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Prolonged grief disorder (PGD) is associated with impairments in cognitive functioning, but the neuropsychological correlates of early grief in older adults are poorly understood. This preliminary study cross-sectionally examined neuropsychological functioning in bereaved adults with high and low grief symptoms and a non-bereaved comparison sample and further explored the relationship between multidomain cognitive measures and grief severity. A total of ninety-three nondemented older adults (high grief: n = 44; low grief: n = 49) within 12 months post-bereavement and non-bereaved comparison participants (n = 43) completed neuropsychological battery including global and multiple domain-specific cognitive functioning. Linear regression models were used to analyze differences in multidomain cognitive measures between the groups and specifically examine the associations between cognitive performance and grief severity in the bereaved, after covariate adjustment, including depressive symptoms. Bereaved older adults with higher grief symptoms performed worse than those with lower symptoms and non-bereaved participants on executive functioning and attention and processing speed measures. In the bereaved, poorer executive functioning, attention and processing speed correlated with higher grief severity. Attention/processing speed–grief severity correlation was seen in those with time since loss ≤ 6 months, but not > 6 months. Intense early grief is characterised by poorer executive functioning, attention, and processing speed, resembling findings in PGD. The putative role of poorer cognitive functioning during early grief on the transition to integrated grief or the development of PGD remains to be elucidated.
There are two main meanings in Kant’s concept of moral certainty (moralische Gewissheit, certitudo moralis): first, it applies to the kind of certainty embodied in rational faith in the existence of God and a future life; second, it applies to the conscientiousness (Gewissenhaftigkeit) required of an agent in the practice of moral judgement. Despite the growing attention to Kant’s theory of conscience and his concept of conscientiousness, this article is the first to discuss ‘moral certainty’ as the aim of ‘conscientiousness’ and to highlight the relevance of both notions in regard to moral education and the purposes of Kant’s ethical doctrines of method.
where $b,\, \omega >0$ are constants, $p>2$. Based on variational methods, regularity theory and Schwarz symmetrization, the equivalence of ground state solutions for the above problem with the minimizers for some minimization problems is obtained. In particular, a new scale technique, together with Lagrange multipliers, is delicately employed to overcome some intrinsic difficulties.
Amphilochidae comprises 92 species of small and colourful amphipods that live associated with sessile marine organisms. Hourstonius is one of the most diverse genera with 17 described species, most of the species are recorded from North Temperate Pacific and Tropical Atlantic and live in shallow waters. Only three species of Amphilochidae are recorded in Brazil, and from the genus Hourstonius, there is a single species, H. wakabarae. In the present work, we describe a new species of Hourstonius from Todos-os-Santos Bay, the second species of the genus to the country and the first record of this genus from Bahia State. A taxonomic key and an overview of the genus across the globe are also provided.
Since the publication of Alasdair MacIntyre’s After Virtue in 1981, tensions inherent to the relationship between morally educative practices and the institutions that house them have been widely noted. We propose a taxonomy of the ways in which the pursuit of external goods by institutions undermines the pursuit of the internal goods of practices. These comprise substitution, where the institution replaces the pursuit of one type of good by another; frustration, where opportunities for practitioners to discover goods or develop new standards of excellence are frustrated by institutional priorities and resource allocation; and injustice, which undermines the integrity of relationships within the organization and/or with partners. These threats, though analytically distinct, are often mutually reinforcing. This conceptual contribution is illustrated both by the extant literature and by a novel context, the three-ring circus.
We discuss the p-adic Weierstrass zeta functions associated with elliptic curves defined over the field of algebraic numbers and linear relations for their values in the p-adic domain. These results are extensions of the p-adic analogues of results given by Wüstholz in the complex domain [see A. Baker and G. Wüstholz, Logarithmic Forms and Diophantine Geometry, New Mathematical Monographs, 9 (Cambridge University Press, Cambridge, 2007), Theorem 6.3] and also generalise a result of Bertrand to higher dimensions [‘Sous-groupes à un paramètre p-adique de variétés de groupe’, Invent. Math.40(2) (1977), 171–193].
This article systematically evaluates whether, how, and to what extent twelve prominent forestry and fisheries certification schemes address human rights in their standards. In line with the broader cross-fertilization of the fields of international human rights and environmental law and policy, our results demonstrate that human rights norms and considerations – primarily Indigenous, labour, and procedural rights – are increasingly reflected in the rulemaking of these schemes. At the same time, our analysis also demonstrates the mixed and underwhelming performance of certification standards in protecting human rights norms, including those relating to women, children, racialized and ethnic minorities, persons with disabilities, Indigenous peoples, workers, 2SLGBTQIA+ communities, and peasants and rural peoples. Through descriptive statistics, we also show that levels of human rights adherence vary significantly across schemes and that standards developed in the forestry sector tend to outperform those for fisheries. Our methodology and results add a new dimension to efforts to assess the stringency, equity, and legitimacy of private authority in the environmental field.
In this paper, I defend fictional creationism, the view that fictional objects are abstract artifacts, from the objection that the apparent truth of fictional negative existentials, such as “Sherlock Holmes does not exist,” poses a serious problem for creationism. I develop a sophisticated version of the pragmatic approach by focusing on the inconsistent referential intentions of ordinary speakers: the upshot would be that creationism is no worse—perhaps even in a better position—than anti-realism, even if we restrict our linguistic data to fictional negative existentals.
Like other creative industries emerging in mid-1945 from 12 years of Nazi rule, including six years of war, German publishing was ideologically suspect, internationally isolated, and insular. By the 1950s, however, the book trade in the two German successor states was once again varied and vibrant. And it was also tightly integrated into the international publishing business, within which it had become an increasingly active and important presence. This article analyzes the development of the German book publishing industry during the Allied occupation, 1945-1949, through the lens of knowledge transfer. It was a time during which capital-starved German publishers harnessed the political and ideological objectives of the occupiers and their prewar contacts to achieve their own commercial and cultural ambitions, including taking initial steps toward internationalization. The focus is on literary fiction, a genre that constituted a minority of all published output in the postwar period, but which also included all top bestsellers. Literature in translation, moreover, accounted for a substantial proportion of those bestselling books, and at the same time represented a key vehicle for internationalization. Two case studies, one drawn from the Soviet zone of occupation, the later East Germany, and one from the western zones that came to be dominated by the Americans, the later West Germany, illustrate two different, yet remarkably similar paths through which this interplay of ideological alignment and commerce played out among a range of actors and laid the basis for the subsequent development of the industry.
This article analyzes how the Justice and Development Party’s (Adalet ve Kalkınma Partisi; AKP) 2023 election propaganda utilized political homophobia as a populist tool to construct and reinforce political antagonisms and carry out a crisis-driven politics in search of continued hegemony. Relying on critical discourse analysis of qualitative data, it demonstrates that during the 2023 election period the AKP’s antagonistic operationalization of anti-LGBTI+ (lesbian, gay, bisexual, transgender, and intersex) discourse unfolded in three modalities: as a culturalist rhetoric and a nativist technology of othering at the intersection of Islam and anti-genderism; as a tool of defining and vilifying political opponents as “inner enemies”; and as a policy perspective and path towards legal action and institutionalization of political homophobia. Within this frame, the article demonstrates that the gendered performance of crisis-driven politics is a core mechanism of the current democratic erosion in Turkey. It argues that homophobic propaganda is a key tool for the AKP not only to enact the processes of othering through fearmongering and scapegoating, but also to restructure politics through crisis-driven imaginaries, post-truth epistemologies, and emergency legislation that lacks political responsiveness.