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ISSN 1746-5648
Qualitative Research in
Organizations and
Management
An International Journal
www.emeraldinsight.com
Qualitative Research in
Organizations and
Management:
ISSN 1746-5648
Volume 2
Number 3
2007
An International Journal
Special issue on case studies
Guest Editors
Bill Lee, Paul M. Collier and John Cullen
167
168
GUEST EDITORIAL
Reflections on the use of case studies in the accounting,
management and organizational disciplines
Bill Lee, Paul M. Collier and John Cullen _____________________________
169
179
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CONTENTS
CONTENTS
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Qualitative Research in
Organizations and Management:
An International Journal
Vol. 2 No. 3, 2007
p. 168
# Emerald Group Publishing Limited
1746-5648
Dr Ardha Danieli
University of Warwick, UK
Dr Joanne Duberley
University of Birmingham, UK
Dr David Fryer
University of Stirling, UK
Professor Yiannis Gabriel
University of London, London, UK
Professor Evert Gummesson
Stockholm University, Sweden
Professor Chris Humphrey
University of Manchester, UK
Professor Antonio Mutti
University of Pavia, Italy
Anna Buehring
Manchester Metropolitan University, UK
The current issue and full text archive of this journal is available at
www.emeraldinsight.com/1746-5648.htm
GUEST EDITORIAL
Guest editorial
169
Bill Lee
University of Sheffield Management School, Sheffield, UK
Paul M. Collier
Monash University, Clayton, Australia, and
John Cullen
University of Sheffield Management School, Sheffield, UK
Abstract
Purpose The purpose of this paper is to explain the background to the special issue and to provide
an introduction to the articles on case studies included in the issue.
Design/methodology/approach The paper uses a review of developments in both the qualitative
tradition and case studies in management research to provide a backdrop for the articles that are
included in the issue. The articles discuss: the merits of unique cases and singular forms of evidence
within a single case; the comparability of case studies with tools in other areas; and methods of
theorising from case studies.
Findings The merits of case studies have often been understated. The articles in this issue
highlight a broader variety of uses of case study research than is commonly recognized.
Originality/value This guest editorial introduces the papers in this issue, which may be read
either as individual contributions that have merits per se, or as part of a collection that this
introductory paper helps to knit together.
Keywords Case studies, Qualitative research
Paper type General review
Introduction
Case studies have emerged as an increasingly important qualitative approach in many
management disciplines (Gummesson, 2000, p. 88; Scapens, 2004), despite the
continued dominance of survey methods and statistical rationales of research in
different branches of management, including finance (Bessant et al., 2003, p. 55) and
marketing (Gummesson, 2000, p. 90). The capacity of case studies to draw from
different data sources, to allow several levels of simultaneous analysis of the dynamics
in a single setting (Eisenhardt, 1989, p. 534) creates the potential for a richer
understanding of organizational phenomena than can be conveyed by statistical
analysis.
The richness of the data also makes empirically researched case studies extremely
important in teaching. Mahoney (1997) suggested that although academic teaching and
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research are often seen as joined yet divergent interests and pursuits, the two are
inextricably intertwined. This requirement to go beyond just publishing research in
academic journals received support from both Humphrey (2001) and Roberts (2003).
Humphrey argued that if we want to effect real accounting practice reform, then we
must disseminate our research further than just publishing in academic journals. This
point is further emphasised in Roberts (2003) report on the review of research
assessment that stresses the need to disseminate research beyond the academic peer
group. Cullen et al. (2004) provided an illustration of the use of an empirically
researched and narratively constructed case study that facilitated a powerful interface
between research, would-be practitioners and practice itself. The richness of the
material as a representation of organisational reality is important here and the strength
of doing qualitative field studies (Ahrens and Chapman, 2006, p. 832) are that they
avoid thinning out the data beyond the point where it loses its specificity and becomes
bland. Empirically researched case studies therefore have the potential to contribute
to the development of both theory and practice.
The capacity of empirical case studies to complement a range of epistemological
traditions, including interpretivist approaches, has been recognized by a number of
authors. For example, Boland and Pondy (1983, p. 223) suggest that research through
case studies involves an implicit rejection of some perspectives that rely on an
objectively knowable, empirically verifiable reality. Despite such understanding,
there is a danger that the dominance of a particular epistemological tradition namely
positivism in research more generally, has skewed case studies development and
usage. To some extent, this may be seen by looking at the pattern of development of
the literature on case studies. For example, Lee (1999, p. 15) reports that in a review of
articles that employed qualitative research and were published in leading American
journals, Yins (1984, 1989, 2003) series of editions of his book on case studies featured
prominently. Whatever the merits of Yins books and there are many Yin, like
other authors (Jankowicz, 2005, pp. 231-2) who adopt a similar stance, tends to define a
narrow range of uses for case studies.
(Yin 2003, p. 3; Scapens, 1990, 2004) defines three uses for case studies: exploratory,
descriptive and explanatory. Unfortunately, the majority of these uses are best
understood as poor relations to positivistic, quantitative research. Exploratory case
studies tend to be conducted as preliminary research in advance of wide-scale surveys
to map out the themes for the subsequent research. Descriptive case studies are often
used to expand on trends and themes already discovered by survey research. It is only
the explanatory case that seeks to derive a detailed understanding of a particular
phenomenon where the case is not seen as ancillary to more quantitative methods. Yet,
as Gummesson (2000, p. 85) states, this third use of case studies is looked on with
scepticism, or sometimes even horror, by mainstream business school professors.
Such scepticism may create fear amongst new academics and discourage their
selection of explanatory case studies (Humphrey and Lee, 2004a, p. xxv).
Fortunately, there are counter forces and counter trends to those generated by the
scepticism of some management academics. Manifestations of these forces and trends
include the different strategies adopted by other management researchers to help
advance qualitative research. Recognising the limitations of using criteria associated
with positivistic research for evaluating qualitative studies (Cassell et al., 2006; Ahrens
and Chapman, 2006), one long-standing strategy has been to formulate criteria
Guest editorial
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accommodated all fields. More recently, there has been the establishment of journals
such as Qualitative Research in Accounting and Management and this journal,
Qualitative Research in Organizations and Management, that are dedicated to
qualitative research in the management disciplines. One of the ambitions expressed in
the editorial of the first issue of this journal was to enable the different disciplines of
management to be able to learn from each other in their development of qualitative
methods (Cassell and Symon, 2006, p. 6). Previously, the sharing of ideas across
disciplines may have been confined to face-to-face multidisciplinary gatherings of
people sympathetic to the use of case studies. A good example was the workshop on
case studies organized jointly by the Management Control Association and the British
Academy of Managements Research Methodology Special Interest Group in
February 2006 when this special issue was proposed. Now, the development of
qualitative research journals such as this one allows such ideals to be disseminated
more widely.
The hope when this special issue was conceived was that papers that furthered our
understanding of the benefits and advantages of case study research would be
submitted from a range of disciplines. The four articles that we have decided to include
are drawn from three different disciplines: accounting; marketing; and organizational
studies. These articles broadly address three different types of issues: dealing with
particular cases and particular respondents viewpoints within cases that have merits
per se; the use of theory in case studies; and the comparison of case studies with other
research tools. This collection of articles provides a valuable collection of ideas and
experiences of case studies to be shared between all researchers, regardless of the
management discipline from which they are drawn.
Recognising the benefits of the particular in case study research
The first two articles in this special issue address different dimensions of the question
of what to do when either a particular respondent in a case study, or a particular case,
provides markedly different data from that provided by the majority of evidence. Case
study research has often been assessed against the criterion of whether it is possible to
generalise its findings and the need for triangulation of evidence. The application of
statistical logic and tests of probability have allowed survey methods to state the
confidence levels that generalizations might materialise in the population as a whole,
regardless of the limited nature of knowledge that such a generalization may provide.
In a context where such ideas are dominant, case studies despite their richness of
detail and their potential to reveal different types of interconnected phenomena are
often dismissed as anecdotal. With some rare exceptions (Patton, 2002, p. 230;
Saunders et al., 2007, pp. 170-8), there has been little systematic attempt to provide
comprehensive articulation of legitimate ways of selecting cases from which to
theorise.
There is a potential for generalizing from high-quality case studies. Lukka and
Kasanen (1995, p. 83) suggest three types of generalization rhetoric: statistical
generalization; contextualisation generalization that constitutes a meaningful and
convincing connection of the study with the real-world phenomena surrounding the
case in question, such as history, institutions and markets; and constructive
generalization in which:
. . . the researcher relies on the diffusion of solution ideas and argues that the successful
implementation of the solution . . . makes it credible that the solution will also work in similar
organizations elsewhere.
Yet, as Gummesson (2000, p. 96) has noted, a merit of case studies is that in contrast
to the grail of generalization sought by survey techniques they allow the realisation
of particularization.
There are, however, issues of how best to present a unique case and the tools
available for drawing attention to its specific qualities. In contrast to the positivistic
approach of Eisenhardt (1989, p. 545, 1991), who encourages constant iterations
between the data and emergent ideas to create a single well-defined construct the
first article in this issue by Bryant and Lasky (2007) suggests a different approach.
Bryant and Lasky contend that it is possible to present an individual case in a
markedly different way to the findings from the majority of cases. They propose using
what might appear initially to be an incommensurate paradigm to that which is used to
analyse the majority of the material. Bryant and Lasky start from a position of using
conventional-grounded theory in a way consistent with positivism and conducting
continuous iterations of the data to find patterns and regularities to express in the
emergent ideas. They then highlight how they used a more constructionist narrative
approach to analyse a separate case that offered markedly different data. Bryant and
Lasky were therefore able to draw out the rich and different account provided by a
maverick case, thus providing all of their respondents with a voice and a fuller
picture of all of the data that they had collected.
A different type of problem arising from finding a minority opinion in fieldwork is
apparent in the second article in this collection by Llewellyn and Northcott (2007).
Llewellyn and Northcott report a research study where the singular view namely a
viewpoint held by one respondent alone provided the greatest insights into the
emergent situation. Distinguishing between the characteristics and the meaning of a
phenomenon, Llewellyn and Northcotts paper highlights that when a state of flux
exists on a contested terrain, there may be many meanings of the significance of a
phenomenon. In such a situation, seeking the most common or popular view may not
be the one that offers the most valuable insights into the emergent situation.
Unfortunately for the academic community, the quality checks involved in the
double-blind review process of journals where reviewers often interpret validity as that
found in the greatest volume of evidence, may discourage presentation and publication
of the most insightful evidence. Fortunately for Llewellyn and Northcott and for our
understanding of research methods, subsequent events were to give greater weight to
the view of emergent trends expressed initially in the singular view.
Theorising from case studies
The third article in this collection by Jack and Kholief (2007) addresses the question of
how formal theory may be used in case study research. Hitherto, there have been a
variety of approaches developed for combining extant formal theories and data from
case study research. These range from the rejection of formal theories and instead
theorising inductively from the data (Glaser and Strauss, 1967); through working with
a toolbox of different theories against which to examine the data throughout the
fieldwork (Marginson, 2004, p. 327) to the prior selection of a particular theoretical
framework or paradigm and the analysis of research themes from within that
Guest editorial
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framework or paradigm. There are inevitably benefits and problems with each
approach.
If theory is simply built from the data that is generated by case studies, there is the
potential for the generation of novel theory (Eisenhardt, 1989, p. 546). Yet, there is
equally the danger that that researchers will get lost in the data and end up developing
a theory that is overly complex (Eisenhardt, 1989, p. 547). A toolbox of different
theories may be used. This is the argument that researchers should employ a number
of differing perspectives, possibly in dialectic tension with one another (Covaleski and
Dirsmith, 1990, p. 566), or the so-called middle range approach of Laughlin (1995) and
Broadbent and Laughlin (1997). However, in doing so, there is the likelihood that
there will be the avoidance of selective plausibility (Scapens, 2004, p. 274) as a
consequence of only examining the data that fits the researchers preferred theory.
Equally, the testing of data against different theories could result in either a suitable
theory being discounted prematurely because it does not fit an early case, or a myriad
of completely different theories might end up being used to explain each separate case
with no unity between them. The selection of a single formal theory could lead to the
selective plausibility that Scapens counsels against, which as Humphrey and Scapens
(1996a, b, p. 88) have suggested, may lead to researchers using evidence to merely
illustrate a favoured theory. However, this is also an approach that offers the benefit of
allowing researchers to direct their research and discipline their senses to pick up on
those dimensions of a phenomenon that a theory is best able to explain.
These themes are apparent in the article by Jack and Kholeif (2007). Drawing on a
recent interpretation of structuration theory (Stones, 2005), they propose case studies
as a methodological tool for the dialectical development of theory. In other words,
structuration theory can be used to generate more searching questions about agents
and structures as part of interpreting research evidence in the accounting, management
and organizational research fields. The data generated may then be fed back into
further developing the theory. A powerful feature of this emergent theoretical
development is the position of the researcher as being analogous to that of an
investigator, elucidating the case through evidence, theory, experience and intuition
(Jack and Kholeif, 2007). Such a process requires great discipline (Ahrens and
Chapman, 2006) and such discipline enhances the contribution being made by
qualitative field research.
Extending the applicability of case studies
The final article in this collection considers whether case studies may be combined
with other methodological tools as part of a research strategy. Often, case studies are
seen as a research strategy per se that incorporates a range of methods that each permit
the study of one or more dimensions of the phenomenon under investigation (Hartley,
2004; Yin, 2003). As a consequence, there has been little attempt to consider how case
studies may be combined with other methodological tools and what purpose such a
strategy might achieve. The recent expansion of work on mixed methods (Bryman,
2006a, b, c) highlights that many researchers believe that all forms of research
approach may have their own respective technical limitations, or that a research
project may require the answering of supplementary questions, which may necessitate
the use of additional research methods.
In this context, the final article in this collection by Gummesson (2007) raises an
interesting comparison between case studies and network theory. Starting from a
framework that seeks to promote innovation in high-quality case studies, Gummesson
draws attention to a strength that both case studies and network theory share; namely,
a capacity to represent complex processes as they unfold. Gummesson suggests that
case studies and network theory may be combined either in ways that are
supplementary in a study of the same phenomenon, or as alternative research tools for
different research questions.
Concluding summary
This first special themed issue of Qualitative Research in Organization and
Management is, per se, a manifestation of the advancement of qualitative research
methods that has taken place in the array of management-related disciplines. The issue
is dedicated to articles on case studies in accounting, management and organizations.
We hope that this collection on a single theme will create the motivation and potential
for cross-germination of ideas based on experiences of researchers from the different
academic areas of accounting, marketing and organizational studies. The following
articles provide authority on ways of analysing and presenting cases that are different,
maximising the benefit of singular viewpoints found in case study research, theorising
from cases, and employing case studies alongside other methodological tools. As such,
the articles promise to help open up new research agendas and strategies for
investigators who use case studies.
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About the authors
Bill Lee is a Senior Lecturer in Accounting and Financial Management at the University of
Sheffields Management School where his teaching responsibilities include contributing to the
teaching of qualitative methods to Masters and PhD students. He is Secretary to the British
Academy of Managements Research Methodology Special Interest Group and a Co-organizer of
a current ESRC-funded seminar series on Advancing Research in the Business and
Management Field. His publications in the area include the research methods collection, The
Real Life Guide to Accounting Research that he co-edited with Christopher Humphrey in 2004 and
which is being reissued in paperback next year. Bill Lee is the corresponding author and can be
contacted at: w.j.lee@Sheffield.ac.uk
Paul M. Collier is an Associate Professor in Accounting at Monash University in Australia.
He was previously a Senior Lecturer at the University of Aston in Birmingham UK and he held
an Advanced Institute of Management Public Sector Fellowship to support his qualitative
research studies of accounting in the police.
John Cullen is a Professor of Management Accounting and Associate Dean with responsibility
for knowledge transfer at the University of Sheffields Management School. He has researched and
published widely, generally basing his work on case studies of both small and large organizations
in the public and private sectors. He has also been innovative in utilizing case studies of his work in
his teaching and has published a number of book chapters and articles in journals such as
Accounting Education on the benefits of using case studies in teaching.
The current issue and full text archive of this journal is available at
www.emeraldinsight.com/1746-5648.htm
A researchers
tale
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Abstract
Purpose The papers purpose is to explore a theoretical and methodological dilemma.
Design/methodology/approach Commencing doctoral research, and committed to an orthodox
grounded theory approach, a unique story was uncovered which, to do it and the research justice,
required an alternative form of representation. Intuition decreed that this should be narrative.
However, grounded theory and narrative entail epistemologically and ontologically incommensurate
paradigms. The paper seeks to consider whether inclusion of the unique story would compromise, or
subvert, the already emergent grounded theory. An exploration of the relationship between different
epistemological and ontological traditions is also to be made, based on the assumption that method
slurring, and a more eclectic approach to using incommensurate paradigms, may be valuable.
Findings In transcribing and coding data using strictly orthodox grounded theory methods, the
researcher runs the risk of stripping the research story of some critical dimension(s). However,
combining a narrative approach with that of grounded theory, the paper allows for the representation
of an atypical Maverick case, along-side other more typical cases.
Originality/value The paper points out, to the early career qualitative researcher in particular,
that it is legitimate to combine seemingly incommensurate methodologies, notably where not to do so
would result in the loss of enriching and powerful insights into basic social processes.
Keywords Narratives, Qualitative research, Research methods
Paper type Conceptual paper
Introduction
The aim of this paper is to explore a theoretical and methodological dilemma that
became evident to the researcher on completing stage one of a grounded theory
project on implementation of best value legislation, by local government authorities
(LGAs) in Victoria, Australia. Initially there was a strong commitment to using
orthodox Glaserian (1978, 1992, 1998, 2001, 2003) grounded theory to explore the
implementation of best value. Quite early in the research process, however, a story
presented by a participant was so compelling, and original, that just to code the
interview transcript without a full inclusion of this particular participants story would
have seriously diminished the research outcomes. By critical voice, the authors refer
both literally to the critique of state government legislation in terms of its impact on
LGAs and the lived lives of their constituents; as well as to the potential of personal
stories to demonstrate life as experienced directly by the interviewee. As a result of this
particular interview, some limitations of using Glaserian grounded theory in a
singular and orthodox manner became evident, providing an urgent imperative for
closer examination of the contingencies entailed in combining grounded theory with
narrative analysis.
The paper has a number of sections. The following section provides the first
authors reflexive account of her identity, and methodological stance, as researcher
within this research. A short note explains the involvement of the second author.
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Next, background to the research is presented, and the research problem is outlined.
The Maverick interview is profiled and the nature of the methodological crisis is
considered; and the emergent epistemological and ontological arguments with their
underpinnings in the literature of grounded theory and narrative are debated. The
paper concludes with some comments on the impact of such a crisis of representation
on early career qualitative researchers.
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The researchers
First author
The first author is a PhD candidate researching reform processes associated with the
introduction of best value legislation into local government in Victoria, in 1999. Under
guidance of her supervisor, the first author (here in after called the researcher except
where it was more appropriate to use the pronoun I) was committed to applying
orthodox Glaserian grounded theory. This certainly seemed an appropriate
methodology as her focus was on investigating how actors implement and mediate
legislation generated by, from, or within, the institutional structure of the state, as well
as taking account of idiosyncratic local contingencies, strategic policies, and the
cultural environments of the LGAs concerned.
Despite initial commitment to all the axioms of the orthodox Glaserian approach the
imperative to include narrative analysis as part of the current grounded theory project
stemmed, serendipitously, from her stumbling unguarded into the metaphysical
domain accurately dubbed as he crisis of representation by Denzin and Lincoln (2003,
p. 27). This resulted from the unique nature of one particular interview a David and
Goliath story of such rich textual quality that the researcher felt that obedient
compliance with the coding dictates of grounded theory would excise an important
critical voice, diminishing somewhat, the research outcomes.
Second author
The second author was not involved in the research here, but was experienced in
narrative research within the local government area, in the 1990s, during a period of
enforced amalgamations and compulsory competitive tendering (CCT) initiatives. As
colleagues, the decision to work on this paper together made sense.
The research
In Australia, local councils represent administrative subunits of the states. They
function both to implement state-legislated changes and resolve policy disputes at the
sub-national level. During the 1990s, Victoria was driven by a state government whose
agenda for local government reform focused on institutional arrangement. According
to Martin (1999, p. 19), Victoria was seen as the most proactive (of all states) having
completed boundary reform [through amalgamation of local councils] within a specific
timeframe, as well as achieving significant rate cuts and setting minimum standards
for CCT. Enforced CCT initiatives, rate cutting and rate capping regulations prescribed
by the state, further exacerbated tensions arising from amalgamation. Vince (1997)
later argued that, the Victorian experience of amalgamation, with its poorly planned,
hastily executed mergers that did not involve councilors, staff and community, resulted
in long-term organisational problems that ultimately impacted negatively on service
delivery, a point which became obvious in the Maverick interview.
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Buoyed by this position, it was felt that one should and may proceed without adhering
rigidly to the neutrality and axioms of mid-century positivism. Grounded theory and
narrative may be sufficiently compatible bedfellows, minimally in the domain of
ontology and axiology, to legitimate some form of marriage, which might
accommodate their apparently fundamental epistemological incompatibility. To this
end, the epistemological, axiological and ontological foundations of the two methods of
inquiry were subjected to closer scrutiny.
Several urgent questions immediately surfaced catapulting me into the domain of
reflexivity about the knowledge-making enterprise itself (Whitley, 1984). For
example, what methodological dilemmas might occur if this story was maintained
complete as narrative within the grounded theory project? Humphreys (2005), for
example, in his discussion of autoethnography and reflexivity, attempts to achieve
what Saldana (2003) describes as a solo narrative . . . reveal[ing] a discovery and
retell[ing] an epiphany in a characters life (pp. 224-5) to illustrate the potential for
adding value to qualitative research by using such an approach ( p. 841). How should
one deal with epistemological divergence resulting from two research strategies sitting
within alternative paradigms of inquiry? Glaserian grounded theory, with objectivist
epistemological persuasions, sits theoretically in the interpretivist camp, whereas
narrative analysis is a child of post-modernist constructionism. Epistemologically
speaking at least, narrative sits in this transactional and subjectivist domain, meaning
the researcher is essentially a co-creator with participants of the research outcomes.
Thus, from an axiological standpoint, both researcher and participants should remain
written into the research. Not so with grounded theory. Given these tensions, was it
nevertheless legitimate, and valuable, to combine the two methodologies? Would doing
so make the research outcome more robust? As an early career qualitative researcher,
I was unsure. However, as Calas and Smircich (1999) argue Multi-paradigmatic
awareness simply facilitates a very modern, metatheoretical discussion around these
issues: What philosophy of knowledge is behind truthful knowledge? Each paradigm
is a foundational claim (a metatheory) about the possibility of true knowledge. Each
offers a way toward a more complete understanding or explanation of the social world.
Each claims to be the best view of the world out there. None [authors italics]
accounts for the language game in which they may all be embedded ( p. 651). Yet
importantly, they point out the significance of having multiple paradigms in
organisation studies is that they do edge us towards such reflexivity.
David and Goliath: the Maverick interview
The Maverick story was a community story, as well as being both an inter- and
intra-organisational saga. This shire had succeeded, where no other shire or
municipality had, in re-claiming its former identity, historical boundaries, and
community status that the participant made amply clear were negatively
compromised by imposed LGA amalgamation, and other public sector management
strategies, such as CCT and best value:
Case 6 (Rural): I picked up the pieces of what happened to the workforce under the forces of
CCT. The quality of jobs had deteriorated remarkably and . . . we slowly built back up to a
rational view of the world . . . Ive lead the de-amalgamation [as]. . . country people were
getting a bit pissed of . . . but it took six years for people to twig what happened [in which]. . .
no council work done. There [had been] no council for the first couple of years [after the
amalgamation]. . . The people they [Government] chose were completely incompetent at
running any particular council. They made monumental errors in capital expenditure and
about social values. So they set in train the de-amalgamation because they were unaware of
what was going on. Ill give you an example. The white lines on our roads were being painted
by people from Western Australia. But none of those people worked in our town or spent their
money here. Now, every time ten people who live and work here . . . one extra high school
teacher is put in the town (excerpt from interview 6. C).
A powerful story
The de-amalgamation story demonstrated the capacity of citizen-based social
movements to achieve ends one would have supposed unthinkable, given the
circumstances of the previous decade. It also illustrated the potential unruliness of
unintended consequences reform processes may generate, even when circumstances
render this relatively unlikely. In other cases such as in Case 4 illustrated below,
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Pick and choose that was exactly what I wanted to do! I did not want to treat the two
methodologies as mutually exclusive, sensing that used in conjunction they would
make a valuable contribution to my research. If these approaches at least shared
ontological and axiological axioms, surely there might be a strong case for researchers
to pick and choose and indeed to slur epistemologically incommensurate
paradigms?
Grounded theory
Orthodox Glaserian (1978, 1998, 2001) grounded theory has the intent of developing
middle range theories through identification of the basic social process used by actors
to deal with contingencies of their everyday reality. It was an appropriate choice to
further the aims of the research of explication, or how actors solve problems in
implementing legislation for public sector reform. Grounded theorists questions are
not concerned with how knowledge is constituted as truth by the social actors
(the post structuralist concern), or how their realities are structured through language.
The grounded theorist wishes to identify (and theorise) how actors deal with their
problems. The aims are pragmatic, that is, to know what our informants main
concern is and how they seek to resolve it (Glaser, 2001, p. 177).
As methodology, grounded theory invites the researcher to tread similar pathways
to those followed by traditional ethnographic researchers carefully gathering data,
and then arranging it in a consistent manner, generally according to coding dictates of
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observes narratives are metacodes for the nature of a shared reality. The corollary of
this, ontologically, is that there is a plurality of discursive realities. Thus,
representations of reality are perceived as just that representations. Research
outcomes from this standpoint then essentially become just one more form of
representation. Yet in assuming such a standpoint perspective researchers make way
for reflexivity and a critical examination of the way modern (paradigmatic or
foundational) knowledge has been constituted, without needing to provide for an
alternative knowledge (Calas and Smircich, 1999, p. 652).
Interestingly, Schwandt (2003) advances an additional epistemological framework
to traditional interpretivist accounts that may potentially offer at least one avenue for
accommodating some of the tensions outlined above emerging from the struggle to
reconcile epistemologically non-commensurate paradigms. Although, according to
interpretivist traditions, the interpreter typically objectifies that which is to be
interpreted (thereby remaining unaffected by and external to the interpretive process),
philosophical hermeneutics offers a radically different way of representing the notion
of interpretive understanding (p. 300). In this model the role of interpreter is that of
exegete or one engaged in critical analysis or explanation of a text or some human
action (which Schwandt uses interchangeably) based on the method of the hermeneutic
circle. Several axioms of philosophical hermeneutics potentially provide a foundation
for epistemological reconciliation. Firstly, the conviction that understanding, in the
first instance, is not a procedure or rule-governed undertaking; rather, understanding is
interpretation it is a very condition of being human (Schwandt, 2003, p. 301).
Secondly, understanding requires engagement of ones biases, including a close
examination of our historically inherited and unreflectively held prejudices
(Schwandt, 2003, p. 302) because these function to disable our efforts to understand
others as well as ourselves. Thirdly, only by entering into a dialogic encounter with
what is other, or not understood, can we expose ourselves to risking and testing our
preconceptions. Finally, the act of understanding is essentially lived, or existential,
and does not occur in two separate steps of first acquiring understanding; and
secondly applying that understanding (Schwandt, 2003, p. 303).
What Schwandt (2003) offers the researcher here, then, is the notion of understanding
as simultaneously a form of moral-political engagement, and a mode of inquiry not
aimed at developing a procedure of understanding, but rather directed to clarifying the
conditions in which understanding takes place. Philosophical hermeneutics opposes
nave realism or objectivism with respect to meaning, and can be said to endorse the
conclusion that there is never a finally correct interpretation (p. 302). This position
would be acceptable to some constructivists, including Glaser, yet philosophical
hermeneutics recognises meaning as not necessarily constructed (as in created, or
assembled) but as an outcome of negotiation; or a coming to terms between actors,
thus embodying the researcher squarely within the research product. In this sense
understanding is always dialogic, participative and bound up with conversation,
the form of which an in-depth interview essentially mirrors. This resolution of the
reflexivity conundrum interfaces comfortably with Ellis and Bochners (2000, p. 773)
reflections on autoethnography as an autobiographical genre of writing and research
that displays multiple layers of consciousness, connecting the personal to the cultural.
Coffey and Atkinson (1996) point out that narratives and stories are an obvious way
for social actors to talk to strangers, in this case, the researcher. To the post-modernist,
reality is complex and multi-faceted, but the paradigm is often selected as the most
appropriate epistemological framework for accessing behavioral issues, such as the
responses of local government personnel to implementing best value. Further, than
allowing individuals the freedom to explore their own career paths, narratives also
function to bring to the surface issues that can then be understood at a level other than
the rational and external with which individuals too often order their lives, thus
deepening understanding in the moral-political and existential sense that Schwandt
flags as the epistemological contribution of philosophical hermeneutics.
In contrast with objectivist epistemological assumptions of interpretivism, the
constructivism of the post-structuralist paradigm of inquiry entails:
. . . the view that all knowledge, and therefore all meaningful reality as such, is contingent on
human practices, being constructed in, and out of, interaction between human beings and
their world, and developed and transmitted within an essentially social context (Crotty, 1998,
p. 42).
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story, and expounds on the general contribution of various community members in the
townships mobilisation to de-amalgamate. Furthermore, in clarifying how things
work in rural communities the participant makes evident the power of stories to bind
individuals as they realise they have common experiences underlying their shared
identity and linked futures. Stories of this nature have the capacity to enable members
of organisations, as well as the reader/listener, to step into the story recreating the
world it presents, and retaining the experience, in this way making the story their
own. The researcher too is compelled towards auto-ethnographic representation as
defined by Ellis and Bochner (2000). What could be more relevant?
The fourth and final evaluative criteria for Glaser, entails modifiability. Grounded
theories are always modifiable on the basis of new data, and this should not be
confused with verification. Grounded theories are never right or wrong. Such data
likewise never provides proof or disproof as such, just new analytic challenges.
Although grounded theory requires identification of basic social processes, and
explanation of how these are used for problem resolution by the social actors, Glaser
acknowledges the provisional nature of such theorising. With grounded theory then,
the potential for explanation (the positivistic tendency of this) would not necessarily
be compromised by the flexibility and open-endedness one celebrates in using the
narrative method.
The important point in examining Glasers four evaluative criteria for robustness in
grounded theory is that the gap between narrative and grounded theory as methods for
producing particular research outcomes closes. Indeed, the gap is quite minimal,
particularly from the axiological and ontological standpoint. Schwandt (2003) provides
an avenue for accommodating epistemological divergence between the two
methodologies, by including philosophical hermeneutics as a fourth form of
interpretivist understanding. Relevance in the Glaserian sense is self-evident in the
aspects outlined above of the Maverick narrative. One of the dilemmas of a coding
operation, and indeed adherence to grounded theory procedures generally, is that the
research act may erode the criterion of relevance of the research act for all
participants/stakeholders implicated in the research.
The Maverick interview transcript setting in train these theoretical and
methodological musings clearly had qualities making this case sufficiently different
from other cases to merit its inclusion as a narrative, rather than submerging it in a
grounded theory. With the story of de-amalgamation unfolding, both temporally and
from the standpoint of the participant, it provided both descriptive and explanatory
attributes of a good plot. A richly fabricated story emerged, with story lines
densely woven around a number of themes, amplified, but dissimilarly resolved in
other interviews, such as:
Case 15 (Rural) Local knowledge went out the door here because the ones with useful skills
just go in those circumstances [enforced amalgamation]. . . but Council ended up referring
back to people who were doing the jobs before in one way or another. In the small
communities like O, or distant places like M, you didnt have an out there workforce so you
are walking down the street and you might see Joe Blow who maintains roads and let him
know directly whats wrong . . . thats how things get done in the country. Now you have to
put in a formal call and contractors have to be available on a certain day . . . it still works but
whether it works any better with contracting is debatable. So with Best Value a lot of our
energy has been bringing services back in-house (Int.15. G).
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Case 3 (Metropolitan) I think there still is some scepticism about Best Value because CCT put
off a lot of people, quite literally! It built up a lot of barriers between teams. That made it
actually become competitive in-house between units . . . a lot of them and us. I think
communication systems are just now starting to be identified, and still some communication
barriers need to be addressed . . . but a lot of councils really did BV like they had done CCT, it
was just under a slightly different banner . . . but the approach taken here was very different.
The CEO here was very much about developing the organisation and so he just incorporated
best value principles into an overall program he wanted to introduce (Int.3.J).
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Rice, P. and Ezzy, D. (1999), Qualitative Research Methods, Oxford University Press,
South Melbourne.
Saldana, J. (2003), Longitudinal Qualitative Research: Analyzing Change through Time, Rowman
and Littlefield, Oxford.
Sarbin, T.R. (Ed.) (1986), Narrative Psychology: The Storied Nature of Human Conduct, Praeger,
New York, NY.
Schwandt, T.A. (2003), Three epistemological stances for qualitative inquiry, in Denzin, N. and
Lincoln, Y. (Eds), The Landscape of Qualitative Research, 2nd ed., Sage, Thousand Oaks, CA,
pp. 292-331.
Silverman, D. (Ed.) (1997), Qualitative Research: Theory, Method and Practice, Sage, London.
Suddaby, R. (2006), From the editors: what grounded theory is not, Academy of Management
Journal, Vol. 49 No. 4, pp. 633-42.
Vince, A. (1997), Amalgamations, in Dollery, B. and Marshall, N. (Eds), Australian Local
Government: Reform and Renewal, Macmillan Education, Basingstoke, pp. 151-72.
White, H. (1981), The value of narrativity in the representation of reality, in Mitchell, W.J.T.
(Ed.), On Narrative, University of Chicago Press, Chicago, IL, pp. 1-23.
Whitley, R.D. (1984), The Intellectual and Social Organization of the Sciences, Oxford University
Press, Oxford.
Further reading
Charmaz, K. (2000), Grounded theory: objectivist and constructivist methods, in Denzin, N. and
Lincoln, Y. (Eds), The Landscape of Qualitative Research, Sage, Thousand Oaks, CA,
pp. 249-91.
Glaser, B.G. (1994), More Grounded Theory Methodology: A Reader, Sociology Press,
Mill Valley, CA.
Glaser, B.G. (1996) in Kaplin, W.D. (Ed.), Gerund Grounded Theory: The Basic Social Process
Dissertation, Sociology Press, Mill Valley, CA.
Glaser, B. and Strauss, A. (1967), Discovery of Grounded Theory, Aldine, Chicago, IL.
About the authors
Janet Bryant teaches sociology and research methods at Swinburne University. Research
interests include social policy on youth homelessness; her current doctoral study of changes to
public sector management; and, participation in action research to augment students real world
learning via collaborative projects with Swinburnes Centre for Regional Development including
The Role of Regional Universities; and participation in a large intra-institutional Social
Indicators Project. Janet Bryant is the corresponding author and can be contacted
at: jbryant@swin.edu.au
Barbara Lasky, an Associate Professor, is the Academic Leader of the Business Enterprise
Group at Swinburne University of Technology, Division of Higher Education Lilydale. Her
research interests include issues of organisation behaviour and group dynamics, and action
research and narrative methodologies. She has published both nationally and internationally.
E-mail: blasky@swin.edu.au
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Deryl Northcott
The Auckland University of Technology, Auckland, New Zealand
Abstract
Purpose This paper aims to challenge the conventional wisdom in qualitative case study research
that the findings of the case depend on the identification of common themes across the statements of
multiple case informants (usually, as expressed at interview).
Design/methodology/approach This is a methodological paper that uses a published work to
illustrate its arguments. It explores research on the meaning and significance of politically and
culturally sensitive emergent change.
Findings The paper finds that, during such change, many respondents may not accurately discern
the direction of travel in their organization and, hence, gathering evidence on common views may
not be a productive research strategy.
Research limitations/implications It was only possible to use one illustration (politically and
culturally sensitive emergent change); other scenarios where the singular view may be significant
were, therefore, not covered.
Practical implications Ultimately, the findings of a case study may have to rely on insights from
just one respondent.
Originality/value This paper argues that for some research agenda singular views may be more
insightful than common themes. It also discusses the development of research that is prompted by a
singular view.
Keywords Qualitative research, Case studies, Research methods, Interviews
Paper type Conceptual paper
Introduction
Only one person holds the singular view. Along with being unique, the singular view
also connotes the idea of an extraordinary insight or a particularly perceptive
understanding of the significance of a situation. This paper is concerned with the
validity of the singular view in the context of qualitative management research that
seeks to uncover the sense and significance [1] of organizational situations (or events).
This type of research is by no means the only kind of qualitative research
undertaken in the field of management. Qualitative management research can also be
focussed on discovering the characteristics (or defining features) of situations, events
or institutions. There is no hard and fast distinction between sense and significance
and characteristics indeed, often the latter have to be defined before the former can
be debated! Nevertheless, research that is primarily concerned with sense and
significance is relatively frequent in qualitative work. This distinction between
characteristics and sense and significance (essentially, the difference between
what is this? and what does this mean?) is important in the context of the value of
the singular view, hence it is discussed further in the illustrative example (set out
later) that forms the core of this paper.
The illustrative example used is a (now) published paper by the authors where the
value of the evidence we obtained from our singular respondent was at first, challenged
by the reviewers on the grounds that it was not representative. Subsequently, as tends
to be the norm in the pragmatic world of academic publishing, we addressed the
reviewers concerns in the way they indicated would be acceptable to them, through
further substantiating evidence (that in our case became available over time). However,
we are not necessarily arguing for such longitudinal triangulation in this paper.
Although such strategies may be helpful and will increase general confidence in
research findings, in this paper we wish to explore a situation where reliance on a
singular view unsupported by other evidence is valid.
Even in the context of work concerned with the sense and significance of events
(rather than their characteristics), qualitative researchers have been reluctant to trust
insights unless they are fairly widely held; they have followed quantitative researchers
in placing more reliance on majority rather than minority views. This paper discusses
why this is the case and argues that under many circumstances encountered in
qualitative management research it may actually be necessary to discount the common
view in favour of the singular one.
Where circumstances are complex and changing, when conditions pertain that
have not been encountered before, when situations are highly politicised and where there
are many stakeholders with different agenda, it is hardly surprising that there are
multiple and different assessments of whats going on. Moreover, any view on whats
going on is a view from somewhere; by definition the views of stakeholders will be
views from the social and political stake that they have in the situation (or event).
Amongst these stakeholder views there are likely to be some based on more knowledge
than others, some that are formed on superior judgements to others and some from
positions that give more insight than others into whats going on. Hence, one may
conclude that amongst the many conflicting views that may arise over the meaning and
significance of a situation some views will be closer to the mark than others.
Ultimately, at a particular point in time, there could be just one person who has got it
right.
If it is conceded that the singular view may be the most insightful one, why has case
study research (which actually rests on the proposition that there is something to
be learned from the single case) always sought multiple sources of evidence within the
single case? This puzzle is explored next before the case for the singular view is made
(and explained in relation to a specific example of empirical research).
Why have we sought the common view in qualitative management case
studies?
Qualitative management case studies generally seek to establish whats going on in
any organization with primary reference to the views of multiple rather than single
informants (often in conjunction with multiple rather than single sources of
documentary evidence). As argued in the introduction, in terms of establishing the key
characteristics (or the what is this?) of any situation or event this approach is
generally the most valid one. However, because of the issues discussed earlier
(i.e. differential stakeholder perspectives, knowledge bases, judgement abilities and
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access to information) the more the merrier method may not be the most productive
when it comes to working out the what does this mean? aspect of whats going on.
This section discusses two interconnected issues that have tended to stop qualitative
researchers sometimes taking a risk and going with a singular view, these are
the history of the development of qualitative research and the role of theory in
qualitative work. Both of these matters are of huge significance in their own right;
what follows is only an attempt to sketch some brief comments pertaining to the main
focus of this paper.
The development of qualitative research
Proponents of qualitative management case study research struggled to establish its
legitimacy in the context of the dominant positivist paradigm resting on tenets derived
from scientific work, i.e. rigorous testing, quantitative evidence, validity, predictability,
reliability, and generalization (Scapens, 1990; Llewellyn, 1992). Detractors of case
studies dismissed them with such descriptors as anecdotal, unsubstantiated, and
subjective. Most damning of all was the indictment that case studies were
unscientific. But there was an issue that was even more significant than combating
this criticism in the development of the case study this was simply that the case
study was a new research approach. Even those advocating the case study inevitably
began to understand their new methods in the light of positivism as the scientific
method in social science. Consequently, researchers tended to argue the case for case
studies largely by trying to meet some of the criteria for good research adopted by
the scientific community. Rather than develop new criteria for judging the value of
qualitative case study research and some fresh linguistic terms for describing its
central tenets[2], qualitative researchers developed their methods largely from within
the dominant paradigm of scientific research. This does not deny that there were
battles between case study researchers and positivists; indeed, for some time now,
self-avowed positivists have been hard to find within social science (Bryman, 1988).
But, despite all the rhetorical distancing from positivism, in the qualitative camp there
continued to be a dominant concern with issues around the representativeness of
data and the generalizability of case study findings. And these criteria are, basically,
derived from the scientific method. If the intent of the qualitative research
under discussion is to discover the key characteristics of a situation or event (i.e.
working out what is this?) then a concern with representativeness and
generalizability is, usually, appropriate. But, if the focus is primarily on figuring out
the sense and significance of whats going on then these criteria are less relevant.
Indeed, on occasions, they may impede rather than assist the research investigation.
The concern with representativeness will be discussed first. One classic text in the
development of research methodology in social sciences is Winch. He challenges
John Stuart Mill whom he quotes as stating . . . understanding a social institution
consists in observing regularities in the behaviour of its participants and expressing
these regularities in the form of a generalisation (Winch, 1990, p. 86). Winch argues
that Mills view is still very influential in the work of contemporary social scientists.
Regularities (or frequent occurrences) should be the focus of any social research and
the occurrence of these regularities makes researchers confident of generalizing from
their observations. If researchers are primarily concerned with regularities in
behaviour then representativeness is of prime significance because without adequate
coverage the regularity (or pattern) in the observed behaviour may not be discernible.
This early concern with regularity and, hence, representativeness, continued into
interview-based as opposed to observation-based research. The common theme in
interviews is equivalent to the regularity in behaviour that Mill stressed. Underlying
this approach is an assumption that what is not exhibited as regular behaviour, or
what is not echoed as a common theme, lacks significance. What is not regular or
common becomes, by implication, arbitrary or even senseless at least so far as the
research investigation is concerned. But although Winch (1990, pp. 86-91) was also
concerned with regularities[3], he critiqued Mill because Winch was an early exponent
of the view that identifying behavioural regularities in social science must encompass
the perspective of the agent, which, in turn, makes reference to the cultural context
within which the agent acts.
The case study methodology grew from the ideas of Winch (and others) that
understanding social phenomena involves an appreciation of the context within which
they occur indeed, the case study method embodies the notion that it is frequently
impossible to discern any strict boundary between social phenomena and context. This
conceptualisation of understanding challenged the idea that the observation of
social behaviour was sufficient as a research method in social science because it is
impossible to have an adequate understanding of context without grasping the context
that the human agent perceives for her or his behaviour. So the case study
methodology emphasises contextual understanding but, despite this focus on context,
a concern with representativeness (to capture regularities) remains. Perhaps, the most
quoted source on the case study is Yin (1989, p. 23); here is his definition:
A case study is an empirical inquiry that:
investigates a contemporary phenomenon within its real-life context; when
the boundaries between phenomenon and context are not clearly evident; and in which
multiple sources of evidence are used.
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So Yins idea here is that if the researchers have analysed cases with similar
circumstances, and if the results of the cases support the same theory, confidence in
this theory is strengthened. The significance of theory for case studies goes back to the
emphasis on contextual understanding. As argued above, Winch and others asserted
the need to understand context from the point of view of the case participants, but their
understanding may not be exhaustive. There may well be wider contextual issues that
transcend the understanding of the case participants. To achieve this broader view a
theoretical framing of the case is required.
The role of theory in qualitative work
Appropriate theorization frames (or extends) mere information from the case and turns
it into useful knowledge, so Theorization (or conceptual framing) is the value-added
of qualitative academic research (Llewellyn, 2003). This value-added merger
between the views of informants and academic theory is not, however, easily
accomplished nor is it immune from challenge. In interview work in case studies there
is an uneasy balance between merely reproducing and legitimising an existing theory
(through simply illuminating or giving life to theory through the selective use of
quotes) or relying solely on an ethnographic account, which taps only into the limited
perspective of the case informants (Llewellyn, 2003; Wainwright, 1997).
If qualitative management research takes the statements of informants on whats
going on as a starting point but adds value by extending (or even challenging) their
views, it is hardly surprising that there is an emphasis on the common view to
demonstrate both that the opinions of informants have been adequately canvassed (the
representativeness issue) and that their ideas link substantively into the proposed
conceptual frame (the validity of theorization issue). Silverman (2001, p. 223), for
example, advises qualitative researchers to pay attention to two problems identified by
Fielding and Fielding (1986, p. 32):
. . .a tendency to select their data to fit an ideal conception (preconception) of the phenomenon
[and] a tendency to select field data which are conspicuous because they are exotic at the
expense of less dramatic (but possibly indicative) data.
He goes on to argue, drawing on Mehan (1979) and Bryman (1988), that the
representativeness of the interview data selected is of prime significance when
assessing qualitative research. The approach to theorization that Silverman is
discussing here is a broadly deductive one (i.e. using theory to explain key issues, in
particular ones that are only partially understood by the case informants). But this
concern with representativeness is also very apparent in the inductive approach to
theorizing in case studies and this is explained next.
In their text The Discovery of Grounded Theory, Glaser and Strauss (1967, p. 2)
linked the usefulness of qualitative research to the possibility of generating inductive
theory; they stated that, The basic theme in our book is the discovery of theory from
data systematically obtained from social research. Their description of the data
collection process as systematic implied that qualitative evidence is collected in a
planned and logical manner. The adoption of systematic-ness of course, aligned their
approach to the scientific method. The later related work undertaken by Strauss and
Corbin (1990) went one step further through popularising the notion of applying data
coding and analysis techniques to qualitative data. Again the implication was that it
was desirable (and, even more significantly, it was possible) to take a scientific
approach to the discovery of common themes in qualitative data. Moreover, potentially,
the use of these coding methods would allow an audit trail of how the theory was
generated from the evidence of these common themes. With such an approach
potentially all researchers would propose the same grounded theory from the same
qualitative database.
To summarize on this section, the focus on the common view in case studies
stemmed from two broad issues: the history of the development of qualitative research
and the role of theory. The legitimacy of the case study, as a scientific method[4], was
at stake in relation to both of these. As a new methodology, how could the findings of
qualitative case studies be defended from accusations of lack of scientific rigour? If
theory is the value-added of qualitative case study work (and can enable
generalization), how can the validity of this theory be established in relation to the
findings of the case?
The common view came to the rescue in answer to both questions. First, reliance
on the common view links into the scientific criterion of representativeness and echoes
the scientific idea of picking up on the regularities or pattern in the data. Second, if
the theorization of the case can be shown to link into the common view then
accusations that theory has been imposed on the case in accordance with the
predilections of the researchers can be warded off. The essential problem with this
adherence to the common view is that it makes much more sense in relation to the
characteristics of the research phenomenon than in relation to its meaning and
significance. In social science, meaning and significance is usually much more
important than characteristics. As argued earlier, ultimately, at a certain point in time,
there may be only one respondent who discerns the meaning and significance of an
organizational change.
The average hospital: case details and discussion
To illustrate how a singular view can be key to qualitative management research, this
paper explores an interview-based empirical project (Llewellyn and Northcott, 2005).
The project focused on the introduction of a mandatory form of costing in English
hospitals[5] the National Reference Costing Exercise (NRCE).
In 1998, the UK New Labour Government introduced a requirement for all NHS
hospitals to report their costs across the range of clinical activities undertaken[6].
Everything from a hip replacement to a course of treatment for bronchopneumonia to the
removal of an in-growing toenail would have a cost attached and that cost would be known
for each and every hospital. The exercise was complex and the cost data was vast; by
2002 alone it had encompassed 2.1 million items (Department of Health, 2002a, p. 39).
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Yet despite this complexity, a costing index was compiled that ranked hospitals on their
relative cost efficiency, by assigning them a single score [7]. This index was politically
sensitive; the fact that a hospital was a 67 or an 156 was publicly available
information, so hospitals which were outliers sometimes found themselves featuring in
the local press as either very cost efficient and successful or failing and wasting
resources. The index was also part of a package of indicators that were used to judge the
performance of hospital managers so careers could be at stake. Because the index put
managers under pressure they responded by exhorting clinicians to consider the
cost-efficiency of their clinical practice more carefully, so the NRCE was often the cause of
internal hospital conflict.
There is a lot more that could be said about the characteristics of the exercise but, in
brief, the research phenomenon under investigation was a mandatory form of hospital
costing that took clinical interventions[8] as the cost object. The main powerful
stakeholder groups involved were: politicians (who initiated the exercise); regulators
(who ran the technical aspects of the cost-data collection); managers (who collected the
data and who were held to account for the results); clinicians (whose work activities
were being costed); and latterly management consultants who came on board
(as hospitals began to rely on them for help with the analysis and presentation of their
costs). The research project set out to investigate the meaning and significance of this
costing exercise through asking members of the stakeholder groups what they thought
was going on. A total of 38 interviews were carried out with personnel involved in
the NRCE.
Initially at least, stakeholders varied enormously in their assessments of the
significance of the NRCE. Clinicians in particular were inclined to be dismissive, even
to ridicule the exercise, possibly in the hope that it could not be made to stick! In the
early days, the reported HRG costs varied tremendously. For example, a primary hip
replacement could apparently cost between 213 and 19,960 (Department of Health,
1998). Many clinicians cited this extreme variability in support of the it may be getting
into the press but it wont work view. One clinician said:
. . . you still see in the [news]papers comments like in some hospitals it [an HRG] is ten times
the expense to do in others, which is clearly not true. It just means that the costings are very,
very imprecise . . . it [the NRCE] gets rubbished [by some clinicians and managers] because it
cant be true some of the costings that you see. I mean you cant do hips for 190 pounds or
something . . . So some of the figures that appear are just ridiculous and the sad thing is that
they are taken semi seriously in the [news] articles.
When the HRG categories were set up clinicians were involved. This involvement was,
in part, to take advantage of their technical expertise but also attempted to engage their
commitment to the NRCE. One clinician responded to the idea of his colleagues
caring about the NRCE as follows:
Well the ones [clinicians] who care [about costing] cant really agree with each other, but most
clinicians couldnt care less anyway! The answer is who gives a monkeys about HRGs?
On the other hand, in the political world, people did give a monkeys; the politicians
had instigated the NRCE so, not surprisingly, in political realms it was taken very
seriously. One hospital manager reported that:
Everything that moves [now] seems to have an HRG associated with it and, hence, a reference
cost . . . a memo on some minor refinements [to the reference costs] was copied from the Chief
Statistician at the Department of Health to the Secretary of State! Its at that level of interest,
help!
A finance director at one of the hospitals pointed out that not only were the
government serious about the NRCE, but also they were determined to make it
work:
You know that the Secretary of State has a timetable by which he wants reference costs to
cover the entire range of NHS activity, that is national policy and that is set.
But some stakeholders thought that the governments intentions were rather more
robust! A management consultant opined:
Reference costs give managers the ability to go to doctors and to start to beat them
around the head, which is what the government wants managers to do to doctors for the
most part . . . now there is real power for managers to take direct action against
clinicians before it was impossible, even when you knew that harm was occurring to
patients.
Why did the NRCE give power to managers to control clinicians? The answer is that
although the index reported just one cost figure for each hospital, this index was
compiled from very detailed information that included costs for individual clinicians.
These individual costs allowed managers to challenge clinicians where their practice
was more costly than their peers for, apparently, no good reason. One manager
commented:
So why does Mr X [consultant] cost double Mr Y? Our consultants are very different; one
wonders why one does far more day cases than another and why one is far more conservative
at keeping patients in than another. The useful information challenges practice and says
your cost per hernia is double what this one is.
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But before the managers could use cost data to challenge clinical practice, the data had
to have more credibility than it had at the beginning of the NRCE, or else the clinicians
would continue to rubbish it. The regulators thought part of the answer to be a
reconciliation back to the financial accounts. One advised:
We do a check. What I did last year was a 30 percent check on reconciling back to the final
accounts. If they were more than 1 percent out they were sent back. Because it is fast track
information, we accept a 1 percent variation.
But another even more powerful incentive for hospitals to report accurate data is to
fund on the basis of it. This is another view from a regulator:
We have always said that if you reimburse people on the basis of the data that they submit
for reference costs then the data they submit will start to become more accurate. If you say
that you can do a hip replacement for six pounds and you get reimbursed on that basis then
people will start to do it right.
As with respect to the characteristics of the NRCE, there is much more that could be
said with regard to its meaning and significance. But a few things become clear
through the above quotations. In terms of the differential stakeholder perspectives
discussed earlier, clinicians were likely to lose power (or at any rate stood to lose some
control over their clinical practice) through the introduction of the NRCE. This gave
them an incentive to argue that it was going to be insignificant in the longer term,
indeed many clearly believed that it was rather meaningless and, hence, it was likely to
go away. In contrast, politicians as the owners of the exercise were determined that it
would be a significant and meaningful intervention in health care. Regulators were
accountable for making the exercise a success; hence they were also likely to express
views that accorded significance to the NRCE. Managers were in a more equivocal
position. On the one hand, they were expected to challenge clinical practice on the basis
of the NRCE; this gave them an incentive to argue for the robustness of the data. On the
other hand, this positioning made for internal conflict with the clinicians, so for
those managers averse to conflict there may well have been an inducement to
downplay the exercise.
So, clearly, differing perspectives, knowledges and judgements led stakeholders to
view the NRCE in very different ways. As argued earlier the governments stated
intent for the exercise was tackling variations in performance and raising standards,
but was there more to it than this? Initially there was just one respondent who
suggested that there was.
The singular view
One clinical director (a clinician with management responsibilities) made the following
observation:
I think that the problem with the way things are being generated at the moment is that they
[the government] are seeking to make everyone as average as they can and I, personally, dont
think that that is a good thing (Clinical Director at an NHS Trust).
This comment implied that the meaning of the governments proposal to tackle
variations in performance and raise standards, was actually to make everyone as
average as they can. Why might that be the case and what other evidence from the
respondents indirectly supported this view?
It is clear from some of the above quotes that the government wanted to use the
NRCE exercise to empower managers to take action against clinicians. One view was
that reference costs gave managers a weapon to beat them [clinicians] around the
head with. Another was that reference costs were . . . useful information [that]
challenges [clinician] practice and says your cost per hernia is double what this one
is. Such insights suggest that wherever clinical practice looked out of line and,
particularly, where idiosyncrasy increased cost (for example the clinician described
above who kept all his/her patients in over the weekend), managers would put pressure
on clinicians to conform to standards that brought their costs down. But this evidence
suggests pressure to attain lower costs rather than average costs. One reason why
average costs may be more what government were aiming for lies in the propensity
of some hospitals not to take the NRCE seriously and report unrealistically low costs.
So long as some of the figures that appear are just ridiculous as one of the
clinicians quoted above reported, the NRCE lacked credibility. As one of the regulators
commented, a possible governmental response was to reimburse hospitals on the basis
of their reported costs (If you say that you can do a hip replacement for six pounds and
you get reimbursed on that basis then people will start to do it right). The problem with
this strategy from the governments perspective is that it gives an inherent
incentive to report high costs. Hence, along with the direct comment cited above, there
was other indirect evidence on the logic of the average cost as what the government
was aiming for.
In terms of the conduct of the research project, having heard this singular view on
making everyone as average as they can . . . other respondents were asked directly if
they thought that the government were seeking to make everyone as average as they
can. Some respondents said they did not agree with this and some looked blank, but a
few did concur. For example, one manager commented on the comfort factor of
having an average score on the index (this index was explained earlier):
There is a sense of comfort in being around the middle [on the Index] and not standing out too
much. Being cheap isnt bad, but obviously being expensive is going to make you a target and
it seems the standard at the moment is to be at 100 index or 99/98 to be cosy around the
middle.
But, even when prompted, there were only a few respondents who supported the idea of
the government seeking to make everyone as average as they can. Nevertheless, to the
research team, this view seemed to make sense. Therefore, theoretical backing was
sought for the idea. Two main sources were found for the propensity for both
categorization and measurement (key aspects of the NRCE) to result in more homogeneity
and, hence, more averageness. Bowker and Star (1999, p. 53) comment that all
classification systems increase comparability and averageness as peoples behaviour
and organizational practices are moulded so as to fit into pre-specified categories.
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Latour (1993, p. 113) points out that all measures, . . . construct a commensurability that
did not exist before their calibration. HRG costing necessitated the classification,
counting and coding of clinical activities to categories. Latours work indicates that the
cost measurement of these HRGs to produce the index actually makes clinical work in
hospitals more commensurable and more standardized.
Nevertheless, despite this later theoretical support and the prompted views of a few
other respondents, just one person mooted the initial idea about averageness. And, on
the basis of this singular view, averageness became the central notion in the research
project for understanding the sense and significance of the NRCE.
Personal reflections and concluding comments
We now return to the earlier arguments about why minority rather than majority
views may be the most insightful when it comes to investigating the meaning and
significance of organizational events. This paper has argued that over an emergent
change scenario, such as the NRCE, there are likely to be multiple and conflicting
stakeholder views. Is it legitimate to privilege one view over the others? The contention
of this paper is Yes. A singular view may be based on more knowledge, may be
formed on a superior judgement and may be made from a position that gives
more insight into whats going on. In this research project, a clinical director
proposed the singular view about averageness. The role of clinical director combines
clinical and managerial expertise, so it has a wide knowledge base; also this position
gives more insight into whats going on than either the purely clinical or the solely
managerial perspectives (Llewellyn, 2001). In addition, it may be surmised that this
individual was simply more perceptive and, hence, formed a superior judgement when
it came to discerning the direction of travel in health care management.
Nevertheless, in the world of academic publishing, reviewers comments, even for
qualitative work, frequently focus on the extent of the evidence base for conclusions
drawn and the question of whether the results can be generalized. On the first
submission of this paper, our judgements about the government aiming for
averageness were felt to lack substance. As argued earlier, such responses are driven
by expectations that qualitative work can be judged against the criteria applied to
scientific research. We were asked to offer further evidence from the politicians
themselves that averageness was indeed being promoted and comment on whether
our findings could be generalized for example, to other countries. These reviewer
requirements posed difficulties for us! Given that the NRCE was a politically sensitive
initiative that was likely to elicit resistance from clinicians, is seems hardly likely that
the politicians would publicise any intent to promote averageness. On generalization
to other countries, it was impossible for us to say. The UK was the first country to
introduce a mandatory costing initiative like the NRCE and fund on the basis of it.
Therefore, at the time we undertook the study, the events surrounding the NRCE were
unique. Whether similar costing initiatives would have the same averaging effect in
other countries is unknown. One possibility is that knowledge of the impact of the
NRCE in the UK would lead some clinicians in other countries to oppose costing even
more vigorously and, therefore, avoid the averaging consequence. Such an
eventuality would not undermine the validity of the result in the UK it would merely
indicate that human beings learn from the experiences of others in how to derail a
change that threatens their interests!
As it happened, we were fortunate that within the extended time period that
academic reviewing occupies, two events occurred which lent additional weight to our
conclusions. The first was that quantitative evidence emerged on a convergence to the
average cost amongst English hospitals. The second was that the government did
make an announcement about their further intentions; they revealed that funding to
hospitals in the future would be made on the basis of a national tariff and the small
print showed that this tariff would be based on the average cost (Department of
Health, 2002b). With these two additional sources of evidence to draw upon in the
paper the reviewers were much more willing to be persuaded and, at the second review
stage, the basic premise of the paper was accepted. Although one of the reviewers
asked for further amendments, these were not concerned with the extent of the
evidence base for our arguments.
This convergence to the average cost and the governments announcement that they
intended to fund on the basis of the average cost were both fortuitous developments so
far as our quest to have our paper published was concerned as, in the reviewers eyes,
these were indications that our singular respondent was correct. However, even if these
developments had not occurred, our respondent could still have been right. The
government could have intended to make everyone as average as they can but failed. If,
for example, the clinicians had been successful in preventing the government from
implementing the NRCE, then the two events that were taken by the reviewers as
confirming evidence would not have taken place. This would not necessarily have
implied that our respondent was mistaken about both the governments intentions and
the change agenda that was being implemented; only that their intentions were not
ultimately realised and, hence, the direction of travel in healthcare organizations shifted
from one where averageness was becoming the norm to one where the status quo was
being re-instated. If the government had failed on this occasion, the value of our singular
view does not necessarily become obsolete; it may well function as an indication that the
government will try again, and, therefore, be predictive of their future intentions.
We have argued here that ideas about representativeness and generalizability are
much more applicable when management research is concerned with the characteristics
of a phenomenon than with its meaning and significance. Canvassing all opinions and
taking the common view on the NRCE was useful to fill out the detail on its
characteristics. But, when it came to the meaning and significance of the NRCE as a
politically inspired change, initially just one person discerned what was going on.
Notes
1. Although the terms sense and significance are related in everyday discourse this paper
uses them in somewhat different ways. Sense is taken as equivalent to meaning which
not only follows from individual sense-making, but hinges on how something is connected or
related to something else for example, how an event is connected into an episode or how
social actors are related in an organizational structure (Polkinghorne, 1988, p. 6; Llewellyn,
2003). Assessments of significance are taken as equivalent to the judged importance of an
event and may well vary more over time than views about meaning or sense. For example,
as organizational events unfold an event that was initially judged to be of little significance
may assume much greater importance as the context changes over time.
2. Initially, the task of developing new linguistic terms and judgement criteria for case study
research was probably largely impossible this development had to proceed in conjunction
with the development of the method itself.
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3. Winch (1990), following Wittgenstein (1953), thinks that regularities follow from the
rule-based nature of social life.
4. Another approach that could have been taken by case study researchers was to deny that
scientific criteria were relevant to cases studies but, as argued earlier, this seemed to position
case studies as merely anecdotal, unsubstantiated and subjective. It is outside the scope of
this paper to report on new, non-scientific criteria for case studies, but see for example
Alvesson and Skoldberg (2000), Llewellyn (2003) and Sayer (1992).
5. The quotes in this section sometimes refer to hospitals as trusts, a label that reflects their
status as semi-autonomous entities within the NHS.
6. The NRCE began in elective surgery but has been progressively expanded since then.
7. An index score of 100 was an average cost performance, whereas scores above or below
100 indicated above or below average cost performance, respectively, e.g. a score of 102
reflects costs that are 2 percent above the average whereas a score of 98 may indicate a more
efficient hospital performance.
8. There are a huge number of possible clinical interventions. Consequently, the NRCE costed
clusters of them rather than single treatments. Each cluster was named a health resource
group (HRG). HRGs are a variant on the diagnostic related groups developed in the USA for
pricing healthcare services. The UK National Casemix Office constituted HRGs to . . . group
together treatments that are clinically similar, consume similar quantities of resources and
are likely to be similar in cost (Department of Health, 1998, p. 4).
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Department of Health (2002b), Reforming NHS Financial Flows: Introducing Payment by Results,
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Fielding, N.G. and Fielding, J.L. (1986), Linking Data, Sage, London.
Glaser, B.G. and Strauss, A.L. (1967), The Discovery of Grounded Theory: Strategies for
Qualitative Research, Aldine de Gruyter, New York, NY.
Latour, B. (1993), We Have Never Been Modern, Cambridge University Press, Cambridge, MA,
C. Porter (trans).
Llewellyn, S. (1992), The role of case study methods in management accounting: a comment,
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Llewellyn, S. (2001), Two-way windows: clinicians as medical managers, Organization
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Llewellyn, S. (2003), What counts as theory in qualitative management and accounting
research? Introducing five levels of theorizing, Accounting, Auditing & Accountability
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Llewellyn, S. and Northcott, D. (2005), The average hospital, Accounting, Organizations and
Society, Vol. 30 No. 6, pp. 555-83.
Mehan, H. (1979), Learning Lessons: Social Organization in the Classroom, Harvard University
Press, Cambridge, MA.
Polkinghorne, D.E. (1988), Narrative Knowing and the Human Sciences, State University of
New York Press, New York, NY.
Sayer, A. (1992), Method in Social Science, 2nd ed., Routledge, London.
Scapens, R. (1990), Researching management accounting practice: the role of case study
methods, British Accounting Review, Vol. 20 No. 3, pp. 260-79.
Silverman, D. (2001), Interpreting Qualitative Data, 2nd ed., Sage, London.
Strauss, A.L. and Corbin, J.M. (1990), Basics of Qualitative Research: Grounded Theory
Procedures and Techniques, Sage, Newbury Park, CA.
Wainwright, D. (1997), Can sociological research be qualitative, critical and valid?, The
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London.
Corresponding author
Sue Llewellyn can be contacted at: sl150@le.ac.uk
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Ahmed Kholeif
Department of Accounting, Faculty of Commerce,
Alexandria University, Alexandria, Egypt
Abstract
Purpose The aim of this paper is to present a reinforced version of structuration theory, known as
strong structuration theory, set out in Stones as a disciplined approach to qualitative case study
research in the organization, management and accounting fields. This framework challenges the belief
held by certain critics that structuration theory cannot be used in substantive empirical research but is
only a sensitising device or analytical tool.
Design/methodology/approach A conceptual discussion is the approach of the paper.
Findings The key concepts of strong structuration theory are outlined and then put in the context first
of two attempts to apply the framework to empirical research and second of two recent papers which
address theoretically informed qualitative research and the use of structuration theory in IT studies.
Research limitations/implications There are some limitations of this paper. The framework
offered was not used to set the original research questions in the two case studies employed as these
cases were conducted before the publication of Stones book in 2005. Also, as weaknesses in the
framework can best be assessed using empirical findings, a full evaluation cannot be carried out until
such research is undertaken.
Originality/value This paper draws on recent research and thinking in sociology that have yet to
be brought into case studies in the fields of accounting and management in particular.
Keywords Case studies, Accounting, Research methods
Paper type Conceptual paper
Introduction
In the 20 years since the publication of Giddens (1984) The Constitution of Society
structuration theory has been widely used in organisation, management and
Qualitative Research in Organizations
and Management: An International
Journal
Vol. 2 No. 3, 2007
pp. 208-225
q Emerald Group Publishing Limited
1746-5648
DOI 10.1108/17465640710835364
The authors would like to acknowledge advice and comments from members of the Management
Control Association, colleagues at the University of Essex, Department of Accounting, Finance
and Management and the reviewers of earlier versions of their work. In particular, they would
like to thank the two anonymous reviewers of this paper for their helpful, and very challenging,
comments.
accounting qualitative research. Baxter and Chua (2003, p. 100) observe that
structuration theory has provided a small but distinctive contribution to management
accounting[1]. Pozzobon (2004, p. 268) discusses the growing use of the theory in
strategic management studies and the use of the theory has been developed in
information technology research by Orlowski (1991) and more recently Pozzebon and
Pinsonneault (2005). Moreover, a number of organisation studies by Willmott, Roberts
and others are included in Brandt and Jarys (1996) definitive collection of Giddens
work on structuration theory and its influence. However, the use of structuration
theory is problematic: the complexity of the theory can mean that its use is somewhat
selective and lop-sided to use Whittingtons (1992, p. 693) term. More crucially, there
are fundamental areas of underdevelopment in Giddens work, such as the relationship
between agents, structures and external pressures, and there has been significant
debate about the central tenet of the duality of structure from critics such as Mouzelis
and Archer (Parker, 2000). The applicability of the theory to empirical research has
also been considered doubtful by Baumann, Thrift, Gregson and others who see
Giddens as a meta-theorist (Stones, 1996, pp. 115-117) and the majority of studies
employ the tool as an analytical device or as Giddens himself put it, a sensitising
device (Giddens, 1984, p. 231, 1989, p. 294; MacIntosh and Scapens, 1990, p. 469).
A recent book by Stones (2005), a sociologist who has written and debated on these
matters over the last 15 years, distils the criticism, debate and enhancements of
structuration theory into a form that he terms Strong Structuration Theory. This is
not an alternative version of Giddens theory but an attempt to provide a strengthened
version of the theory that has developed among current sociological thinkers which
will be primarily of use in empirical research. Recent reviews of Stones (2005)
Structuration Theory have recognised this work as being a substantive and
considerable development in the theory (Edwards, 2006, p. 911) and the most serious
attempt to date to give structuration theory a new lease of life (Parker, 2006, p. 122).
Parker (2006) goes as far as to say that Stones provides a radically different and
original theory to Giddens, despite being grounded in Giddens structuration theory.
Anyone attempting to explain or apply structuration theory has to consider the
structure/agency debate [that] continues to haunt organizational studies as Reed
(1997, p. 22) puts it. Stones (2005) does not solve the duality-dualism divide or the
problematic of critical realism as put in opposition to structuration theory (Parker,
2000)[2] although he has contended elsewhere that the realism-structure divide is not
irreconcilable (Stones, 2001). However, Edwards (2006, p. 913) is of the opinion that
Stones (2005) does provide a valuable contribution to the debate and will be used to
inform future research studies. Parker (2000, p. 137) acknowledges the contribution to
the debate and the positive implications of the work as a research guide but is
ultimately unconvinced that the problematic has gone away: he argues for the critical
realist approach of Archer and others (Parker, 2000, p. 138).
Users of structuration theory must be prepared to accept that the duality of structure
and the problematic nature of understanding the objective-subject nature of human
beings. Later in the paper, the use of position-practices in Stones (2005) formulation of
strong structuration theory is outlined. Earlier versions of this paper elicited the enquiry
why not use actor-network theory instead? Part of the answer lies in whether or not the
researcher wishes to investigate the role of structure in the matter under investigation.
Actor-network theory (like ethnomethodology and Foucaldian approaches)
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relies on the disruption of the dichotomy between structure and agency altogether (Steen
et al., 2006, p. 303; Reed, 1997, p. 23), whereas structuration theory relies on the identity
of action and structure. Here, the authors are to some extent experimenting with theory
by asking what the applications to research are if the duality of structure is accepted: the
subject of the paper is not a justification duality of structure against dualism or
non-structural ontologies. However, would be researchers need to confront this debate
for themselves. Actor network theory is addressed again later in the paper.
The authors believe that the framework offered by Stones (2005) has significant
potential for qualitative researchers in organisation, accounting and management and
that conversely, these fields offer a prime field in which to test the worth of the
framework. The key strength of Stones work is that it presents a well articulated,
ontologically sound argument for the development of structuration theory, which has a
much wider value than other empirically based approaches in the organisation and
management field, such as the recent study by Pozzebon and Pinsonneault (2005).
The contribution that the authors are seeking to make is not only in the introduction
of a new theoretical framework to their field of research. Underlying this is the
promotion of the case study as a means of experimenting with theory, testing it and
teasing it out using the empirical data whilst at the same time using the theory to mine
ever further to get that data. To that extent, there is much in common with Eisenhardt
(1989) on using case studies to build theory and Lee (1989) on case studies as
experimentation, rather than case studies as almost quantitative analyses of data (Yin,
1981) or as action research (Park, 2001). It certainly resonates with the more recent
exposition by Ahrens and Chapman (2006) on qualitative research and theory, which is
discussed below. Both theoretically and practically however, what is developed here is
the role of the researcher as an investigator, not just as an observer, interested stranger
or participant.
The first section of this paper simply offers an introduction to Stones (2005)
conception of strong structuration theory, emphasising three key contributions for
organisation research, namely the claim that structuration theory can be used
meaningfully for empirical work by providing an ontology in situ to support
Giddens ontology in general; the concept of a sliding ontological scale and of the
quadripartite nature of structuration. Stones framework for empirical study is then
presented, which has at its centre the identification of an agent in situ and develops
to identify the internal and external agents and structures associated with that pivotal
agent, and the importance of using the methodological bracketing of institutional
analysis and agents conduct analysis which is a key element of Giddens theory.
Because the aim of this paper is to set out the theory for consideration by researchers,
the discussion that follows is focussed on two areas. The first of these areas reflects on
two attempts to apply Stones theory in accounting contexts: one on the
institutionalisation of accounting practices in UK agriculture in the post war period
and the other on the introduction of an IT system as part of a programme sponsored by
the EU/Mediterranean programme. The second area puts what is offered here in the
context of two very recent papers, Ahrens and Chapman (2006) on the development of
theory and case studies generally and Pozzebon and Pinsonneault (2005) more
specifically on the use of structuration theory in IT studies.
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of position-practices is the meso or intermediate zone (Stones, 1996, p. 83). From there
the researcher can examine the networks and relationships between clusters of agents
within the delimited landscape they are observing part of an organization, for
example, or a department, or a government. Position-practices were posited by Cohen
(1989), drawing on the work of Bhaskar (1979), to provide what Thrift (1985, p. 618)
saw as the missing institutional link in Giddens work. Structuration theory hangs on
the methodological bracketing of institutional analysis and strategic (or agents)
conduct analysis (Giddens, 1984; Scapens and Macintosh, 1996; Stones, 1996, 2005).
Within that bracketing, Giddens used the term social positions as providing an
identity, prerogatives and obligations: specific institutional roles are a sub-set of social
positions, but the weakness is that he does not explain how these are fully reproduced
in the duality of structure (Cohen, 1989, p. 208). Social identity may explain how
structures persist but not how the actions of the incumbents of the positions reproduce
those identities structures run the danger of being reified, which is the problem the
duality of structure seeks to avoid. The work of Bhaskar (1979), in turn, envisages
practices of actors (in clustered groups) as creating structure, but Cohen dislikes the
notion that positions are slots into which actors are placed; this ignores the fact that
actors can take, modify and abandon roles rather than act within roles assigned to
them (Cohen, 1989, p. 209).
Stones (2005, p. 62) adopts Cohens (1989, p. 210) delineation of position-practices[3]
which enables the researcher to stress:
. . . the enactment of identities, prerogatives and obligations so as to form a link between
structure and agency. To speak, for example, of . . . a Chief Executive Officer, is not only to
refer to a positional identity, but also to a set of structured practices which
position-incumbents can and do perform [whether the incumbent chooses to act as
expected or to do otherwise].
a relational effect that recursively generates and reproduces itself. The point is that
for actor network theorists organisations and other structures are networks which
come to look like single point actors (Law, 1992, p. 2): for structurationists, agency and
structure are always present together, separately identifiable but not identical.
Actor-network theory and strong structuration theory both purport to address the
ontological and methodological weaknesses in Giddens structuration theory, particularly
its tendency to abstraction and difficulty of application to the ontic as Stones (2005)
terms it. The difference in approach is that whilst, as Parker (2006, p. 132) notes, Stones
strong structuration theory is strong because restricted to meso-level studies, actor
network theory claims to have done away with the need to consider the divide between
macro and micro-social considerations (Law, 1992, p. 7). Here, the authors are not arguing
for the superiority of actor network theory over structuration theory. They are simply
stating that Stones (2005) framework is a robust and credible theory for interpretative
research that has particular potential for case studies in organisation, accounting and
management studies. Jones and Dugdales (2002) paper applying actor network theory
and Giddens later theories on modernity to the ABC story could have been written using
strong structuration theory. It would not necessarily have been a better or a worse paper
but it would have been a different one, because the diagnosis of structure and the
emphasis on agents conduct and context in strong structuration theory would have
produced a different account of the emergence of ABC. As Stones (2005, p. 7) states:
[The] networks of relevant relationships can be researched and investigated more or less
conventionally, or more or less on the basis of the structural-hermeneutic diagnostics at the
heart of structuration.
This notion of position-practices was very relevant in the farm accounting case study
discussed below, where there are obvious clusters of actors within and without the
organization field, and where the relations between them (and the ghosts of past and
present actors) impact on outcomes. In the other study, the conceptualization of
external structures and resistance in strong structuration theory had the potential to
articulate the tensions and outcomes observed in the course of the study. Stones (2005,
p. 75) conceptualizes the duality of structure as four analytically, separate
components which he labels the quadripartite nature of structuration (Figure 1).
One aspect of Stones (2005) strong structuration theory that comes as a surprise to a
number of readers is the apparent disappearance of the three modalities of structure
identified by Giddens (1984, p. 29), namely signification, legitimation and domination.
These are downplayed in Stones work, and more emphasis is given to the
methodological bracketing of institutional analysis and the analysis of strategic
conduct in Giddens theory (Giddens, 1984, p. 289; Stones, 1996, 2005; Scapens and
Macintosh, 1996). Stones (1996, 2005) re-terms these as agents context and agents
context analysis, and proposes a quadripartite framework of structure in place of the
more recognised S-L-D (tripartite) framework. In essence, an analysis of the conduct
and context of different clusters of actors is one of the schemes of interpretation,
norms and allocation of resources/power that Giddens identifies but Stones broader
approach allows for a less restricted form of verstehen than the original.
These four components are external structures as conditions of action, internal
structures (i.e. within the agent), active agency and outcomes (Stones, 2005, pp. 84-5).
The researcher must carefully delimit the action-horizons of the agents in situ in order to
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Figure 1.
The quadripartite nature
of structuration
Agent
(1)
External
Structures
(2)
Internal Structures
(a)
ConjunctuallySpecific
knowledge of
external
structures
(3)
Active
Agency/
Agents
practices
(4)
Outcomes
(b)
General
dispositions
or habitus
establish what they and/or the agents regard as the line between external and internal
structures (Stones, 2005, p. 84) for the context studied. Position-practices within the
external, autonomous structures can be considered in abstract or substantively.
External structures constitute acknowledged and unacknowledged (by the agent in
focus) conditions of action and may be the basis for unintended consequences of
action (Stones, 2005, p. 109); the conditions may constrain or enable action by the
agent in focus (Stones, 2005). Where the external structures are completely autonomous
of the agent, affecting social conditions regardless of the agents own wishes (housing
markets for example), then actions by the external agents may influence the actions of
the agent in focus, but these will be independent causal influences (Stones, 2005, p. 111).
Stones distinguishes these occurrences from those where the agent in focus has the
physical capacity to resist the external influence but feels that they do not have the
ability to resist; these he terms as irresistible external influences (Stones, 2005, p. 112).
The latter was of some importance to the study on IT adoption discussed later in this
paper, because whether the accountants in the organisation in focus felt that they have
the ability to do otherwise than as the EU body wants, and whether in the long-term
they can resist the external influences on action from this external structure, was at the
heart of the events described in the case study.
Internal structures in this quadripartite scheme are divided analytically into two
components (Stones, 2005, p. 85). The first of these is termed conjecturally specific
internal structures and the second general-disposition structures or habitus (after
Bourdieu, though the previous term is preferred to distance the theory here from too
close an association with practical action) (Stones, 2005, p. 87). Stones (2005, p. 88)
envisages the general-dispositional as something the agent draws on without thinking
and so encompasses:
. . . transposable skills and dispositions, including generalized world-views and cultural
schemas, classifications, typifications of things, peoples and networks, principles of action,
typified recipes of action, deep binary frameworks of signification, associative chains and
connotations of discourse, habits of speech and gesture, and methodologies for adapting this
range of particular practices in particular locations in time and space.
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drawn both from ethnography, survey and interviews. Stones (2005) uses studies
drawn from ethnography and historical research, as well as a re-interpretation of
Ibsens The Doll House. As in any good sociological research, triangulation of sources
provides reassurance and credibility (Yin, 2000, pp. 91-3) and furthermore, the theory
itself provides one point of triangulation (Stones, 1996, pp. 77-8). The use of the
framework neither prescribes nor rejects the use of any particular method of data
collection.
What Stones (2005, p. 81) does envisage though is that the researcher is carrying out
an investigation. A structuration study is one that engages at least at a minimal level,
with a combination of hermeneutics and structural diagnostics (p. 133). Such a study
also recognises that:
. . . it will simply not be possible to investigate [authors italics] the interplay of structure and
agency in any meaningful sense without a sufficiently discriminating, austerely delimiting,
focus of attention on a restricted number of germane points on the historical and geographical
landscape (p. 82).
This is in accord with Giddens (1989, p. 300) reflections on a sensitising broad theory:
. . . every social system, no matter how small or ephemeral, or large-scale and permanent,
gains its systematic qualities only through regularities of social reproduction. The ways in
which such regularities which consist of social practices are organized in and through the
behavior of contextually located actors have to be subjected to empirical investigation. Modes
of institutional articulation across time and space are building blocks of time-space
distanciation.
Parker (2006) despite his overall misgivings, does acknowledge that the framework
offered forces the researcher to thoroughly engage with the who did what, where,
when, how and why of the study. This is research as drilling down, as detective work,
as systems auditing, as psychotherapy: thorough investigation carried out with a
healthy dose of professional scepticism. It is the researcher as the highly sensitised,
methodical, professional asking questions until all angles are covered and an intuitive
feel for the patterns and subtle abnormalities involved has been achieved.
It is not possible to give precise guidelines on how an analysis of agents schemes
can be undertaken or a diagnosis of structural techniques. This is a situation where the
professional researcher must call on the concepts of the general-dispositional and the
conjecturally-specific to frame questions that will elicit from the subjects, from
documentation and from observations their knowledge of themselves, their context
and their boundaries. It is building up a very visual, spatial image of the networks and
patterns of action involved and separating the intended consequences from the
unintended. The epistemological justification for our interpretation must be judged in
much the same way as in other areas of critical theory. The aim is not verification or
verisimilitude (Putnam et al., 1993, p. 234). Whether the final case study is a
convincing account, one that will persuade the readers that his or her portrayal is a
good one as is contended in that paper by ethnographists, or whether it is an account
that produces social transformation through developing insights that allow actors to
cope with distorted communication and to participate openly in constructing new
meanings as the critical theorists contend or whether the researcher manages to make
the familiar exotic and problematic (Alvesson and Deetz, 2000, p. 167) or simply
unearths patterns and maps that were previously unconsidered, then there is
In brief, the question of why certain accounting practices have persisted over a 50-year
time span and a wide space of action as in the case of the use of the agricultural gross
margin in UK agriculture since the 1960s involved a taking a broad view over that
time-space and the clusters of actors involved. The researcher needed to float over the
structures and over the longue duree of their history. Yet the research also needed to be
hermeneutically informed: why had the actors chosen to reproduce the institution over
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the years in this form? As noted above, structuration studies are characterised by a
concern for both hermeneutics and structural diagnostics (Stones, 2005, p. 81).
However, it was clear that in a farming context, accounting practices are not
necessarily day-to-day actions or even thought of from one day to the next by some
actors. A high level of contextualization and concentration on a very few actors would
not expose why the institution persists over such a wide space and time in such a
situation. A number of actors from each identified group (farmers, government, and
advisors), giving overviews of their own and the industrys practices a mid-level
contextualization were required.
The empirical findings were presented as two investigations into two episodes in
the lifecycle of the agricultural gross margin. The first investigation was an historical
review of contemporaneous literature and documentation covering the episodes of
initiation and implementation c.1960 and the episodes of institutionalization, which
was completed c.1972 (when Britain joined the European Economic Community and
the Common Agricultural Policy (CAP) regime). The second investigation covered the
present day, which could be characterised as a period of apparent inertia and is an
episode where the institution could be on the verge of change arising from external
pressures. Thus, the two episodes of institutionalisation and of current
position-practices which may or may not be on the verge of change were
covered. This follows Stones (2005, p. 82) advice that:
. . . one could imagine focusing in detail on two events separated by: (i) a long period of time;
or (ii) large tracts of space, that can be demonstrated to have a relation to one to the other
which is identifiably a relation of structuration.
This chimes with one of Giddens (1984, p. 244) key concepts that all social life is
episodic. He says that:
. . . in referring to the type of social change involved in an episode I mean to indicate both how
intensive and how extensive it is . . . how profoundly a series of changes disrupts or reshapes
an existing alignment of institutions and how wide-ranging such changes are (p. 246).
By then exploring more deeply the aspects of signification, legitimation and dominance
within the institution and its clusters of actors the author was able to successfully
achieve a rich analysis of the nature of the accounting practice ( Jack, 2005).
Study two
The second case study is about the experience of introducing an ERP system into the
IMC, the executive body of the Industrial Modernization Programme (IMP) jointly
funded by the EU and the Government of Egypt (Kholeif, 2005). This study, taken from
the viewpoint of the agents in focus (the accountants in the Finance Department),
covers a short time-span, but within that short time (2001-2005) presents a failed
attempt to establish organizational structures. The Finance Department had a
dominant role in the running of the organization, but this was insufficient either to
resist the external pressures placed by the governments of the EU and Egypt or the
internal pressure exerted by the component managers. The ERP system, chosen as the
means of interpreting the IMCs role in the IMP, failed to gain legitimacy with either
cluster of agents, and the outcomes were a system that suited the way the component
managers wished to work and the imposition of the intranet-based system created by
those put in place by the EU Commissioners. The Finance Department contained
agents more knowledgeable about the possibilities and functions of an ERP system,
but less knowledgeable about the overall aims and ambitions of the
Euro-Mediterranean process. The EU, although an external agent, had greater
legitimacy through its broader programmes and established structures, and through
the resources in terms of money and established procedures than the Finance
Department. The component managers had greater legitimacy in their
position-practices, as they were more directly carrying out the work of the IMC with
businesses; thus they were able to more clearly define their role as being separate from
that of the Finance Department and not integrated with them, and so simplified the
practices of the Finance Department to being that of information provider.
Thus, we have a clear outline of what Stones (2005, p. 75) terms the quadripartite
nature of structuration. The external agents (the EU, Egyptian Government and
vendor) provided the conditions of action. The agents in focus were attempting to
create organizational structures, rules and routines to govern action, but were in turn
acting in accordance with general dispositions (as accountants and former corporate
employees) and performing conjecturally specific actions (setting up an ERP system)
that reproduced familiar structures from their past. The outcomes were unintended,
but arose from the resistance generated between the structures and actions envisaged
by the external agents and between internal agents influenced separately by external
agents and the agents in focus.
The data collection for this study was carried out before the publication of Stones
book in 2005. However, the researchers were informed by, and intended to use,
structuration theory and institutional theories in their interpretation. Strong
structuration theory gave an enhanced analysis of the actions and structures
observed, by allowing the analysis to stretch into the conditions of action set by the
external agents to become a more substantial element of the analysis. However, had
Stones (2005, p. 75) framework been used from the start of the project, then it would
indeed have guided the questions and framework of the research, sensitizing the
researchers to ask further questions concerning the role of the EU and, perhaps,
directing the research to include more interviews with the external agents themselves.
The sliding scale image would guide the researchers to position the research to
severely delimit it (Stones, 2005, p. 78) and thus sharpen the analysis obtained.
Had the EU Commission (in the Euro-Mediterranean partnership) been chosen as
the agent in focus, then we would have moved up the sliding scale and the study would
have been more of a floating study (Stones, 1996, p. 77) and less deeply
contextualized. The relationship between the EU and Egypt stretches over a much
longer timescale than the existence of the IMC, and is bound with general policies of
democratization, trade agreements and modernization. We would have touched
down (Stones, 1996, p. 77-8) in the IMP and seen just one example of what Lister (1997,
p. 70) called the awkward development of the EUs Mediterranean policy and what
Youngs (2002, p. 54) claims is the EUs lack of effort to work out a strategy to
encourage a type and form of economic engagement conducive to prompting political
change the underpinning reason behind EU investment in the south Mediterranean
region. Were the researchers to go further up the sliding scale again, into the realm of
ontology-in-general, then this same study could be viewed from above as part of the
working out of ideologies of democratization and modernization.
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In both studies, the use of strong structuration theory ideas enhanced the analysis of
the data available but by themselves they are not sufficient to fully evaluate the
framework and its potential. In order to fully evaluate the strengths and the
weaknesses, research should be carried out that is designed as a structuration study
from the outset following the principles in the offered framework: the potential of this
method is that it both expands the sensitivities of the researcher to the actors and
structures under observation whilst imposing a level of discipline on the qualitative
researcher.
In the context of current papers
There are two recent papers which indirectly offer support for the use of strong
structuration theory in qualitative case study research. In the first of these, Ahrens and
Chapman (2006, p. 837) are concerned with the process of research in which:
. . . to generate findings that are of interest to the wider management accounting research
community, the qualitative field researcher must be able to continuously make linkages
between theory and findings from the field in order to evaluate the potential interest of the
research as it unfolds. This ongoing engaging of research questions, theory, and data has
important implications for the ways in which qualitative field researchers can define the field
and interpret its activities.
They observe that qualitative field study is not simply empirical but a profoundly
theoretical activity where the task for the researcher and writer is to express the field
as social and not simply to clarify it (p. 819). Researchers should avoid a banal
application of theory to findings, implying relevance but instead use the findings to
draw out new theoretical insight into management practices (accounting in this
instance). Their paper is salutary reading for the qualitative researcher.
Stones (2005) framework for substantive research that is theoretically informed is
in sympathy with the views of Ahrens and Chapman (2006). What is being offered in
the strong structuration framework is an approach (not a prescription) for carrying out
field work that envelopes data, theory and research problems. The conflation of
ontology and method is avoided (Ahrens and Chapman, 2006, p. 822), as Stones
framework is developed from strongly argued ontological grounds and the insistence
on combining hermeneutics and structural diagnosis (Stones, 2005, p. 81). Although
only one theory is applied, rather than multiple theories as Ahrens and Chapman prefer
to see ( p. 823), that theory is complex and many layered. Domains must be strictly
delineated (Stones, 2005, p. 82; Ahrens and Chapman, 2006, p. 827). Thus, strong
structuration theory appears to offer an approach to field studies that is both
disciplined and non-trivial, and thus in tune with best practice as set out in Ahrens and
Chapmans paper.
The second paper, by Pozzebon and Pinsonneault (2005) is entitled Challenges in
conducting empirical work using structuration theory: learning from IT research is
interesting because it broadly comes to the same conclusions as Stones (2005). They
suggest concrete directions for improving empirical research using structuration theory.
Firstly, researchers should hone in on three sensitising devices: duality of structure,
time/space and actors knowledgeability. Secondly, employing both narrative and
temporal bracketing either fine-grained or broad-grained is similar to the ideas of levels
of contextuality employed by Stones (1996). They observe (p. 1369) that:
The use of ST has helped IT researchers to understand better how technologies provide
meaning, are used to exercise power and legitimize certain outcomes to the detriment of
others, and how people produce or reproduce or enact organizational practices by using
certain technological properties and not others.
These findings, which are closely aligned to the approach taken by Stone, support the
potential relevance of strong structuration theory in organisation, management and
accounting studies.
However, the paper by Pozzebon and Pinsonneault (2005) also indicates a trend in
recent structuration studies in management and accounting. Pozzobon (2004) in his
review of structuration theory in the management literature concludes that the theory
has often been appropriated by researchers in strategy not as the primary theoretical
foundation but as a broad framework or envelope, as a general premise incorporated
into existing approaches or as an integrative theoretical tool. He also notices that there
is a greater concentration of papers c.2000 than earlier, suggesting an increasing
adoption of Giddens ideas: what is noticeable is that the majority of these papers draw
on earlier organisational writers and the Giddens earlier works as their primary
sources. Very few, if any, draw on criticism or thinking from sociology in the last
decade. The latest sociological work cited by Pozzebon and Pinsonneault (2005) is
Cohen (1989). Similarly, in accounting research using structuration theory, no papers
with the exception of Scapens and Macintosh (1996) touch on the extensive critical
work on Giddens since 1984, even where such works as Bryant and Jary (1996) are
cited. Very few in the accounting field draw on his later work on modernity (with
the exception of Jones and Dugdale, 2002; Seal, 2003; Seal et al., 2004). The primary
source for accounting researchers is Roberts and Scapens (1985) paper. Therefore, the
methodological developments of Stones, Cohen, Thrift and others and a number of
critical debates have been bypassed: one contribution of this paper is to draw recent
sociological research into the organisational domain.
Concluding comments
The use of structuration theory in case studies by organisation, management and
accounting researchers is relatively well established, but in order to develop
researchers in these fields need to remain aware of the growing body of work by
sociologists in what might be called the school of structuration theorists (Stones, 1998,
p. 11). The debates around duality, dualism or the non-necessity of either are still
ongoing, and the arguments that Giddens theory is too abstract and underdeveloped
for use in empirical study has led a number of social theorists to develop and
strengthen the theory. The most significant recent contribution to this ongoing
development is Stones (2005) book, Structuration Theory, in which he argues for a
reinforced ontology that enables substantive empirical social studies to be designed
and carried out being informed throughout by the theory. The book has been
recognised as being of considerable use to future researchers (Edwards, 2006; Parker,
2006).
The use of structuration theory in accounting, organisation and management
studies has been largely as an interpretative tool, often applied at some point mid-way
or towards the end of a study. Here, it has been argued that Stones (2005) framework
could enhance case study work in these fields by introducing both a design stage to
those studies that is specifically structurationist and impose a discipline on the
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researcher, to ask more penetrating questions of their sources and themselves that will
elicit responses about internal and external agents and structures, context and
perceptions of conduct. A structuration study as Stones (2005, p. 133) says, is one that
encompasses both hermeneutics and diagnosis of structure.
The use of strong structuration theory though is more than just a promotion of good
research practice based on a well-argued ontology and epistemological practice.
Being relatively untried, using strong structuration with the case study method also
allows researchers to experiment with the theory, to test it and in so doing, to
contribute to the ongoing debate, to develop theory themselves. Ahrens and Chapman
(2006) have argued that researchers should regard qualitative field study as a
profoundly theoretical activity and the response here is that the strong structuration
theory framework fully embraces that idea. The contribution of this paper is to argue
that the use of Stones (2005) framework is particularly suited to case study research
and to the development of the practice of developing case studies in accounting,
organisation and management that also contribute back into social theory. The
position of the researcher is presented as analogous to that of an investigator,
elucidating the case through evidence, theory, experience and intuition.
Strong structuration theory may address a significant number of the problems
perceived to be associated with Giddens structuration theory but it does not solve the
problematic of duality against dualism, although it does go some way to lessening
the gap between them. Just as in mathematics, however, the acceptance or refusal of
one axiom can lead to the construction of a new mathematical system, so if the
researcher is prepared to go along with the duality of structure, the results may be
surprising and insightful. Social theory in accounting, organisational and management
studies should be respected but is also there to be played with and investigated and
made part of what if trains of thought in the mind, based on the findings of empirical
research. Yes, this is a new framework which needs to be evaluated but organisational,
management and accounting research is ideally suited for this task: by their nature,
organisations are placed in the meso-level subject to the pressures of external
institutional and societal actors and structures and vulnerable to the actions of its
actors who might at any point choose to do otherwise.
Notes
1. Baxter and Chua (2003) are looking only at papers published in Accounting, Organisations
and Society, although this does contain most of the significant accounting papers on the
subject. There has been a growing number of case studies since 2000 (Conrad, 2005; Caglio,
2003) that use structuration theory but these are almost exclusively based on the earlier
seminal papers by Roberts and Scapens (1985) and MacIntosh and Scapens (1990).
Developments in management studies have been reviewed by Pozzobon (2004).
2. The critics of Giddens . . . hold that to explain the structuration of social structures by
recognising both the contributions of objective processes and human powers of agency does
not necessitate abandoning the dualism of structure (object) and (agency). Dualism asserts
the non-identity of the two, whereas Giddens asserts their identity (Parker, 2000, p. 9). To
adopt Giddenss theory, one must subscribe to this concept of the duality of structure, that
structures are expressions of action and that there is always an agent involved in the
reconstitution or reproduction of structures (Giddens and Pierson, 1998, p. 78). For Giddens it
then follows that institutions are structures that are chronically reproduced by
knowledgeable actors over time and space.
3. Cohen (1989, p. 210) sets out the minimum definition of institutionalised position-practices as
being an observable positional identity with associated prerogatives and obligations;
clusters of such practices; other interrelated incumbents of position-practices; reciprocities
between incumbents of clusters of position-practices.
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Corresponding author
Lisa Jack can be contacted at: ljackb@essex.ac.uk
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Introduction
After long experience with case study research, I have begun to feel increasingly
uncomfortable. The feeling is that case study research does not develop as a research
methodology. Over several decades, I have also devoted my research to relational
aspects of marketing. This has progressively led up to network theory and its
application to marketing. I have realized that it is all about life. I am not a student of
marketing, I am a student of life through marketing. Embracing a broad qualitative
and humanities-oriented world-view, I believe you can study life through anything; life
exists in each cell, each galaxy, each event and each discipline, irrespective of how
mundane or grand it may appear. I discovered that network theory and case study
research are birds of a feather. As such, they should flock together but so far they
do not.
The paper is an invitation to dialogue rather than an effort to tell the reader how
things are or should be. Put in internet lingo, there is an open-source code like the
Linux operative system which invited computer geeks to develop an initially crude
concept and has continued to do so since 1991; and the more recent Wikipedia,
presenting itself as the free encyclopaedia that anyone can edit. Our increased
understanding of customer participation and customer-to-customer interaction (C2C),
the explosion of user-controlled web sites and communities and the idea about the
future internet as a platform for user participation (Web 2.0), and the current interest in
a new service-dominant logic (Vargo and Lusch, 2004; Lusch and Vargo, 2006) support
the customers role as co-creators of our economies. The same role duality applies to
scholars as they swing between being producers of science and consumers of science.
Dialogical orientation (Ballantyne and Varey, 2006) should outrank the hard sell,
win-lose debates and defence of established but often outdated concepts, theories and
methods.
The term management will be used henceforth as the collective designation for
business administration (or increasingly just business) and public administration. It
includes a series of subdisciplines, among them organization, leadership, accounting,
finance and marketing.
In the centre of the paper is a treatise of the two methodologies case study research
and network theory. They have basic properties in common; above all they address
complexity. As case study research is known among qualitative researchers, only some
specific aspects, which I consider less known and in need of dialogue and rethinking,
are presented. In contrast, network theory is less practiced in management research,
particularly when you consider the contributions from natural sciences. The paper
presents links between case study research and network theory and offers an overview
of network properties. I do not as yet feel the time is ripe to offer a more structured
comparison but rather to draw the readers attention to an opportunity for exciting
developments in research methodology. The paper ends with conclusions and
recommendations.
A mainstream dividing line in research is whether one should test extant theory or
generate new theory. Let me initially establish my conviction that management is in
need of more innovative and daring research, quantum leaps and paradigm shifts. As
social scientists look up to the scientific approaches in physics, it may be appropriate to
quote Einstein: To raise new questions, new possibilities, to regard old problems from
a new angle, requires imagination and marks real advances in science. This is a
broader, overriding alternative to the current piecemeal contributions where tiny
details and simplistic causal relationships between two or a few variables are studied
in a contextual vacuum, deprived of real life complexity and dynamics. The current
research tradition is more rituals-oriented in an effort to stand out as scientific, and it is
less result-oriented. This is unnecessary as the demarcation line between theory testing
and theory generation is artificial and superfluous. By emphasising innovation and
continuous improvements, theory-in-use will be constantly exposed to comparison
with new theory. So, may the best one win and the loser withdraw with no
hard feelings.
The two methodologies could be combined, using network theory within case
studies as both a way to generate and structure data and as an analytical technique.
Case study research speaks a verbal language while network theory speaks a
nodes-and-links language and provides a foundation for graphical, mathematical and
computer processing without rejecting verbal language. Network theory offers
traditionally narrative case study the option to take a leap forward by introducing a
different type of data generation and processing. Those who master verbal language
and write well can offer both rigour and freedom in expression and interpretation. By
being different but with the same interest in complexity, cross-fertilization between the
two is possible.
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Complexity
Business is in constant flux and it is only partially predictable. A research method
therefore must allow the study of change processes. Snapshot at one point of time
(statics) may be totally inadequate and a series of discrete snapshots (comparative
statics) may be more adequate but not enough to satisfy business reality. For an
extreme case that contains all the ingredients of a Shakespearean play, follow the
developments of the European aircraft manufacturer Airbus and the intricacies in
designing, financing, producing and marketing its new super-jumbo passenger jet and
its race with the market leader, the American Boeing. The drama is continually
reported in the business press. Even the brief media reports offer enough material to
create respect for the complexity that has to be tackled. Our methodology must be
responsive to complexity, or research in management will neither make a contribution
to theory, nor to practice. An example of such responsiveness is Bakir and Bakir (2006)
who apply grounded theory to the elusive concept of strategy. They do not buy the
conventional and rationalistic simplifications but dive right into the complexity of
strategy through multiparadigm inquiry.
Case study research tries to respond to complexity by providing rich and thick
descriptions in the sense suggested by Geertz (1973). But the genome of case study
research stretches beyond such descriptions. It allows the study of complexity, context,
ambiguity and chaos. It allows a holistic, systemic approach with an unlimited number
of variables and links. It allows an inductive approach without considering extant
theory, but can also be deductive or a combination of the two. It offers freedom in the
choice of data generation and analytical techniques with little regulation. It is
innovative, entrepreneurial and non-bureaucratic. It endorses the urgency of access to
reality and has validity and relevance in focus. Access may be denied for social,
physical, or resource reasons, but should not be impaired by the imposition of
approved but insensitive data collection and analysis techniques.
Complexity will be used as a term to represent all those factors, links and other
circumstances that make research difficult and uncertain. Although accepted in
natural sciences, the social sciences quantitative mainstream, including management
disciplines, feels uncomfortable with complexity.
Being complex means that multiple factors and relationships are interdependent.
Context therefore is a major dimension of complexity. With reference to quantum
theory, Zohar (1997, p. 46) points out that To be known, to be measured, to be used, a
quantum entity must always be seen within the larger context of its defining
relationships. Pick one or two factors from a context and insulate them and you
regress to the mechanical idea that if you study all the details you can screw them
together like they were parts of an engine and there is the whole! The
Humpty-Dumpty syndrome, derived from the old nursery rhyme in which Humpty
Dumpty fell off a shelf and went to pieces, shows in common-sense language that
specialization:
. . . resembles all the kings horses and all the kings men tackling the puzzle created by the
fragments of Humpty Dumptys broken body. . . Despite the fragmentation in professional
specialties, professionals and managers are expected to somehow put their and only their
pieces of Humpty Dumpty back together again. Further, they are to accomplish this task
without really understanding what Humpty Dumpty looked like in the first place, or what the
other professions can do to make him whole again (Waddock and Spangler, 2000, p. 211).
The fact that Humpty Dumpty was an egg and assuming that it was raw and not
hard-boiled, makes the dilemma even more obvious. How do you put a broken egg
together? It is an organic, live phenomenon whose elements mix and merge after a
crash and quickly degenerate much like an organization or a market.
We will now proceed to the assessment of quality and productivity of case study
research and how management research can leave behind routinely applied quality
criteria and learn from industry.
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There is also talk about productivity of research but quality and productivity are
interrelated in a complex web. What would a working trade-off between quality and
productivity look like? There is no general answer, only specific, context-dependent
answers. To force pseudo-productivity, for example measuring how many articles
faculty wrote last year, is detrimental over the long-term. Currently, those who want to
pursue and maintain an academic career are pressed to publish at least two articles per
year in blind-reviewed international journals, preferably in top journals. In a
benevolent interpretation, the number is a productivity measure, and the peer review
and journal status are quality indicators. Turned into points, scales and rankings,
however, a deceptive security is reached; we bury our heads in the sand in the belief
that we become invisible.
The demands on the researchers can be viewed as efforts to keep quality and
productivity under political and bureaucratic rather than scholarly control. In
academe, certification bodies and promotion committees have established elaborate
systems of credits that include, for example, the ranking of the journal in which you
published, if you wrote it alone or with co-authors, if these co-authors come from the
same department and the same university as you or from elsewhere, and if your name
is listed first, second, etc. This system has given birth to large publishing houses
specialising in journals for academic promotion rather than journals for disseminating
scientific advancements. From a marketing perspective, publishers are right; they fill a
need in the market.
There are many catches here which would take separate articles to discuss. Let me
just mention one or two. It is recommended that everybody should publish in
international top journals. To become a top journal usually takes decades and the
international top journals in management disciplines are American. European
journals are scornfully referred to as second tier journals. New journals covering
innovative research and being entrepreneurial are looked down upon.
The whole situation is a paradox but driven with ferocious blindness. For example,
in marketing everybody wants to publish in the Journal of Marketing (JM). In
approximate terms JM receives 300 new scripts per year and 100 scripts that come
back after revision. It can publish 30, meaning that very few academics can get a script
accepted in JM, even in a lifetime. Further, there is a backlog of several years.
A rejection does not automatically mean bad quality; it is also a matter of what the
editor considers a good fit in accordance with JMs mission, and an appealing mix of
articles in a certain issue. Each script is reviewed by three reviewers which are at
least in theory blind or anonymous and the editor. There are certain criteria but all
these require a series of judgement calls from each individual judge, meaning that the
review process is guided by a mix of objective, intersubjective, subjective, quantitative
and qualitative criteria in unknown proportions and with unknown weights. The good
news is that the real bad scripts are weeded out but the bad news is that the real good
ones may be as well. Innovation, breaking with a reigning paradigm, which is a
necessity for quantum leaps in science, by definition does not comply with mainstream
criteria. At the same time, we cry for innovation. The risk is that we get
more-of-the-same mediocrity, albeit the mediocrity is of high standard.
Quantitative research is a priori defined as superior to qualitative research, a claim
which is on such divine level that no evidence is necessary; it is a God-given fact.
A wide-spread rumour claims that you must include a quantitative part to get articles
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published and that one or a few cases are not enough. This is only partially true and
my prediction is that it is changing in favour of cases. The best thing with the plethora
of journals and conferences is that they open up an unregulated market with numerous,
decentralized decision-makers guided by different paradigms. People can still take
initiatives without being dependent on established, power-playing professors and
university bureaucrats, and innovation and entrepreneurship is given a chance.
Sometimes an abundance of data that has required numerous interviews, audio
recordings and transcripts during a lengthy period of time, is mistaken for high
quality. In a discussion with Barney Glaser, co-creator of grounded theory, he stated
that a research project should not take too long six months at the most. The quality
will not forever go up, but after a while starts to decline and so will productivity. Rich
descriptions can become filthy rich; thick ones can become overweight.
Academe can learn from business and government organizations where quality
management under different labels, including productivity and financial outcomes, is a
big issue. Belatedly, in the 1980s, it was realized in the Western World that quality and
productivity cannot be upheld without the concerted effort of every little detail in an
organization, its suppliers, distribution network, leadership, human resource
management, and so on. Among the quality systems are Lean Production,
Six Sigma, ISO, and the quality awards such as the European Quality Award and
the US Baldrige Award. They provide extensive lists of criteria, questions and
comments 40-50 pages which have to be considered by those who seek to improve
and maintain quality. They increasingly stress the outcome while initially the stress
was on following procedures and installing enablers. Compared to this variety and
richness, mainstream scientific quality criteria stand out as poor.
As uncovered in the study by Cassell et al. (2006), it is not unusual that ignorant
reviewers of case study research lean on criteria from statistics and hypotheses testing
in the conviction that these represent general criteria for scientific evaluation. Three
common quality criteria in science are validity, generalisability and reliability or some
variation of these. Validity in its generic sense is of cardinal importance in case study
research. Have the researchers been able to capture the phenomenon they are chasing
or have they studied something else? Generalisability is closely related to validity and
is sometimes called external validity. It can take place on many levels, from a narrow
generalization within a limited substantive area to universal validity. In applied
research and consulting, the interest is primarily in specific applications of research
results. However, it is desirable and sometimes mandatory that academic research
gives a contribution to science in general, albeit it may be a limited contribution.
The favourite of science is reliability. A study with high reliability can be replicated
by others and everyone should arrive at roughly the same result. This is usually not
attainable when you study complex phenomena, especially when change is a major
force. Still reliability can perform a few odd jobs in case study research: as a police
function (uncover dishonest research); as an intelligence test (are the scientists clever or
stupid); and as a validity crutch (validity seems beyond reach and reliability is
established and validity is assumed) (Gummesson, 2000).
Others have pointed out the need for contingent criteria to evaluate qualitative
research in management and that there are institutionalized biases in favour of
quantitative research (Lee, 2006). For example, Guba and Lincoln (1994) argued that
qualitative research should not be evaluated by means of reliability and validity
alone those criteria were designed for quantitative research and suggest
trustworthiness, divided in four sub-criteria: credibility, transferability, dependability
and conformability. Seale (1999) lists several detailed efforts to establish general
quality criteria but advocates that such criteriology is non-productive. He sees
qualitative research as a craft skill in the same sense as the researchers experience and
personality are the most valuable instrument and that each methodology is affected by
that, including quantitative research. He wants to erase the borders between
philosophical, political and theoretical positions; research could benefit from whatever
there is, be it positivism, constructivism, or postmodernism. But, he is not as eclectic as
I am when I claim that we should include approaches from natural sciences as well.
This standpoint will be further explained in the section on network theory.
The first quality decision concerns what research to prioritize. It should follow the
industrial imperative: Do the right thing. But, who decides what is the right thing to
focus on? It creates a problem for innovative research as it may antagonize mainstream
supervisors, examiners, reviewers and funding bodies. They do not believe in it or they
simply do not grasp it. We have to accept that innovative research always involves
risk-taking.
Although I have argued well over 20 years now that academe should listen to what
manufacturing, services and government have learnt about quality I seem to be crying
in a desert (Gummesson, 2000). But we are addressing quality in business and
management research and why cannot we learn from its practice? Is it still that
business schools only go to sociology and ethnography to learn about research and
science? It certainly seems so when looking at the references to articles. How then are
we going to establish methodology in business and management?
Having accepted the choice of a certain research topic, the quality focus moves to
the implementation and outcome of the project. In Table I my own efforts to combine
lessons from quality management in business and academe, quality criteria and
strategies have been assembled in a checklist. It can be used in two ways. The first is
during a research project to avoid that early mistakes are repeated and contaminate
future stages of the project. It follows another industry imperative Do it right the first
time. However, it is essential to note that quality management in industry is primarily
focused on systematic assessment of continuous and controlled activities and not on
innovation. One of the most innovative companies since decades is 3M. It has boasted a
creative culture and proved that it gives results. When a Six Sigma programme was
implemented profitability stock price and shareholder value rose, mainly because
productivity was improved (meaning short-term cost reduction). After a couple of
years, the creative environment had declined to a stage where it is now critical to
re-establish its vitality (Hindo, 2007). If innovation is restricted to certain rules, it dies
by definition, but at certain stages, it can include elements of discipline and standard
procedure.
The second use is to assess the outcome of a project. Industry has gone from quality
control of the finished product to a focus on each element during the process. In
academe, there is a similar development albeit not as clear especially as a true research
project only contains a certain amount of repetitive behaviour and a larger element of
developmental behaviour. Research should not be the object of just a last minute
verdict. What is required is a delicate balance between making quality certain under
way without interfering with unorthodox and innovative thinking. The ideal is that a
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Table I.
Checklist for quality
assurance of case study
research
project should not need any quality checks when finished; it has been taken care of
during the journey. That is what supervisors are for; they are coaches.
Nobody can score high on each issue; such a demand would inhibit innovation. The
goal should be to reach a satisfactory level with regard to the type of research and the
imperfections that occur in the practice of research. However, procedural adherence
I followed the rules and did it by the book is not sufficient; it will promote research
ritual over results.
The outcome of the quality assessment therefore is a weighted impression through
examiner reflection and dialogue. For example, a precise statement of the researchers
paradigm (point 2 in Table I) may be premature if the researcher is experimenting with
a new paradigm. It may not be clear what premises guided the researcher; this requires
further study in a new project. If the demand is initially too strict, it would impede
innovation. Another example is the demand for adequate access (point 4). There can be
many impediments in getting access but the awareness of access failures helps to
assess validity (point 5).
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Table I.
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As case study research handles complexity, it seems natural that the assessment of
quality and productivity is complex, too. I mentioned earlier that the mere listing of
criteria and questions on quality applied to organizations soliciting quality awards
requires 40 to 50 pages. Mine is not that long but could of course be expanded. In its
current form, it is a manageable compromise and it is far beyond what is recommended
in methodology handbooks.
Ideally, the checklist should also include productivity and the links between
productivity and quality and the generation of new knowledge. However, nobody so
far has been able to find guidelines for such a trade-off. It is possible to establish
simplistic demands like two articles per year in blind reviewed top scientific journals
and books do not count. Although such statements may seem rock solid and
hands-on, they promote rigidity and tie the hands of scientists rather than stimulate
quality, productivity and innovation. They encourage risk avoidance, me-too
mainstream research and robot-like testing of extant theory, and they impose
arbitrary constraints on what is amenable to research all because this is convenient
to measure. It encourages ritual over results. The ritual should be a supportive enabler,
it should facilitate the researchers survival in a messy world, but the enabler is just a
means, not the end. Strict ritualism discourages true search which includes risk-taking
but can result in discovery and improved knowledge. At the end of the day even with
this convenient rigidity the overall assessment rests with the personal feelings of the
judges and their nose-and-tongue perception of the world. Objective criteria are
preferable (if they exist in a truly objective form) and intersubjective, peer-approved
criteria can facilitate research during a period (but not for ever). Researchers must also
be trusted with the ability to understand what is right.
Further, we have to acknowledge that the bulk of knowledge has not yet been
communicated because it lacks words or numbers. It is experienced by individual
researchers or research teams; it is tacit knowledge. Hopefully, it may some day
become explicit knowledge but that may take its time. Demanding immediate clarity is
the kiss of death before birth. To scorn intuition, sound judgment, common sense,
and experience is an expression of academic snobbism. Even these academic
bureaucratic and snob scientists end up with nose-and-tongue overall assessments,
where the tipping-point in one direction or the other may be no more than a personal
and emotional whim.
Network theory
Establishing the link between cases and networks
My first encounter with network theory came through sociograms in the 1960 s. They
described how Laura related to John, how John related to Richard, and so on. Since, the
1970 s, interorganizational networks have been successfully tried on, for example,
business-to-business marketing (B2B). These applications stayed with me and kept
pleading for attention. In the early 2000 s, I suspected that one of the big problems with
relationship marketing, customer relationship management (CRM), and one-to-one
marketing was their focus on the dyad, the relationship between a single supplier and a
single customer, rather than on the whole context in which the dyad is embedded.
I decided to write a book about networks in marketing. It first came out in Swedish
under the title Many-to-many Marketing with the subtitle From one-to-one to
many-to-many in the marketing of the network economy (Gummesson, 2004).
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I have found close affinity between case study research and network theory, but the
grammar is different. Case study research is not a theory. It is usually a verbal,
narrative description sometimes supplemented by graphs, pictures and quantitative
elements that matures into analysis and conceptualization. There is an art and science
of text interpretation (hermeneutics) offering guidelines but not strict rules. The
grammar of networks is nodes and links.
It was not until recently that it dawned on me how close the two methodologies are
in addressing the complexity of masses of data, contextual dependency, dynamic
situations, and fuzzy variables. It became clear to me that the two are not in conflict but
supplement each other.
Buchanan (2003, p. 6) makes a connection between social networks and natural
sciences:
Networks that have grown up under different conditions to meet markedly different needs
turn out to be almost identical in their architecture. Why? A new theoretical perspective is
helping to answer this question and is enabling researchers in almost every area of science to
begin tackling some of their most challenging and important problems.
He concludes that the network perspective has come into its own:
Physicists have entered into a new stage of their science and have come to realize that physics
is not only about physics anymore, about liquids, gases, electromagnetic fields, and physical
stuff in all its forms. At a deeper level, physics is really about organization it is an exploration
of the laws of pure form (p. 165, italics added).
the previous paragraph, but in some instances specific references are given. To
contribute to the overview, Table II exhibits an index of the concepts and properties.
Nodes, hubs (highly connected nodes), links and interaction are the basic elements
of all networks. The nodes can represent anything of importance to describe and
explain a phenomenon. Often, a node is a person or an organization but it can just as
well be a concept, an event or a machine; it is a matter of researcher discretion. For
management disciplines which deal with both people and technology, especially
information technology that is now brought into every corner of society, it is essential
that both human and technological elements can be shown in interaction. One example
is the concept of high tech/high touch, saying that when technology becomes more
intense in our lives we need to compensate that with human touch. It can also be used
to emphasize the need for technological and human balance. High tech and high-touch
interact and are supplementary.
The network builds up the whole and the parts at the same time, offering an explicit
and orderly way of doing so. It is systemic or holistic and thus caters for the basic
property of context. It allows the study of fragmented detail but offers techniques to
put detail into context and not leave it hanging as does conventional statistical
research.
Each specific network applies the elements and properties in an individual way.
Networks therefore come in many shapes and are shaped by many forces. Examples
are the centralized network (one hub), the decentralized network (many hubs) and the
distributed network (no hub). The topology of networks refers to the network
landscape, its size and the structure of nodes and links.
Structured descriptions are usually linear, presenting events in steps like a chain
(an example is the well known value chain) or chronologically. Networks are
independent of sequence; they are nonlinear and allow iterations, the jumping back and
forth between the elements of a phenomenon. Linear equations require that anomalies
and other disturbing phenomena are sedated and toned down or the equation cannot
be solved but gone is validity.
Cascading failure
Centralised networks
Change
Cluster
Cluster coefficient
Connectors
Context
Contingency
Critical state
Decentralized
Degree exponent
Distributed networks
Dynamics
Embeddedness
Error tolerance
Note: For explanation, see the text
Fit-get-rich
Fitness
High tech/high touch
Holistic
Hub
Interaction
Iterative
Links
Nodes
Non-linear
Phase transition
Planned network
Power law
Preferential attachment
Process
Random network
Rich-get-richer
Robustness
Scale-free network
Self-organizing
Six degrees of separation
Small world
Spreading rate
Structure
Systemic
Threshold
Tipping point
Topology
Winner-takes-all
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Table II.
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numerous links to a large number of small hubs with fewer links; it is oligopoly. The
winner-takes-all network leaves little to others and a single hub controls the bulk of the
links; it is monopoly. Once IBM was close to monopoly in computer hardware and only
intervention from anti-trust laws stopped them. Airlines are obvious networks and in
Europe the upstart Ryanair in 2007 passed the long established British Airways in size.
The reason was fitness, manifested in low price and overall efficiency.
Networks are traditionally perceived as structures but they are as much the
processes going on in the structures and the processes of changing the structures.
So network theory allows change, the dynamics that characterize life in general and is
a pressing issue in business. Phase transition is about transfer from disorder to order.
Power laws take over in phase transitions and the laws are general to behaviour in
nature and society. For example, there are parallels between atoms and consumers. At a
critical point, we have to stop viewing atoms as individuals as they group themselves
in communities where the atoms act in unison. We recognize this in marketing: going
from the individual to communities or segments that buy the same things for the same
reasons. Free capitalist markets are self-organizing when millions of consumers make
choices, not independently because they are influenced by the context of network
belonging, but the variation is so huge that the choices can only be loosely and
temporarily controlled. Companies try to exert control through individual
relationship-building; parasocial relationship-building though symbols such as
brands and storytelling; availability and distribution networks; and even the
creation of physical addiction (examples are medication and sugar). Companies are
trapped between order and chaos and the dream is to reach the state of zero degrees
Celsius when the rather disordered liquid water customers suddenly changes into
a perfectly ordered state ice.
Natures ecosystem has a greater topological robustness and error tolerance than
human-made systems. It can sustain basic functions even if many nodes and links go
bust. Cascading failure refers to a breakdown in one part of a network that builds up
and spreads throughout the network. While sometimes a small node or link can make
all the difference, sometimes the breakdown of a large number of nodes and links does
not incapacitate a network. There is a tipping point, meaning that events accumulate
and reach a point of sudden change. We may not note the signs of the gradual process
because we understand too little of network behaviour. The breakdown of a large hub
may cause instant failure. If the focus by business, government and the media is on big
corporations, the gradual disappearance of small firms and the slowing down of
start-ups and entrepreneurial activity will not be noted underway. Having reached the
tipping point, the process may be irreversible and the effect can hit hard.
When an epidemic or an innovation spreads we want to know the spreading rate
the likelihood that a person will adopt it and the critical threshold, which is the
quantity determined by the properties of the network in which it spreads. If the
spreading rate is below the critical threshold it will die out; if it is above, the number of
adopters will grow exponentially. The thresholds of individuals vary widely, but a
single persons behaviour can trigger collective behaviour and cause unexpected
and sudden events (Granovetter, 1978). We do not know why mobile phones suddenly
spread so fast and why other IT products did not or died. In management, we rely on
plausible explanations and storytelling about events and their links. New theory of
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critical states may in the future give other explanations, equally applicable to physical
and social phenomena (Buchanan, 2003, p. 106).
Several of the general law-like findings that we have discussed are partly
counterintuitive: the small world, the spreading rate, and the tipping point. It is
therefore essential that the outcome of studies in modern mathematics, physics and
other sciences is also tried on social phenomena. Much to the surprise of natural
scientists, certain network laws have been found to be universal and apply to such
differing phenomena as the foodweb of an ecosystem (who eats who), the connected
neurons in the human brain, the dissemination of innovation in consumer markets, the
breakdown of financial markets, and the growth of Google. The world wide web is
one of the largest human-made networks; it is an infrastructural network just like the
roads, the electricity grid and the telecom system. They all display general structures
and processes although the applications include specific features. There is obviously
some organizing principle of the world on a deeper level that transcends the boundaries
between social and natural sciences.
For example, history is usually associated with the humanities; it is the history of
people and nations. Anything that is exposed to change has a history and therefore not
only social sciences but also natural sciences are dependent on the past. Among them
are archaeology, evolutionary biology, geology and astronomy and the economic
sciences economic history, management, and economics. History, as we know it from
the school-books, is usually based on narrative efforts to link events, find possible
causality and make interpretations. The rationale for such storytelling is contingency;
unique events occur in unpredictable ways. If life is networks and there are laws that
control networks, sometimes mathematical laws can be found. As it is often claimed
that history at least in part determines the present and the future we need to be
able to chart events and their links better than just as accidents and qualitative
interpretations. It now seems as if the power laws and hubs of complex systems can
help us. It has been demonstrated that dominant web sites, mergers, globalization and
financial breakdowns obey the same laws as cells and fractals of self-similarity of river
networks and tree branches. General laws apply to some extent whether the object is
people, corporations, cells, galaxies or the internet.
Discussion
Network theory offers several advantages to researchers. In a systematic and rigorous,
yet innovative fashion it can accommodate more dimensions than any other approach
that I have come across with case study research as the runner up.
First, network theory offers an attitude to management thinking. By accepting the
network lenses of nodes and links and all the other concepts and properties that
network theory has brought to the fore, we can see management in a new and
productive light. Second, the application of network theory to management is a
supplement to case study research. By trying out network thinking, we will increase
our understanding for its potential for research in management. Third, it allows us to
work on different levels of sophistication including verbal and theoretical discourses,
field studies, experiments, computer simulations, graphics all the way from
hand-drawn sketches to computer-generated patterns, and mathematical and
statistical studies. It can be applied intuitively and experientially but also in a
scientific and scholarly mode. It fits both theoretical and practical requirements.
On the surface, cases and networks may seem very different. However, snorkelling
and diving into their underwater world has revealed a close kinship between the two.
They share the same mission: to uncover complexity. Case study research and network
theory are supplementary, and it is my contention that increased understanding of
networks will advance case study research. The two can make a marvellous team.
Case study research is associated with social sciences and qualitative research,
while network theory transcends the boundaries between social and natural sciences
and can be used both qualitatively and quantitatively. Social scientists do not seem to
tread on the turf of natural sciences while natural scientists, unabashedly offer
comments and conclusions on social phenomena. Network theory is used in social
sciences but to a lesser degree than case study research. Business schools in general are
not well-versed in network theory, some not even in case study research. However,
I sense quicker development of network theory than of case study methodology.
To really understand a methodology, you need first-hand experience of applying it
to the complex reality of management and you need a good coach and a mentor to
guide you. Once, after everybody had talked about the difficulties to grasp all the
subtleties of grounded theory, its foremost advocate Barney Glaser got tired and said:
Just do it! I am of the same mind as Barney. Academics often elaborate endlessly and
eloquently on abstractions and details instead of getting started and learn in action.
A study reported by Johnson et al. (2007) found eight ways of perceiving qualitative
management research. Having a clear identity which obviously quantitative social
researchers believe they have may seem enviable but it can be a token of fear of
complexity, a way to cocoon itself from outside threats. If we deal with a fuzzy reality
we have to match that with research techniques that allow for fuzziness, and I think
this is what modern physics and mathematics have been doing during the past 100
years. This has gone unnoticed by quantitative social sciences.
The abundance of literature on methodology gives me an uncanny feeling of being
exposed to Harry Potter-like witchcraft and wizardry beyond my intellectual
comprehension. For example, The Sage Handbook of Qualitative Research is 1,210
pages and it is a goldmine (Denzin and Lincoln, 2005). But gold does not come in pure
form; it is embedded in rock and the magic trick is to extract the gold grains or
occasionally even lumps. Despite the rich content, I often cannot find what I am looking
for and I get distracted by less precious metals. At the same time, I feel that it is too
much. It suffocates me through its wealth and it alienates me: do I belong here? Of the
59 authors of the handbook, 21 come from education, 17 from sociology, ten from
anthropology, eight from communications, and three from other areas. One chapter
claims that economics, sociology and political science receive the bulk of social science
research money and dominate social science publications (Greenwood and Levin, 2005,
p. 53). However, economics and political science are not in the book, and psychology
and management are marginally mentioned. At Stockholm University, Sweden,
management as measured by the number of students, constitutes half of social sciences
and is ten times bigger than economics. In this sense, the handbook is not
representative of social sciences. In reviewing the Second International Congress of
Qualitative Inquiry, Lee (2006) notes that out of about 200 sessions, only one was
dedicated to qualitative research in different management disciplines. He further says:
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It can be claimed that management has borrowed much of its methodology from other
sciences, not least statistics and sociology, and that the methods are universally
applicable. However, to productively deploy a method or research technique requires
preunderstanding of institutional conditions of the object under study. For example, to
use sampling techniques and make a survey inside a company or of its customers, to
interpret the data, and to transform them into decisions, action and eventually financial
results requires understanding of the profit concept and consumer behaviour. Market
research may be the only management area where the application of research
techniques has acquired a recognized identity. Another example, recognized only in
limited circles, is management action research (Gummesson, 2000; Coghlan and
Brannick, 2005). Originally inspired by Clark (1972), I adapted action research from
being a method to activate underprivileged groups to solve their own problems with
researcher support, to a method for management researchers to get privileged access
through close involvement as decision-makers and actors, simultaneously researching
the process for scholarly purposes. The key characteristic then is not primarily help
others help themselves but being involved in whats going on and understand it
through first hand experience.
Making research work requires both regulated procedure and judgment calls, both
preunderstanding and sensitivity to new data, both logical reasoning and
free-wheeling creativity. If too regulated research becomes mechanical, stifles the
minds of students, and makes them follow rituals that are against their experience and
beliefs, makes them simplify, reduce and even cheat to come to the finish of a study.
For the convenience of academics, a series of dubious strategies have become
mainstream; I am even inclined to refer to them as institutionalized deception. They
are part of intersubjective peer agreement and their application is little challenged;
critique may even jeopardize an academic career. As researchers, we may never have
understood the underpinning qualitative and subjective assumptions of what we do
our paradigm or we have forgotten how harmful assumptions can be if unwisely
chosen. Harmful and deceptive research strategies include routinely reducing human
beings to numbers, statistics, averages, distributions, probabilities, negligible
minorities (a negligible 0.1 per cent of Chinas population is 1.3 million individuals!),
side-effects, anomalies (irritating little things that disrupt approved theories or collapse
a beautiful structural equation), and contextless fragments. Further, straightforward
causality between an independent and a dependent variable is just a special case. It is
often no more than co-variation, and independent variables are the exception as they
are all embedded in a context. Delimitations by routinely excluding small factors and
weak links ignore the tipping point effect.
I agree with the claims of Greenwood and Levin (2005, p. 53) in their demand that
social sciences and universities must re-think their direction and mode of operation:
. . . one can only be amazed by the emphasis that so many conventional social scientists still
place on the claim that being scientific requires researchers to sever all relations with the
observed. Though epistemologically and methodologically indefensible, this view is largely
dominant in social science practice . . . This positivistic credo obviously is wrong and it leads
away from producing reliable information, meaningful interpretations, and social actions. . .
They further say that the positivist credo . . . has been subjected to generations of
critique, even from within conventional social sciences. Yet it persists, suggesting that
its social embeddedness itself deserves attention (italics added).
This embeddedness in networks of relationships, its contextual dependency, has led
me to the psychology and sociology of science. It may be claimed that methods should
not be handled individually by each researcher, although researcher personality
always exerts an influence on their practice.
I refer to it as persona and researchscape embracing the individual personalities
who inhabit a discipline or a university department, and their behaviour (Gummesson,
2006). Behind the scientific front, the persona and researchscape of real life offer a
spectrum of human virtues and frailties. Scientists are no more or less moral and
dedicated than any other human species. They, too, are affected by the seven deadly
sins and the counteracting seven virtues (in brackets): pride/hubris (humility), envy
(satisfaction), wrath (patience), indifference/laziness (diligence), greed (generosity),
gluttony (abstinence), and lust (chastity). We can apply yin and yang on each of these
opposites and recognize that it is the tension between them that makes life vibrate.
For example, a dash of greed is necessary to make a profit but coupled with generosity
it makes life so much more pleasant for all stakeholders, and too much humility is just
as counterproductive as is too much pride. Exposing that the alleged objectivity of
scientific research is tinted by human persona, widens the understanding of the reality
of science. I recommend that every methods book should have a chapter on persona
and researchscape.
Western science is full of stereotyped categories. The tendency to turn categories
into foes rather than co-existing buddies is self-deceptive. One of the two is appointed
superior the winner and the other may be tolerated as a temporary alternative, but
is in essence a looser. Examples are qualitative/quantitative, natural sciences/social
sciences, theory generation/theory testing, goods/services, supplier/customer,
hierarchy/network, and competition/cooperation. These categories are neither rooted
in the concrete mud of reality they are pseudo-empirical; nor are they well
conceptualized on a higher level of abstraction they are pseudo-theoretical. They are
stuck in the middle offering sweeping generalizations and paradigmatic assumptions
that are taken for granted, often unknowingly. For example, goods and services have
become separated in literature and research without proper attention to their
interdependency (Gronroos, 2007).
The natural sciences/social sciences divide is counterproductive, and it has been
mentioned above that modern physics can be viewed as organization theory. The divide
is based on a notion that natural life and social life obey different laws. This is true with
mainstream social and natural sciences but not with their modern versions. Both, case
study research and network theory look for patterns but they approach them differently.
In similar vein, the qualitative/quantitative dichotomy in social sciences and
management is unfortunate. It can be used in select applications but not as a general
vantage point for the choice of techniques for data generation; the need for close access is
a healthier start (Gummesson, 2000). All quantitative research includes qualitative and
subjective assumptions and conclusions. Interestingly, modern natural sciences and
mathematics represent a shift from quantity to quality and they are more concerned with
qualitative features than with precise values of variables (Capra, 1997, p. 134).
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Qualitative and quantitative, natural and social are not in conflict but they should be
treated in symbiosis.
Conclusions and recommendations
In summary, I would like to advance the following conclusions recommendations:
.
Further develop the quality and productivity of case study research as a
methodology, the way it is taught in classes and supervised for theses on all
levels, the way it is practiced, and the way it is assessed by examiners and others
who have the power to officially determine the quality of science.
.
Complexity in the broad sense in which it appears in complexity theory
including context, dynamics, nonlinearity and other related areas, and thus
addresses phenomena that are fuzzy, ambiguous, chaotic and unpredictable is
the core phenomenon which unifies case study research and network theory.
.
Consider network theory a supplementary and supportive companion to case
study methodology, start teaching it, and apply it in research, papers and theses
on all levels.
.
Management is in need of innovation and theory generation, more so than the
testing of contextless detail. Owing to their capacity to address complexity case
study research and network theory are ideal for creating better and more general
theory on a higher level of abstraction.
.
Bring in modern natural sciences and weed out old and inadequate mathematical
and statistical variants that are non-productive together with the pompous
declarations of being scientific when using numbers.
.
Accept that management and its subdisciplines constitute the bulk of social sciences
today and develop more textbooks, classes, and conference tracks that are based on
experience from research of management issues. Learn from the comprehensive
methodological developments in sociology, ethnography, education and other social
sciences but acknowledge that management has its own tradition of developing,
adapting and using methodology, and lift this to the fore.
.
Stimulate researchers create a scientific persona and researchscape that is less
dependent on bureaucratic regulations and cover-ups for human shortcomings
(such as defending status quo, a narrow world-view, rituals at the cost of results,
and greed and envy) and more dependent on a constructive will to contribute to
our understanding of management, with the ulterior motive to improve life
quality and offer a better society.
References
Achrol, R.S. and Kotler, P. (1999), Marketing in the network economy, Journal of Marketing,
Vol. 63, pp. 146-63.
Bakir, A. and Bakir, V. (2006), Unpacking complexity, pinning down the elusiveness of
strategy, Qualitative Research in Organizations and Management, Vol. 1 No. 3, pp. 152-72.
Ballantyne, D. and Varey, R.J. (2006), Introducing dialogical orientation to the service-dominant
logic of marketing, in Lusch, R.F. and Vargo, S.L. (Eds), The Service-dominant Logic of
Marketing: Dialog, Debate, and Directions, M.E. Sharpe, Armonk, NY, pp. 224-35.
Barabasi, A-L. (2002), Linked: The New Science of Networks, Perseus, Cambridge, MA.
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Obituary
We are very saddened by the death on May 27 this year of Professor Frank Heller, a
member of the QROM Editorial Board. Frank had a most illustrious academic career
over many decades and the organizational research community in general owes him a
substantial debt. However, our memory of him is also more personal. Frank was
invariably supportive and encouraging of our work towards raising the profile of
qualitative research. He participated in seminars we organised, wrote book chapters for
us and reviewed articles all of this in a spirit of unfailing interest and willingness to
help. We also shared very many intellectually stimulating conversations at conferences
and in meetings which encouraged us to be both inclusive and reflexive in our work.
Most of all, we will remember him for his generosity, humour and great patience.
He will be deeply missed but will continue to inspire our work.
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