwood, S.G. (1976). First-name stereotypes as a factor in self-concept and school achievement. Journal of Educational Psychology, 68, 482–487. Harari, H., & McDavid, J.W. (1973). Name stereotypes and teachers' expectations. Journal of Educational Psychology, 65, 222–225. Hargreaves, D.J., Colman, A.M., & Sluckin, W. (1983). The attractiveness of names. Human Relations, 36, 393–402. Hays, W.L. (1988). Statistics. New York: Holt, Rinehart and Winston. McDavid, J.W., & Harari, H. (1966). Stereotyping of names and popularity in grade-school children. Child Development, 37, 453–459. Rosenthal, R., & Jacobson, L. (1968). Pygmalion in the classroom: Teacher expectation and pupils' intellectual development. New York: Holt, Rinehart and Winston. Segalowitz, S.J., & Wagner, W.J. (1989). Frontal lobe EEG correlates of memory and thinking in adolescence. Canadian Psychology, 30, 498. Zweigenhaft, R.L. (1977). The other side of unusual first names. Journal of Social Psychology, 103, 291–302. Book Reviews / Recensions L'enseignement secondaire public des frères éducateurs (1920–1970): utopie et modernité par Paul-André Turcotte Montréal: les Éditions Bellarmin, 1988. 220 pages. RECENSION PAR BERNARD LEFEBVRE, UNIVERSITÉ DU QUÉBEC À MONTRÉAL Dans cet ouvrage, qui se situe à la confluence de la sociologie et de l'histoire, l'auteur démontre que le projet d'éducation secondaire prôné par les religieux au cours d'une période de cinquante ans, soit de 1920 à 1970, a revêtu un caractère utopique vu l'opposition des autorités réglementaires, soit le Comité catholique du Conseil de l'Instruction publique. Comme fils de l'Église, les frères se soumettaient à la hiérarchie catholique mais se démarquaient et parfois même s'opposaient aux décisions prises par elle en éducation. Cette protestation ne prenait pas les voies de la révolte mais plutôt celles de discours proposant de façon répétitive des orientations pratiques à l'égard de l'enseignement secondaire public où ils s'étaient immiscés en prolongement de leur mission première. Les communautés enseignantes nourrissaient un idéal de vie ascétique et de services à rendre à la société en guise de témoignages chrétiens. Possédant leur originalité propre et leur structure distincte, elles tenaient à se distinguer des clercs. Ceux-ci, héritiers des Jésuites, se réservaient la part noble de l'enseignement secondaire classique; ceux-là se voyaient confiner à l'héritage lasallien, les petites écoles pour les enfants du peuple. Personne ne refusait aux frères éducateurs le droit d'occuper le champ de l'enseignement secondaire. Il fallait que cette activité soit alors seulement une extension du primaire qui pouvait ne prendre que le nom de supérieur. On évitait, de cette façon, toute compétition avec les collèges classiques et on maintenait une distance respectable entre l'éducation populaire sans espoir d'accéder aux études supérieures et celle de la bourgeoisie destinée à préparer les futurs chefs de file et à renouveler les cadres du clergé. Les frères préconisaient donc un cours post-primaire de quatre et même de cinq ans tourné vers le modèle nord-américain des high schools, tandis que le 106 REVUE CANADIENNE DE L'ÉDUCATION 16:1 (1991) BOOK REVIEWS / RECENSIONS 107 département de l'Instruction publique, établissant un cours de trois ans, s'inspirait davantage de la France et de la Suisse. La peur de calquer les États-Unis créait un niveau d'études voué à l'impasse, vu la quasi-impossibilité de poursuivre ensuite des études universitaires. Pourtant, à la même époque, les autorités québécoises de l'éducation autorisaient les anglo-catholiques et les anglo-protestants à organiser un cours secondaire public et gratuit donnant accès à l'université. En 1929, malgré que l'expérience durait depuis huit ans dans plusieurs de leurs institutions, les congrégations masculines durent renoncer à un enseignement secondaire long et gratuit. Ils ne se dévouèrent pas moins à implanter un cours primaire supérieur tronqué de ce qui aurait assuré le relèvement de la classe laborieuse, évitant ainsi toute concurrence avec les humanités classiques et ne menaçant pas le prestige social de la bourgeoisie. En 1939–1940, il est intéressant de constater la constance dans le discours des frères enseignants, si l'on se réfère au mémoire présenté au cardinal Rodrigue Villeneuve. Il y était proposé un enseignement pré-universitaire de treize années: six ans de primaire, quatre ans de cours moyen et trois ou quatre ans de cours secondaire; il n'était plus question d'un cours supérieur. Ce long document demeura lettre morte. Cependant, obéissant au besoin des jeunes, les frères enseignants mirent sur pied des classes de 12e année spéciale ou de 13e année, qui étaient en sujet, des classes de sciences et de génie. Voilà comment ces éducateurs ont pu permettre à des fils du petit peuple de franchir les marches de l'université. En 1960, ces classes spéciales comptaient 4 000 inscriptions. En plus de leur demander beaucoup sur le plan de l'enseignement, les paroisses exigeaient des congrégations disponibilité et dévouement. L'action catholique, les enfants de choeur et les associations pieuses requéraient les services de ces enseignants-éducateurs. Les loisirs, la culture et l'action économique les interpelaient de toutes parts. Exploités par tous et brimés dans leur sphère particulière d'action, il n'est pas surprenant que les défections se multiplièrent dans les communautés de frères enseignants. Au moment de la réforme scolaire, qui se déroula de 1960 à 1970, la classe ascendante des fonctionnaires gouvernementaux et, principalement, celle du ministère de l'Éducation nouvellement créé, éliminait la présence institutionnelle des congrégations tout en retenant, dans une large mesure, leur proposition d'enseignement secondaire. La réforme scolaire emprunta à l'utopie de la formation scientifique prônée par les frères, mais ne retint pas l'ensemble de leur projet. L'intégration des religieux à l'intérieur de la Centrale des enseignants du Québec eut finalement 107 REVUE CANADIENNE DE L'ÉDUCATION 16:1 (1991) 108 BOOK REVIEWS / RECENSIONS pour effet de neutraliser leur spécificité particulière d'intervention. Où réussir à sauvegarder leur action religieuse et éducative sinon dans des pays lointains comme le Burundi? Certains religieux quittèrent alors les écoles pour se livrer à la pastorale, ici où à l'étranger, se mettant ainsi clairement sous les ordres du clergé qu'ils avaient toujours fidèlement assisté dans le service des autels. Le dossier du rôle joué par les frères éducateurs du Québec prend donc, en quelque sorte, l'allure d'un rendez-vous manqué. Considérées comme mineures dans la hiérarchie ecclésiale, les congrégations d'hommes avaient accepté la mission de prodiguer cette oeuvre de charité spirituelle qui consistait en l'éducation chrétienne dans les écoles primaires. Les besoins de la jeunesse en milieu urbain et industriel de même qu'un certain nationalisme pragmatique ont incité ces enseignants à développer un cours secondaire s'inspirant du modèle américain et conduisant à l'université. Cette formation scientifique frappait de plein fouet l'idéologie nationaliste et culturelle des clercs qui avaient le monopole de l'enseignement secondaire long dispensé dans les collèges classiques sous leur contrôle exclusif. Comme les frères s'installaient dans un territoire déjà occupé, l'Église accepta de partager ce domaine sans se départir des avantages qui y étaient déjà rattachés. Les congréganistes durent par conséquent se contenter de dispenser un cours prolongeant le primaire. Ce fut alors l'impasse puisque leur cours secondaire ne conduisait pas à l'entrée dans les facultés universitaires. Défiant le système scolaire officiel et bravant presque le haut clergé, les frères ont toutefois maintenu une année préparatoire au génie et au commerce avec le support de la population. N'ayant été que tolérées et manquant d'assises juridiques, leurs institutions, même dans le secteur des commissions scolaires, furent finalement emportées par le raz de marée de la réforme scolaire. Jouissant de peu de prestige, l'État, qui devenait maître d'oeuvre en créant le ministère de l'Éducation, ne tenait d'ailleurs pas à prolonger l'existence d'institutions qu'il considérait comme passéistes. L'éclatement des effectifs scolaires et la diminution en nombre des enseignants religieux ont, à toutes fins pratiques, rendu illusoire le développement d'écoles secondaires sous la direction de ces-derniers. Cependant, en dépit des embûches rencontrées, les frères éducateurs ont oeuvré à l'égalité des chances en éducation et ont apporté une réponse au souci d'offrir des études aussi prolongées que possible. La démocratisation scolaire réalisée par les frères éducateurs a, pour ainsi dire, précédé les discours sur ce sujet. BOOK REVIEWS / RECENSIONS 109 Learning Works: Searching for Organizational Futures: A Tribute to Eric Trist Edited by Susan Wright & David Morley Toronto: The ABL Group, Faculty of Environmental Studies, York University, 1989. 286 pages. REVIEWED BY THERESA RICHARDSON, UNIVERSITY OF VICTORIA This collection of fifteen essays by the ABL (Adapted By Learning) group at York University is held together by the ideas and life work of Eric Trist, to whom the book is dedicated. Trist is more than an intellectual mentor: the volume is pervaded by Trist's charismatic leadership and his utopian legacy. British born and Cambridge educated, Trist is a major figure in twentiethcentury behavioral scientists' rationalization of organizational management. Trist's studies in the 1940s and 1950s pioneered ``action research'' and ` `field-based studies.'' It is a cornerstone of Trist's ``radical humanism'' to improve the ``quality of working life'' (QWL). Trist brought QWL to the United States and Canada in the late 1960s and 1970s. In 1977 Trist was appointed to York University, where he did ``organizational ecology'' and ` `community-based'' Canadian research. He retired in 1985. Trist's paradigm along with his specialized jargon has filtered into research agendas in a variety of fields including education. Many of Trist's themes are now popular in educational circles. An underlying premise of these essays is that unprecedented change has overwhelmed society. Similar assumptions contributed to the pressure to reform educational institutions in the 1980s. Trist's thesis is also grounded in an individualistic ``learner- centred'' ideology stressing ``efficiency.'' Trist helped to create the image of dramatic, disruptive, and global change, and individual-oriented solutions. The first five essays describe a ``vortex'' of ` `radical,'' ``systematic,'' ``socio-technical'' transformation that has overtaken ``all of humanity.'' This aspect of Trist's paradigm parallels Alvin Toffler's vision of the cataclysmic transformation in Future Shock and The Third Wave, Ivan Illich's attack on the inadequacy of education in Deschooling Society, and T. Peters and R. Waterman's In Search of Excellence as an adaptation of business strategies to solve social problems. Trist also incorporates elements of nostalgia and sentimentalism reminiscent of E.F. Schumacher's Small is Beautiful. 110 BOOK REVIEWS / RECENSIONS Trist argues that ``turbulent'' life conditions necessitate a humanitarian revolution that becomes a form of ``field psychiatry'' (p. 169). Traditional ` `humanitarian'' concerns about social justice and human dignity are to be redressed by reducing psychological stress. Discrepancies in the distribution of wealth and power in society are not necessarily problematic. Social progress is linked to cybernetic or ecological variables where ``field'' or ``community'' problems are caused by pervasive non-human forces. Trist's group-therapy-like solutions depersonalize control at both the corporate and governmental levels. Since the primary cause of global disorder, the ``vortex,'' is separate from any social power base and beyond human intervention, individual security is reestablished on an interactional and affective level stressing freedom and choice, with projects that incorporate the language of ``collaboration,'' ` `negotiated order,'' ``democratization,'' ``participation,'' ``empowerment,'' and ` `power sharing.'' This translates into ``self-design,'' ``self-regulation,'' ` `self-respect,'' and ``self-esteem'' (see Clarkson, pp. 18–20). Building positive self-concepts takes precedence over equitable distribution of political power, decision-making authority, or control over primary resources or services. This form of ``radicalism'' potentially comes full circle toward a staunch, if masked, conservatism. Although at least one essay (by Cunningham and White) in this collection directly considers implementation problems past and future (p. 21), none of the essays' authors questions or deviates from Trist's ideological premises, even if the results are sometimes contradictory. One author reconciles the dilemma inherent in advocating democratic participation, designing change ` `with'' people versus the inherent authoritarian nature of designing change ``for' ' people, by stating that: ```For' people and `with' people are not necessarily opposites; they may more properly be considered complementary'' (p. 42). By contrast to the traditional twentieth-century scientific management thesis of Frederick Taylor (1911), who incorporated a ``machine'' metaphor into organization theory, the authors in this collection use a ``holographic'' metaphor for the new paradigm where ``people complement machines'' (Morgan, p. 58; Craig, p. 69). Holography is, of course, the three-dimensional photography of light, form without substance. The most stimulating and least ideological essays are those in the midsection of the collection, which descriptively report research on ``organizational ecologies'' or ``meta-problems.'' Examples include studies on ``community-based'' change in Nova Scotia; learning from Native peoples; the separation of work and family life; international development; and provincial health care in Ontario. The final section returns to the problem of justifying BOOK REVIEWS / RECENSIONS 111 and coordinating Trist's paradigm with a focus on ``action learning.'' Trist's legacy may deny democratic voice even as it paradoxically claims to enhance such voice. It allows for the consolidation of power and status by minimizing the viability of politically volatile interests. The cybernetic model of change, which is incorporated into Trist's paradigm, redefines social contexts in ways that make the issues appear either benign or beyond control. Social control is incorporated into the design, where the process of change eliminates the need for external sanctions or policing. Such closed systems are concerned ``as much with the recipe's potential for self-development as . . . with the recipe itself'' (Ramirez, pp. 250–252). Trist's legacy is partly the transformation of the post-industrial rationale for distribution of resources in highly developed capitalistic societies. Resources are distributed among labour and management in order to control the means of production and to decide who will ultimately benefit most by the advance of capital. But they are also distributed so as to control the distribution of public power and knowledge in the allocation of life chances. This is an arena in which education is particularly vulnerable. Educators would do well to read this book carefully and above all critically. Personally, I cannot help but think that there is a difference between doing something ``for'' someone, and doing it ``with'' them. Choice of Schools in Six Nations by Charles L. Glenn Washington, DC: U.S. Government Printing Office, 1989. 238 pages. REVIEWED BY JOHN J. BERGEN, UNIVERSITY OF ALBERTA Since 1971 Glenn has directed equity and urban education programs in the Massachusetts Department of Education. His office has promoted assignment of students to schools so as to respect parents' choices as far as possible, yet prevent racial and social segregation of children and creation of elite schools. The object was to allow public schools to become better. Parents' and teachers' satisfaction increased as they worked together to define the mission of their chosen school. Glenn investigated parental choice in schools in twenty-five countries; he reports here on choices in France, Holland, Belgium, Britain, Canada, and 112 BOOK REVIEWS / RECENSIONS West Germany. Glenn reviews the historical development of each country's educational system in political and social contexts. In France, for example, a continual controversy centred on whether or not the child belonged to the State, particularly in educational matters. When in 1984 the National Assembly was about to cut subsidies to private schools, more than a million supporters of Catholic, Jewish and nonconfessional private schools protested. The contesting of the state school's universalism partly explains most parents' insistence on their right to choose schools for reasons other than religious. Parental choice is most prevalent in Holland, where after a 70-year struggle, the freedom to choose was constitutionalized in 1917. About 70 percent of all children attend private schools. Though most schools are secular, the majority of parents insist on freedom of choice. In Belgium the amended Constitution of 1970 guarantees ``the rights and freedoms of ideological and philosophical minorities'' (p. 81) to operate private schools subsidized by the national government. Upon demand, ``neutral'' or government schools are required also to provide Catholic, Protestant, Islamic, or Jewish religious instruction. The 1988 Education Act of Britain's Thatcher Government gave parents additional power and allowed schools greater autonomy. In Britain, education choice on religious grounds has long been traditional. As in Holland and Belgium, more recent immigrants, such as Sikhs and Moslems, for whom religious identity is of great importance, have also been granted publicly funded schools. The 1949 national constitution of West Germany gave parents the right to choose private schools generously subsidized by each of its states (Länder). Nevertheless, only about 5 percent of students are enrolled in private schools. However, parental choice is limited in another sense, since children's admission to one of the three levels of secondary education is decided by primary schools' assessments of children's early achievements. Choices in Canada vary much more than in the other five nations. As in West Germany, in Canada the organization and control of schools is under provincial jurisdiction. Unlike that of West Germany, Canada's constitution does not consider the issue of equity or the right of parents to choose private schools for their children. In contrast to the other five nations, public support for private schools is subject to individual provincial policies. Private schools in Canada as in Holland are under the supervision of education ministries; but unlike in Holland, in the five Canadian provinces providing financial subsidy, no private schools receive public funding equal to that of public schools. In provinces where religious content had been a feature of school programs BOOK REVIEWS / RECENSIONS 113 before 1867, the Constitution accommodated it in separate school systems for Catholic and Protestant minority groups. Religious schooling took place in private schools in the other provinces. When public schools were deemed Protestant, many Jewish parents chose private schools for their children; when the secular character of public schools increased, some non-Catholic parents chose private schools for religious reasons, while other parents chose them for pedagogical reasons, and a few chose elite private schools to provide their children with enhanced educational and social advantages. More recently, some school boards have provided for bilingual schools to serve the needs of new immigrant families in particular. An uncomplicated and simple educational setting would have one public school system with one language for instruction, only one religious persuasion (or only one secular perspective), one pedagogy, one set of political and social values, one culture, and one system of financing—in fact, a state monopoly on education. In a totalitarian state such a monopoly may be imposed. In a democratic nation, political parties, ideological groups and professional educators may seek to impose their views but can succeed only to the extent that such views are acceptable to the majority of electors. Glenn quotes Mark Holmes' observation that ``those who believe in the state's right to impose an education on every child are not normally willing to embrace any education that any state may actually choose to promulgate” (p. 182). In a totalitarian state, favourable choices become available to parents in the political elite, and in a democratic state, to parents with sufficient wealth to choose private schools, or desirable public schools by residing in select neighbourhoods. Glenn concludes that none of the national systems he has examined has ``sought to put parent choice to work in the interest of more rather than less equity and integration'' (p. 211). Glenn's concern is not directed to choice between public and private schools, but rather, within reasonable limitations, to providing all parents a choice among public schools. Glenn believes ``educational policy must find ways to respect and accommodate the desire of parents for schooling that reflects their own convictions . . . without segregation and without abandoning our common goals as a society . . .'' (p. 216). He believes educational effectiveness can be increased by permitting individual schools to become clearer about their mission, by reducing the level of conflict and increasing societal support by providing parents with a choice, and by stimulating diversity and thus permitting ``a better match of the individual child with an appropriate educational setting.'' He also suggests the quality of schools might be improved if they had to compete for students, competition that could force closure of ineffective schools (p. 218). 114 BOOK REVIEWS / RECENSIONS The benefit of examining other school systems may be less in finding models for one's own use, but rather, by comparison and contrast, in obtaining a new perspective on one's own initiatives, and consequently in arriving at creative ways to improve a system that has evolved in a particular setting. For this very reason, Canadian educators and administrators of school systems might profit by reading Glenn's book, a valuable and insightful contribution to the educational literature. Philosophical Issues in Education: An Introduction By Cornell Hamm New York: Falmer Press, 1989. 184 pages. REVIEWED BY ROMULO MAGSINO, UNIVERSITY OF MANITOBA Single-author full-length books on philosophy of education as a discipline by Canada-based scholars are rare. Only Robin Barrow's, Clive Beck's, and Michael J.B. Jackson's volumes come to mind. Hamm's Philosophical Issues in Education is thus something of an event for philosophers of education in this country. Judicious coverage of the main topics in the discipline is the strongest feature of Philosophical Issues. Ten chapters discuss the nature of philosophy of education, the use of metaphors in education, the concept of education itself, and the nature of knowledge and its place in the curriculum. They deal also with learning, indoctrination, discipline, punishment, freedom, authority, and student-teacher relationships, and with the justification of education. The book also exemplifies good conceptual analysis, reasoning, and argumentation. It is an exercise in philosophizing about education and should prove valuable for philosophy of education professors. However, the arguments are not as current as they might be. Apart from the chapter on moral education, most chapters refer to works published largely before 1975. It would have been interesting, for example, to see Hamm's response to Elmer Thiessen's views on indoctrination, or his reaction to R.S. Peters' change of mind about the concept of education. Peters maintained that knowledge and understanding of various kinds distinguish an educated person. However, by 1980 he had acknowledged this narrow conception to be contestable. He now admits education may equally be BOOK REVIEWS / RECENSIONS 115 bound up with aesthetic and religious awareness (not forms of knowledge), with moral attitudes, actions, and habits, and with emotional predispositions. To equate education with the development of knowledge is to impose an unwarrantable restriction on it. Hamm's discussion of intellectualism and moral education anticipates the problems Peters now thinks fatal. Although Peters now says he earlier overestimated the contribution of the cognitive to emotional and moral life, Hamm remains convinced of that contribution. He claims that to have understood a poem is at the same time to have been able to respond to it emotionally. Yet, if he uses understood cognitively rather than attitudinally, his claim is disputable. Hamm should consider Peters' recent view that the development of reason is an aim of education rather than part of the concept itself, and that conceptual analysis has been too self-contained an exercise. As Peters sees it, conceptual criteria are established from a term's usage without much attention to its socio-historical background and to its presuppositions about human nature. His suggestion that philosophers pursue the concept and justification of education by stressing social values and human nature may prove troublesome for Hamm, given his intellectualism and discounting of human nature. Hamm is largely successful in his simplification of the ``London Line'' on education. Outstanding as Peters' Ethics and Education and Paul Hirst's Knowledge and the Curriculum may be, they are beyond the grasp of most education students. Hamm's volume is more than welcome as a sustained but intelligible elaboration and examination of an important perspective in the philosophy of education. The elaboration is aided by sound organization and sequencing of topics. A number of chapters, particularly chapter 8 (on interpersonal and social issues) and chapter 9 (on moral education) are well done. Nonetheless Hamm makes contentious points. (i) His use of Dewey to exemplify educational metaphors is surprising since the latter did not compare education with growth. Rather, Dewey declared education to be growth and outlined its appropriate features. The Deweyan idea of growth should be evaluated not as a metaphor but as a definition or conception. (ii) Hamm's claim that aim always refers to something instrumental is belied by such a common statement as ``My aim in life is happiness.'' (iii) His view that mastery is a criterion of learning is questionable; people validly make observations about someone's learning badly, inadequately, or haphazardly and about one's learning being spotty, shallow, or defective. (iv) Hamm's view that the concept of teaching in its task sense includes the learner's readiness goes against common usage. Thousands of teachers in many schools are said to teach 116 BOOK REVIEWS / RECENSIONS students unprepared to learn the content taught to them. Are these teachers not really teaching? Isn't readiness more a feature of intelligent teaching rather than just teaching? (v) Hamm's distinction between developing into and becoming a person may be defensible. However, his equating the former with education is disputable. Given that he requires both breadth and depth of learning, it sounds like few, if any, ever really develop as persons even in advanced western societies. Many people falling short of Hamm's stipulation but regarding themselves as full persons may take issue with him. Hamm's volume offers stimulus for thought and reflection. A reviewer could only wish the volume longer, so the author could mount fuller discussion of contentious issues settled rather quickly in the present text. Achieving Extraordinary Ends: An Essay on Creativity By Sharon Bailin Dordrecht/Lancaster/Boston: Kluwer Academic Publishers, 1988. x+141 pages. REVIEWED BY LEROI B. DANIELS, UNIVERSITY OF BRITISH COLUMBIA This is a fine book. It offers a systematic, exhaustive, and devastating critique of the view of creativity most popular in education today. This received view can be summarized as follows: (1) creative works display radical discontinuity with previous products; (2) there can be no objective criteria within existing disciplines for the evaluation of creative works; (3) creative efforts are identified with a single creative ``process,'' common to all instances of creativity, and hence found only in people with special creative abilities which enable this process to occur—and not in creative products themselves; (4) creative acts are rule-breaking acts and education in disciplines is therefore likely to constrain creativity; (5) the imaginative leaps necessary for creativity are logically different from acts involving normal mental ``skills.'' As I see it, and as Bailin shows, two interconnected notions are central to this received view: that the presence of a ``single unique skill or process” defines creativity; concomitantly, that to say that someone is creative is not to comment on the nature of any product of that person. According to this view, being creative necessarily involves deployment of a specific skill, or, in even worse jargon, a single ``process.'' This ability- BOOK REVIEWS / RECENSIONS 117 cum-happening is supposedly the same no matter in which field it is deployed. This view implies that one needn't know anything to be creative; indeed, knowing a lot about a field is likely to get in the way of being creative. The view is aptly satirized in one of my favourite cartoons, in which A is talking to B about C and comments, ``C is very creative; she just doesn't know anything.'' This conception of creativity stems largely from certain conceptual confusions among numbers of psychologists, artists, scientists and, alas, educators. Bailin shows (where ``shows'' means she gets it right) that this view is profoundly and, for educators, dangerously mistaken, and she offers an alternative conception—one far more fruitful both theoretically and for practising educators. Bailin's conception denies all five assumptions listed above. Her account is based on two central insights, one derived from the way many verbs operate, the other from her astute understanding of what disciplines are, whether scientific or aesthetic, As she puts it, even in their ordinary operation, disciplines are ``not static, fixed bodies of information and procedures. Rather, they are traditions of knowledge and inquiry which are open-ended and dynamic. . . . There are open questions, ongoing debates, and areas of controversy within every discipline, and these furnish the arena for evolution and change'' (p. 125). What, in brief, the latter implies is that education in established forms of knowledge is the way to creativity—indeed, the only way. With a wealth of examples from the arts and the sciences, Bailin demonstrates what makes the cartoon funny. Contrary to the popular view, creativity concerns not one or more so-called ``processes''; rather it is about products that are or help us achieve extraordinary ends. We are taught in grammar classes that verbs are ``action'' words. Well, some are, but many are not. This can be seen by contrasting ``racing'' with either ``winning'' or ``losing.'' Racing is an activity in which we can take part; and a race endures through time. Winning and losing, however, occur at a point in time; they are not activities, but outcomes or upshots of activities. Being creative is like winning; indeed, it is winning where losing is the most likely outcome. That's why being creative is so highly prized. This is not a long book (133 pages plus a good index); it is exceptionally clearly written. I mention these because although it is of great utility to any scholar concerned with creativity, Achieving Extraordinary Ends is also very appropriate as a text for university students. Finally, the book not only offers a powerful argument for a conception of creativity but is itself an exemplar of what Bailin deals with. It is a creative use of philosophy to clarify an important concept. 118 BOOK REVIEWS / RECENSIONS Who's Afraid of Liberal Education?/Qui a peur de l'éducation générale? Edited by Caroline Andrew and Steen B. Esbensen. University of Ottawa Press, 1989. 128 pages. REVIEWED BY ALEXANDER D. GREGOR Who's Afraid of Liberal Education? is subtitled ``Proceedings of the National Conference organized by the Social Science Federation of Canada and held in Ottawa, Ontario, September 30th–October 1st, 1988,'' and has the strengths and weaknesses characteristic of the ``proceedings'' genre. Because editors of proceedings are hostage to what authors have earlier chosen to say at a conference, individual papers will necessarily vary in quality and focus, and will not always prove amenable to union in a seamless web. One can but hope that such a collection has sufficient individual pieces that merit reading in their own right. By this criterion the book under review does provide a useful addition to the literature. The editors' hope for the conference, that it would point to solutions, is not obviously realized. The papers represent an interesting but not comprehensively representative sample of perspectives, from ``practitioners''— individuals who have mounted liberal arts initiatives in their institutions—to critics and ``consumers'' within and without the academy. The ``without'' are limited to a single lonely businessman, Jon K. Grant, President and CEO of the Quaker Oats Company of Canada, and Lise Bissonette, a remarkably influential commentator on Canadian higher education. The practitioners include Adrian Marriage, Chair of the Arts I program at the University of British Columbia, and Peter Morgan, who at the time of the conference was involved in a similar venture at the University of Toronto. The ``inside critics'' include Claude Hamal, President of the Université du Québec, Howard C. Clark, President of Dalhousie University, and Charles Karelis, formerly Special Assistant to the U.S. Secretary of Education and Director of the Fund for the Improvement of Post-Secondary Education, of that Department. The editors had hoped for a ``pragmatic'' book—one that could point the way to workable programs—and although the practitioners' experiments are interesting enough, they are overshadowed by the critics' pessimism. Ironically, the goals of the book founder on the very high quality of the contri- BOOK REVIEWS / RECENSIONS 119 butors; as a collection of papers, the contents are rather overwhelmed by their ` `bookends''—a powerful introduction and conclusion provided by Gilles Paquet and Michael Skolnik, respectively. In their very different ways, these two contributors provide cohesive, lucid, and conceptually sophisticated overviews of the issues and problems of liberal education—but not extensive grounds for optimism that much can be done in substantive remedy within the contemporary university. (And the discussion is essentially limited to that institution.) At one level, a sufficient exercise of will might overcome the problems identified: lack of institutional leadership in fostering and articulating a sense of purpose and direction (Clark); a lack of clarity in what is actually meant by liberal education (Paquet); a whimsical nostalgia for an education that never existed. (Bissonette, in a characteristically incisive chapter, laments her fate in becoming standard bearer for the ``new classicism,'' something she had intended as a critical device, not a solution.) At a second level of difficulty are problems endemic to the university as institution: what Paquet would classify as ``wicked problems.'' These problems rest on the entrenched self-interest of the professoriate, and on the fact that genuine change would be inconvenient and discomfiting. Karelis is able to show from the American experience universities' ability to accommodate the types of change being discussed, but still to let business go on as usual. The Canadian situation, it is noted, is further complicated by the absence of liberal arts colleges whose very raison d'être is the undergraduate curriculum. In consequence, we are faced, as Marriage points out, with the fact that ``If the thing is to be done at all it will have to be done in a place where they don't especially want it to be done.'' At the third and most perplexing level of difficulty, we encounter the proposal, carefully crafted by both Paquet and Skolnik, that the university by its very nature may be incompatible with the goals of liberal education. The nature of the contemporary university, and the paradigm of knowledge and scholarship on which it is based, may well be antithetical to the integrative purposes of liberal education. (And, it is further argued, the efforts to find a form of liberal education that ``fits'' the character of university scholarship—as, for example, the experiments with fostering ``content-neutral skills''—are really in the end liberal education in rubric only.) The concluding chapter leaves us, then, with the disturbing question of whether the loss of liberal education is the price we have to pay for the model of institution we have chosen (and perhaps need). But another conclusion remains as well, and may be the source of some continuing optimism. Almost all the writers agree that we just do not yet know 120 BOOK REVIEWS / RECENSIONS enough about what is being done and what can be done. As Paquet most aptly notes, this issue cannot be resolved a priori. Who's Afraid of Liberal Education? leaves us with an excellent agenda for the long overdue task of approaching the question a posteriori. We gain from this book a good sense of the theoretical framework in which the issues must be posed, and the specific information that must be sought. If liberal education has the importance the associated rhetoric suggests, that research agenda could not be more timely. Publications reçues Angers, P. et Bouchard, C. (1990). L'activité éducative: le jugement, les valeurs et l'action. Saint-Laurent, Québec: Les Éditions Bellarmin. 236 pages. Berthelot, J. (1990). Apprendre à vivre ensemble: immigration, société et éducation. Québec: Centrale de l'enseignement du Québec. 185 pages. Cloutier, R. et Renaud, A. (1990). Psychologie de l'enfant. Boucherville, Québec: Gaëtan Morin éditeur. 773 pages. Contandriopaulos, A.P., Champagne, F., Potvin, L., Denis, J.L. et Boyle, P. (1990). Savoir préparer une recherche: la définir, la structurer, la financer. Montréal: Les Presses de l'Université de Montréal. 197 pages. De Grandmont, N. (1989). Pédagogie du jeu: jouer pour apprendre. Montréal: Les Éditions Logiques. 213 pages. Dumont, F. et Martin, Y. (dir.). (1990). L'éducation: 25 ans plus tard! et après? Québec: Institut québecois de recherche sur la culture. 432 pages. Giasson, J. (1990). La compréhension en lecture. Boucherville, Québec: Gaëtan Morin éditeur. 255 pages. Leduc, A. (1990). La direction des mémoires et des thèses. Brossard, Québec: Éditions Behaviora. 95 pages. Morissette, D. et Gingras, M. (1990). Enseigner des attitudes: planifier, intervenir et évaluer. Québec: Les Presses de l'Université Laval. 193 pages. Ouellet, A. (1990). Guide du chercheur: quelques éléments du zen dans l'approche holistique. Boucherville, Québec: Gaëtan Morin Éditeur. 190 pages. Poisson, Y. (1990). La recherche qualitative en éducation. Sillery, Québec: Presses de l'Université du Québec. 174 pages.