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Karol Szymanowski and Stanisław Ignacy Witkiewicz were leading figures in Polish modernism. A thorough review of their relationship and an examination of Witkiewicz’s theory of ‘pure form’ and its applicability to music (via Witkiewicz’s literary portraits of Szymanowski, his attempts at composition, and the critical and theoretical extensions of his work by Konstanty Regamey) provides the basis for analysing the form and content of Szymanowski’s Third Piano Sonata and First String Quartet.
Core contributions from John Hagan’s scholarship on genocide are at stake in this article. First, this article examines, for the Rwandan genocide, the applicability of Hagan and Wenona Rymond-Richmond’s multi-level causal model of genocide, developed in Darfur and the Crime of Genocide. Asking how causal factors and processes highlighted in that model play out in scholarship on the Rwandan genocide, it moves toward answering the question of external validity versus historical specificity. Second, the article examines, again with a focus on Rwanda, the relationship between social scientific explanation and judicial thought. While it highlights—in line with the first author’s previous work—how judicial narratives address or select out core factors highlighted in the Darfur model, the article focuses—in line with Hagan’s Justice in the Balkans—on the question of what knowledge social science can nevertheless gain from court proceedings. An analysis of a sample of cases processed by the International Criminal Tribunal for Rwanda identifies overlaps with social science analyses, but it also highlights distinctions.
Dairy products are major sources of high-quality protein and bioavailable nutrients and dairy production contributes to local, regional and national-level economies. Consumption of raw milk and raw milk products does, however, carry a zoonotic risk, as does direct contact with cattle by farm husbandry staff and other employees. This review will mainly focus on the latter, and deal with it from the standpoint of a well-developed dairy industry, using the example of the Netherlands. With regard to dairy cattle, the main bacterial pathogens are Salmonella spp., Listeria monocytogenes and Leptospira hardjo as well as Brucella abortus and Chlamydia abortus. The main viral pathogens associated with dairy are Rift Valley fever virus, rabies virus, cowpox virus and vaccinia virus. The main parasitological infections are Echinococcus granulosis, Cryptosporidium parvum and Giardia duodenalis, however, the last mentioned have mainly swimming pools as sources of human infection. Finally ectoparasites such as lice and mites and Trichophyton verrucosum may affect employees. Some pathogens may cause health problems due to contamination. Bacterial pathogens of importance that may contaminate milk are Campylolobacter jejuni, Escherichia coli, Mycobacterium avium subsp. paratuberculosis, Leptospira hardjo and Salmonella typhimurium. Excretion of zoonotic viruses in milk is negligible in the Netherlands, and the endoparasite, Toxocara vitulorum is mainly found in suckling and fattening calves, whilst the risk in dairy cattle is limited. Excretion of transmissible spongiform encephalopathies (TSEs) or mycoses in milk are not expected and are, therefore, not of importance here.
Being aware of the risks and working according to hygiene standards can substantially limit zoonotic risks for employees. Additionally, diseased employees are advised to limit their contact with cattle and to indicate that they work with cattle when consulting a physician. To prevent zoonotic risks through excretion of pathogens in milk, standard hygiene measures are necessary. Further, using only pasteurised milk for consumption and/or processing of milk can considerably limit the risks. If these measures are not possible, well-constructed monitoring can be followed. Monitoring programmes already exist for pathogens such as for Salmonella spp., Leptospira hardjo and Mycobacterium avium subsp. paratuberculosis. For others, like Campylobacter jejuni and E. coli, programmes are not available yet as far as we know.
Nineteenth-century US social activist contemporaries Elizabeth Cady Stanton, Susan B. Anthony, and Sojourner Truth are memorialized as women's rights pioneers. White activists Elizabeth Cady Stanton and Susan B. Anthony cemented a generational canon. Black activist Sojourner Truth anticipated the eventual crystallization of intersectionality. These figures’ historical proximity underscores the high epistemological and political stakes of claiming gendered categories, namely via “woman” as a mark of aggrievement. I link concepts of intersectionality, epistemic agency, epistemic resources, and social movement framing to examine how “woman” is asymmetrically categorized. To this end, I perform a textual analysis of memorialized documents: “Declaration of Sentiments” (1848) by Elizabeth Cady Stanton, “Declaration of Rights of the Women of the United States” (1876) by Susan B. Anthony, and “Ain't I a Woman?” (1851) by Sojourner Truth. Elizabeth Cady Stanton and Susan B. Anthony frame “woman” as a single-axis and vertical category, ultimately deferring to the seeming preeminence of the US nation-state. By contrast, Sojourner Truth frames “woman” as a multi-axis and horizontal category by synthesizing her feminist consciousness, lived experience of enslavement, and personal religiosity. This article revisits key memorialized events by utilizing a conceptual toolkit that interlaces feminist and social epistemology with social movement theory.
Reliable anti-collision control algorithms conforming with the rules regulating traffic at sea, the International Regulations for Preventing Collisions at Sea (COLREG), are essential for the deployment of autonomous vessels in waters shared with other ships. The development of such methods is an active field of research. However, little attention has been given to how these rules are interpreted by experienced mariners, and how such information can be parametrised for use in automatic control systems and autonomous ships. This paper presents a method for exploiting historical automatic identification system (AIS) data to characterise parameters indicating the prevalent practices at sea in encounters with high collision risk. The method has been tested on data gathered in areas off the Norwegian coast over several years. Statistics on relevant parameters from the resulting dataset and the relation between them is presented. The results indicate that the strongest influence on vessel behaviour is the type of situation, and the amount of land and grounding hazards in the vessel's proximity.
This article presents findings from a fresh examination of a familiar source, shedding new light on the creation of one of the best-known contemporary accounts of the 1641 Irish uprising. It is argued that a text usually regarded as the work of Henry Jones, dean of Kilmore, ought to be understood as the intellectual property of both a team of authors and their sponsors, a New English faction at Dublin Castle with long-standing ambitions to crush popery and entrench planter hegemony in Ireland. It is argued that this group's objective was to strengthen the hand of the populist ‘junto’ at Westminster, led by John Pym, that was wrestling with Charles I for political and constitutional supremacy in English affairs in the winter and spring of 1641–2. The colonialists contributed to this metropolitan revolution by rendering safe to handle the Irish rebels’ politically-explosive seditious slander that their uprising had been raised by royal command. The notorious falsehood of the rebels’ claims has obscured the demonstrably underhand and fundamentally deceitful calculation with which the colonialists helped introduce it into mainstream English political culture, in order to isolate the king further and weaken his personal authority on both sides of the Irish Sea.
Conditional cash transfers (CCTs) are a striking case of policy diffusion in Latin America. Almost all countries in the region adopted the model within one decade. While most theories of diffusion focus on the international transference of ideas, this article explains that surge of adoptions by analyzing presidents’ expectations. Out of all ideas transmitted into a country, only a few find their way into enactment and implementation, and the executive has a key role in selecting which ones. Policies expected to boost presidents’ popularity grab their attention. They rapidly enact and implement these models. A process-tracing analysis comparing CCTs and public-private partnerships (PPPs) shows that presidents fast-tracked CCTs hoping for an increase in popular support. Adoptions of PPPs, however, followed normal procedures and careful deliberations because the policy was not expected to quickly affect popularity—which, in the aggregate, leads to a slower diffusion wave.
I write in solidarity with Chrystul Kizer, a criminalized Black teen survivor of sexual violence in Wisconsin, to detail how her ongoing legal fight occurs in a tilted sociopolitical and epistemological landscape with weighted opponents. I offer a theory of disparate failures of knowledge-attribution for survivors of sexual violence, a structural epistemological problem that I call constructed pragmatic encroachment (CPE). CPE explains that pragmatic encroachment is a nonneutral knowledge-attribution problem whereby attributors are empowered to affirm or deny a subject's knowledge-claim based on the subject's constructed practical stakes. Constructed practical stakes here refers to the potential costs/consequences of acting on knowledge of some p for some subject, “S,” constructed by their practical environment. Examining CPE in Kizer's self-defense case, I highlight why real-world pragmatic encroachment is exceptionally alarming for survivors of sexual violence, especially criminalized survivors. The epistemological problem is not merely whether people in powerful positions are frequently fallible, but the convergence of sociopolitical and epistemic power to deny what survivors know about our own experiences of violence, and power to punish survivors for acting on what we know.
Estimating the numbers of residences, and thus the residential densities and populations, of ancient settlements remains a significant problem. This is true even for ‘greenfield’ sites due to the differential visibility of structures made of different materials in aerial and geophysical surveys. In this paper, we take advantage of statistical relationships among elements of the built environments of Roman cities in Britannia and more broadly across the Empire, to estimate the total number of buildings, total population and population density of Silchester. The results indicate that the current site plan dramatically under-represents these values. We also consider the implications of our results for broader discussions of urbanism in Britannia.
In 1789, the Academy of Ancient Music replaced Benjamin Cooke with Samuel Arnold as its musical director. This article offers a detailed analysis of an autograph copy of the address Cooke delivered to the Academy responding to their action, and of a letter to Cooke from Arnold countering accusations made regarding his conduct in the affair. Both documents are annotated by Henry Cooke, who used them in writing a biography of his father. These documents enable a new understanding of the significant changes made within the Academy in the 1780s and of the reasons Academy subscribers replaced Cooke with Arnold.
This study aimed to evaluate the effect of shortening the dry period in high-yielding cows of different body condition scores (BCS). We report colostrum and milk quality, some serum metabolites, BCS changes, and some reproductive parameters with measurements being made over the first two months of lactation. Cows were grouped based on the length of the dry period (normal: about 50 d and short: about 28 d) and BCS (moderate: 2.75 to 3.5 and high ≥ 3.5). Short dry period decreased colostrum volume and, in combination with high BCS only, caused a decrease in milk production. Short dry period moderate BCS cows had the highest serum insulin concentration on day 14 after calving and highest glucose concentration on day 28, but neither differed significantly when measured over the whole period. By contrast, short dry period cows had significantly lower concentrations of non-esterified fatty acids and beta-hydroxybutyrate measured over the whole period. Post-partum loss of BCS was less in short and especially so in the short, moderate BCS group. Following a synchronization protocol at 35 d postpartum. The cows with a short dry period and moderate BCS had lower open days, days to first postpartum estrus and services per conception. It was concluded that short dry periods and moderate BCS had a positive influence on serum metabolites, BCS changes and reproductive parameters.
A first integrative survey of the genus Usnea in the southern Philippines, taking into account morphological, anatomical, chemical and molecular characters, resulted in the recognition of 20 taxa, including three species new to science: Usnea angulata Ach., U. baileyi (Stirt.) Zahlbr., U. bismolliuscula Zahlbr., U. brasiliensis (Zahlbr.) Motyka, U. confusa Asah., U. croceorubescens Stirt., U. dasaea Stirt., U. himalayana C. Bab., U. krogiana P. Clerc, U. longissima Ach., U. nidifica Taylor, U. norsticornuta A. Gerlach & P. Clerc sp. nov. (characterized by a moderately thick cortex and by the presence of norstictic acid), U. paleograndisora A. Gerlach & P. Clerc sp. nov. (characterized by an orange subcortical pigmentation in the medulla, with enlarging soralia and a moderately thick and shiny cortex), U. pectinata Taylor, U. pygmoidea (Asahina) Y. Ohmura, U. rubicunda Stirt., U. rubrotincta (Stirt.) Zahlbr., U. spinulifera (Vain.) Motyka, U. subscabrosa Motyka and U. yoshihitoi P. Clerc & A. Gerlach sp. nov. (characterized by a lax medulla with non-conglutinated hyphae). Usnea krogiana is a new record for Asia; Usnea brasiliensis, Usnea confusa and U. croceorubescens are new records for the Philippines. This is the first phylogenetic study to include DNA sequences of Usnea from the Philippines. Molecular data from the ITS rDNA (76 newly generated sequences) are presented for most taxa except for U. himalayana, U. longissima and U. subscabrosa. At least six further taxa remain unidentified, awaiting the collection of additional specimens.
In this essay, I reflect on the systematic exclusion of people with intellectual disabilities from philosophy even as their personhood is subject to ongoing philosophical debates. Theorizing this disenfranchisement as a form of epistemic oppression, I consider it in the context of the invalidation of disabled perspectives more broadly and characteristics of knowledge-production that confer credibility in philosophy. I end with a call for transformation through the framework of disability justice. I include an Easy Read summary, a plain language companion, and discussion questions, which restate my argument in simplified language and invite dialogue, demonstrating how philosophy might resist epistemic gatekeeping and imagine knowledge-production otherwise.
Plain Language
This essay is about philosophy and intellectual disability (ID). People with ID do not get to do philosophy very much. Some reasons they are left out are:
– Disabled people are not believed when they talk about their lives.
– The way we write in philosophy makes it hard for people with ID to join.
I think we should change how we do philosophy. I wrote a summary that is easy to read. I wrote questions to talk about together. I want to think about how to do philosophy better.
Easy Read Summary
Philosophers are thinkers.
They think about how the world is and how it should be.
They think about intellectual disability (ID).
Some thinkers say people with intellectual disabilities (ID) are worth less than other people.
Most people with intellectual disabilities (ID) do not get to say what they think.
We can change how we think by including people with intellectual disabilities (ID).
We can believe what people with intellectual disabilities (ID) say about their lives.
We can write and speak in simple ways.
We can give people help thinking and making decisions.
If all national identity is performative, the Northern Irish national identity offers a particularly pronounced model of this performative instability. Such precarity was emphasized when the 2016 UK EU ‘Brexit’ referendum raised contentious questions over Northern Irish citizenship. This article explores how two recent Northern Irish performance pieces, David Ireland’s Cyprus Avenue (2016) and Clare Dwyer Hogg’s Hard Border (2018), probe the unsettled plurality of Northern Irish national identity through the casting of actor Stephen Rea in their respective central roles. Rea’s own personal and professional history, as a figure inflected in the public mind with an extreme range of potential ‘Northern Irish identities’, encapsulates the shifting boundaries of an unstable, performative spectrum of ethno-national selfhood. This article explores how the lingering memories of Rea’s on- and offstage past offer a fittingly multilayered, even contradictory, representation of contemporary Northern Irish identity.