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Boswellia papyrifera (Del.) Hochst is a flagship species of semi-arid areas of the East African region with substantial economic, ecological and cultural values. However, its persistence is currently threatened by both anthropogenic and natural pressures. This calls for an immediate conservation action. Planting seedlings of B. papyrifera in natural habitats using nursery-grown seedlings from seed and cuttings has been little successful. Fencing of naturally regenerated seedlings (wildlings) established under the parent trees could be used as an alternative option. The objective of this study was to examine the effect of fencing on the seedling establishment and growth of B. papyrifera wildlings. The experiment was conducted using 36 plots in fenced and open conditions. The results showed that fencing significantly enhances the establishment and growth of B. papyrifera wildlings compared to the open areas. Fenced wildlings exhibited higher survival rates, increased height, greater leaf numbers, larger root collar diameters, larger leaf areas and higher leaf biomass compared to non-fenced wildlings. Therefore, the protection of B. papyrifera seedlings using a fencing intervention can improve the overall establishment and development of B. papyrifera seedlings, thereby contributing to the sustainable conservation and restoration of this valuable species.
Free riding involves benefiting from common resources or services while avoiding contributing to their production and maintenance. Few studies have adequately investigated the propensity to overestimate the prevalence of free riding. This is a significant omission, as exaggeration of the phenomenon is often used to justify control and coercion systems. To address this gap, we investigate how the common good approach may mitigate the flaws of a system excessively focused on free-riding risk. In this conceptual paper featuring illustrative vignettes, we argue that the common good perspective is realistic and effective in preventing this excessive attention by promoting trust as an unconditional gift and a response to vulnerability. We discuss the common good perspective’s originality over the dominant approaches and propose a set of ethical and managerial recommendations that may be the best protection against this excessive focus and maybe even against free riding itself.
To determine whether poorer performance on the Boston Naming Test (BNT) in individuals with transactive response DNA-binding protein 43 pathology (TDP-43+) is due to greater loss of word knowledge compared to retrieval-based deficits.
Methods:
Retrospective clinical-pathologic study of 282 participants with Alzheimer’s disease neuropathologic changes (ADNC) and known TDP-43 status. We evaluated item-level performance on the 60-item BNT for first and last available assessment. We fit cross-sectional negative binomial count models that assessed total number of incorrect items, number correct of responses with phonemic cue (reflecting retrieval difficulties), and number of “I don’t know” (IDK) responses (suggestive of loss of word knowledge) at both assessments. Models included TDP-43 status and adjusted for sex, age, education, years from test to death, and ADNC severity. Models that evaluated the last assessment adjusted for number of prior BNT exposures.
Results:
43% were TDP-43+. The TDP-43+ group had worse performance on BNT total score at first (p = .01) and last assessments (p = .01). At first assessment, TDP-43+ individuals had an estimated 29% (CI: 7%–56%) higher mean number of incorrect items after adjusting for covariates, and a 51% (CI: 15%–98%) higher number of IDK responses compared to TDP-43−. At last assessment, compared to TDP-43−, the TDP-43+ group on average missed 31% (CI: 6%–62%; p = .01) more items and had 33% more IDK responses (CI: 1% fewer to 78% more; p = .06).
Conclusions:
An important component of poorer performance on the BNT in participants who are TDP-43+ is having loss of word knowledge versus retrieval difficulties.
The sequence $a( 1) ,a( 2) ,a( 3) ,\ldots, $ labelled A088431 in the Online Encyclopedia of Integer Sequences, is defined by: $a( n) $ is half of the $( n+1) $th component, that is, the $( n+2) $th term, of the continued fraction expansion of
Dimitri Hendriks has suggested that it is the sequence of run lengths of the paperfolding sequence, A014577. This paper proves several results for this summed paperfolding sequence and confirms Hendriks’s conjecture.
Compound-specific radiocarbon analysis (CSRA) provides the possibility to date sample material at a molecular level. N-alkanes are considered as specific compounds with high potential to CSRA. As these compounds originate from plant waxes, their radiocarbon (14C) analysis can provide valuable information about the age and origin of organic materials. This helps to reconstruct and understand environmental conditions and changes in vegetation in the past. However, CSRA has two main challenges: The small sample size of CSRA samples, making them extremely sensitive to blank effects, and the input of unknown amounts of extraneous carbon during the analytical procedure. According to the previous study from Sun and co-workers, we used different-sized aliquots of leaves Fagus sylvatica (nC27, nC29) and Festuca rubra agg (nC31, nC33) as modern standards and two commercial standards (nC26, nC28) as fossil standards for blank determination. A third commercial standard (nC27) with predetermined radiocarbon content of F14C = 0.71 (14C age of 2700 BP) serves to evaluate the blank correction. We found that the blank assessment of Sun and co-workers is also applicable to n-alkanes, with a minimum sample size of 15 µg C for dependable CSRA dates. We determined that the blank introduced during the analytical procedure has a mass of (4.1 ± 0.7) µg carrying a radiocarbon content of F14C = 0.25 ± 0.05. Applying the blank correction to a sediment sample from Lake Holzmaar (Germany) shows that all four isolated n-alkanes have similar 14C ages. However, the bulk material of the sediment and branches found in the sediment core are younger than the CSRA dates. We conclude that the disparity between the actual age of analysed organic material and the age inferred from radiocarbon results, which can occur in sediment traps due to delayed deposition, is the reason for the CSRA age.
The feedback between particle-size segregation and rheology in bidisperse granular flows is studied using the Stokes’ problem configuration. A method of lines scheme is implemented to solve the coupled momentum and segregation equations for a normally graded particle size distributed bulk at constant solids volume fraction. The velocity profiles develop quickly into a transient state, decoupled from segregation yet determined by the particle size. From this transient state, the velocity profile changes due to the particles’ relative movement, which redistributes the frictional response, hence its rheology. Additionally, the particles’ relative friction is modified via a frictional coefficient ratio, by analogy with the particles’ size ratio. While positive values of this coefficient exacerbate the nonlinearity of the velocity profiles induced by size differences, negative values dampen this behaviour. The numerical solutions reproduce well the analytical solutions for the velocity profile, which can be obtained from the steady-state conditions of the momentum and segregation equations for the transient and steady states, respectively. Segregation–momentum balances and four characteristic time scales can be established to propose two non-dimensional quantities, including specific Schmidt and Péclet numbers that describe broadly the segregation–rheology feedback. The proposed scheme, theoretical solutions and non-dimensional numbers offer a combined approach to understand segregation and flow dynamics within a granular bulk, extensible across many flow configurations.
We investigate whether ordinary quantification over objects is an extensional phenomenon, or rather creates non-extensional contexts; each claim having been propounded by prominent philosophers. It turns out that the question only makes sense relative to a background theory of syntax and semantics (here called a grammar) that goes well beyond the inductive definition of formulas and the recursive definition of satisfaction. Two schemas for building quantificational grammars are developed, one that invariably constructs extensional grammars (in which quantification, in particular, thus behaves extensionally) and another that only generates non-extensional grammars (and in which quantification is responsible for the failure of extensionality). We then ask whether there are reasons to favor one of these grammar schemas over the other, and examine an argument according to which the proper formalization of deictic utterances requires adoption of non-extensional grammars.
This study draws together theories of women’s substantive representation and research on politicians’ knowledge of constituent preferences. We ask whether politicians are better at predicting their constituents’ policy preferences when they share the same gender. In doing so, we contribute to knowledge about the mechanisms underlying substantive representation. Using original surveys of 3,750 Canadians and 867 elected politicians, we test whether politicians correctly perceive gender gaps in their constituents’ policy preferences and whether women politicians are better at correctly identifying the policy preferences of women constituents. Contrary to expectations from previous research, we do not find elected women to be better at predicting the preferences of women constituents. Instead, we find that all politicians — regardless of their gender — perform better when predicting women’s policy preferences and worse when predicting men’s preferences. The gender of the constituent matters more than the gender of the politician.
Based on Nathan Goldstein’s case report, “But I have a pacer…there is no point in engaging in hypothetical scenarios”: A Non-imminently Dying Patient’s Request for Pacemaker Deactivation, it is reasonable to conclude that it was, all-things-considered, ethically appropriate to grant the patient’s request to deactivate her pacemaker. Philosophically, and as a clinical bioethicist, I support the team’s decision to honor the patient’s request for pacemaker deactivation. However, it is worth exploring a bit further whether the distress on the part of the outside hospital’s ethics committee and providers—who declined to honor the patient’s request for pacemaker deactivation—may actually track something of moral significance. Might their discomfort around deactivation be “truth-tracking” in moral terms?
This work presents a simple analytical model for the streamwise and radial variations of turbulent kinetic energy dissipation in an incompressible round turbulent jet. The key assumptions in the model are: similarity in the axial velocity profile with a Gaussian shape, axisymmetric flow and the dominance of radial derivatives of the mean velocity over axial direction derivatives (similar to boundary layer theory). Initially, a simplified eddy-viscosity relation for turbulent stresses is derived using the algebraic stress model by Gatski & Speziale (J. Fluid Mech., vol. 254, 1993, pp. 59–78). Subsequently, with this eddy-viscosity relation, the relation for variations of turbulent kinetic energy dissipation is formulated using the conservation of turbulent kinetic energy. To extract the necessary constants of the model, experimental velocity statistics for round jets are obtained through particle image velocimetry measurements. The experimental results of the mean entrainment coefficient for turbulent jets are also analysed. When comparing the radial variation of turbulent kinetic energy dissipation from the model with experimental results at Reynolds number $1.4\times 10^5$ and numerical results at Reynolds number $1200$ from the available literature, we observe a maximum error of $10\,\%$ and $15\,\%$, respectively. Finally, using the validated model, we analyse the impact of mean velocity evolution parameters on the behaviour of turbulent kinetic energy dissipation and discuss its potential significance in future studies.
This study expands on previous research into filler-gap dependency processing in second language (L2) English, by means of a replication of Canales’s (2012) self-paced reading study. Canales, among others, found that advanced L2-English speakers exhibited the same processing behavior that Stowe (1986) found for native English processing: On encountering a filler, they posited gaps in licensed positions and avoided positing gaps in grammatically unlicensed island positions. However, the previous L2 studies focused on advanced-level L2 proficiency and did not test specifically for first language (L1) influence. The present study compares two groups of intermediate-level L2-English speakers with contrasting non-wh-movement L1s, Jordanian Arabic and Mandarin, to investigate the effects of L1 influence and individual differences in proficiency. Our results provide evidence that at intermediate level, too, L2 filler-gap processing adheres to grammatical constraints. L1 did not affect this behavior, but proficiency effects emerged, with larger licensed filled-gap effects at higher proficiency.
This article introduces the concept of “hijacked victimhood” as a form of strategically leveraging victimhood narratives. It is a subset of strategic victimhood, which is a relatively common communicative strategy whereby groups claim victimhood status in contests over power and legitimacy. Political leaders who use the strategy of hijacked victimhood present dominant groups as in danger, as current or future victims, and in need of protection (especially by the crafter of the narrative) from oppressive forces consisting of—or indirectly representing—marginalized and subaltern groups. In the process, leaders hijacking victimhood blunt the rights-based claims of such groups. Analyzing Viktor Orbán’s and Donald Trump’s elite rhetoric in Hungary and the United States, respectively, we inductively document varieties of hijacked victimhood in their political communication, showing how Orbán leverages historical suffering and resistance while Trump constructs economic and value-based harms for dominant groups. Making both conceptual and empirical contributions, we argue that at the heart of hijacked victimhood is a reversal of the victimizer–victim dichotomy, a new portrayal of moral orders, a teleological ordering of past and future harms, and a mobilization of security threats—all used to preserve or expand a dominant group’s power.
Floods are the most frequent natural disasters with a significant share of their mortality. Preparedness is capable of decreasing the mortality of floods by at least 50%. This paper aims to present the psychometric properties of a scale developed to evaluate the behavior of preparedness to floods in Sudan and similar settings.
Methods:
In this methodological scale development study, experts assessed the content validity of the items of the developed scale. Data were collected from key persons of 413 households living in neighborhoods affected by the 2018 floods in Kassala City in Sudan. A pre-tested questionnaire of sociodemographic data and the Flood Preparedness Behavior Scale (FPBS) were distributed to the participants’ houses and recollected. Construct validity of the scale was checked using exploratory factor analysis (EFA) and confirmatory factor analysis (CFA). Internal consistency of the scale was checked using Cronbach’s alpha. Test-retest reliability was assessed by Pearson’s correlation coefficient. Item analyses and tests of significance of the difference in the mean scores of the highest and lowest score groups were carried out to ensure discriminatory power of the scale items.
Results:
Experts agreed on the scale items. Construct validity of the scale was achieved using EFA by removing 34 items and retaining 25 items that were structured in three factors, named as: measures to be done before, during, and after a flood. Confirmatory factor analysis confirmed the construct obtained by EFA. The loadings of the items on their factors in both EFA and CFA were all > 0.3 with significant associations and acceptable fit indices obtained from CFA. The three factors were found to be reliable in terms of internal consistency (Cronbach’s alpha coefficients for all factors were > 0.7) and test-retest reliability coefficient. In item analysis, the corrected total item correlations for all the items were > 0.3, and significant differences in the means of the highest and lowest score groups indicated good item discrimination power.
Conclusion:
The developed 25 items scale is an instrument which produces valid and reliable measures of preparedness behavior for floods in Sudan and similar settings.
On October 7, 2023, Israel experienced the worst terror attack in its history – 1,200 people were killed, 239 people were taken hostage, and 1,455 people were wounded. This mass-casualty event (MCE) was more specifically a mega terrorist attack. Due to the overwhelming number of victims who arrived at the two closest hospitals, it became necessary to implement secondary transfers to centers in other areas of the country. Historically, secondary transfer has been implemented in MCEs but usually for the transfer of critical patients from a Level 2 or Level 3 Trauma Center to a Level 1 Center. Magen David Adom (MDA), Israel’s National Emergency Pre-Hospital Medical Organization, is designated by the Health Ministry as the incident command at any MCE. On October 7, in addition to the primary transport of victims by ambulance to hospitals throughout Israel, they secondarily transported patients from the two closest hospitals – the Soroka Medical Center (SMC; Level 1 Trauma Center) in Beersheba and the Barzilai Medical Center (BMC; Level 2 Trauma Center) in Ashkelon. Secondary transport began five hours after the event started and continued for approximately 12 hours. During this time, the terrorist infiltration was still on-going. Soroka received 650 victims and secondarily transferred 26, including five in Advanced Life Support (ALS) ambulances. Barzilai received 372 and secondarily transferred 38. These coordinated secondary transfers helped relieve the overwhelmed primary hospitals and are an essential component of any MCE strategy.