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Speleothem fluorescence can provide insights into past vegetation dynamics and stalagmite chronology. However, its origin and especially the formation of fluorescent laminations in stalagmites are poorly understood. We conducted a year-long monthly monitoring of drip water fluorescence in La Vallina Cave (northern Iberian Peninsula) and compared the results to drip water chemistry and active speleothems from the same sites. Drip waters were analyzed using fluorescence spectroscopy and parallel factor analysis (PARAFAC). The resulting five-component model indicates contributions from vegetation, microbial activity, and bedrock. Intra-site fluorescence variability is mainly influenced by changes in overlying vegetation, water reservoir time, and respiration rates. Contrary to prevailing views, we find no systematic increase in drip water fluorescence during rainy conditions across drip sites and seasonal variations in drip water fluorescence are absent at a location where present-day speleothem layers form. Our findings challenge the notion of a higher abundance of humic-like fluorescence during the rainy season as the primary cause for layer formation and suggest additional controls on drip water fluorescence, such as bedrock interaction and microbial reprocessing. We also propose that growth rate may control the dilation of the fluorescence signal in stalagmites, indicating other potential mechanisms for fluorescent layer formation.
Later timing of eating has been associated with higher adiposity among adults and children in several studies, but not all. Moreover, studies in younger children are scarce. Hence, this study investigated the associations of the timing of evening eating with BMI Z-score and waist-to-height ratio (WHtR), and whether these associations were moderated by chronotype among 627 preschoolers (3–6-year-olds) from the cross-sectional DAGIS survey in Finland. Food intake was measured with 3-d food records, and sleep was measured with hip-worn actigraphy. Three variables were formed to describe the timing of evening eating: (1) clock time of the last eating occasion (EO); (2) time between the last EO and sleep onset; and (3) percentage of total daily energy intake (%TDEI) consumed 2 h before sleep onset or later. Chronotype was assessed as a sleep debt-corrected midpoint of sleep on the weekend (actigraphy data). The data were analysed with adjusted linear mixed effects models. After adjusting for several confounders, the last EO occurring closer to sleep onset (estimate = −0·006, 95 % CI (−0·010, −0·001)) and higher %TDEI consumed before sleep onset (estimate = 0·0004, 95 % CI (0·00003, 0·0007)) were associated with higher WHtR. No associations with BMI Z-score were found after adjustments. Clock time of the last EO was not significantly associated with the outcomes, and no interactions with chronotype emerged. The results highlight the importance of studying the timing of eating relative to sleep timing instead of only as clock time.
To explore the relationship between dietary antioxidant quality score (DAQS) and Cd exposure both alone and in combination with osteoporosis and bone mineral density (BMD) among postmenopausal women. In total, 4920 postmenopausal women from the National Health and Nutrition Examination Survey were included in this cross-sectional study. Weighted univariate and multivariate logistic regression analyses to assess the association between DAQS and Cd exposure with femur neck BMD, total femur BMD, osteoporosis among postmenopausal women, respectively, and the coexistence effect of DAQS and Cd exposure. Four hundred and ninety-nine had osteoporosis. DAQS (OR = 0·86, 95 % CI 0·77, 0·97) and high DAQS (OR = 0·60, 95 % CI 0·36, 0·99) were found to be associated with decreased odds of osteoporosis, while Cd exposure (OR = 1·34, 95 % CI 1·04, 1·72) and high Cd exposure (OR = 1·45, 95 % CI 1·02, 2·06) were related to increased odds of osteoporosis. A positive correlation was observed between high DAQS and both total femur BMD and femur neck BMD. Conversely, Cd exposure was found to be negatively correlated with total femur BMD and femur neck BMD. Additionally, taking low-Cd and high-quality DAQS group as reference, the joint effect of Cd exposure and DAQS showed greater increased odds of osteoporosis and decreased total femur BMD and femur neck BMD as Cd level and DAQS combinations worsened. There may be an interaction between Cd exposure and DAQS for femur neck BMD, total femur BMD, and osteoporosis in postmenopausal women.
This study investigated whether the association between modifiable dementia risk and rate of cognitive decline differs across socioeconomic status (SES) strata.
Design, setting and participants:
Data were used from Maastricht Aging Study, a prospective cohort study with a 12-year follow-up. The baseline sample consisted of 1023 adults over 40 years old.
Measurements:
The “LIfestyle for BRAin health” (LIBRA) index was used to assess modifiable dementia risk. Cognitive performance was assessed at baseline, 6 and 12 years, and measured in the domains of information processing speed, executive functioning and verbal memory function. An SES score was calculated from equivalent income and educational level (tertiles). Linear mixed models were used to study the association between LIBRA, SES and their interaction on the rate of cognitive decline.
Results:
Participants in the lowest SES tertile displayed more decline in information processing speed (vs. middle SES: X2 = 7.08, P = 0.029; vs. high SES: X2 = 9.49, P = 0.009) and verbal memory (vs. middle SES: X2 = 9.28, P < 0.001; vs. high SES: X2 = 16.68, P < 0.001) over 6 years compared to their middle- and high-SES counterparts. Higher (unhealthier) LIBRA scores were associated with more decline in information processing speed (X2 = 12.66, P = 0.002) over 12 years and verbal memory (X2 = 4.63, P = 0.032) over 6 years. No consistent effect modification by SES on the association between LIBRA and cognition was found.
Conclusions:
Results suggest that lifestyle is an important determinant of cognitive decline across SES groups. Yet, people with low SES had a more unfavorable modifiable risk score suggesting more potential for lifestyle-based interventions.
Birth–death processes form a natural class where ideas and results on large deviations can be tested. We derive a large-deviation principle under an assumption that the rate of jump down (death) grows asymptotically linearly with the population size, while the rate of jump up (birth) grows sublinearly. We establish a large-deviation principle under various forms of scaling of the underlying process and the corresponding normalization of the logarithm of the large-deviation probabilities. The results show interesting features of dependence of the rate functional upon the parameters of the process and the forms of scaling and normalization.
Ultra-processed food (UPF) intake is associated with increased non-communicable disease risks. However, systematic reports on sociodemographic predictors of UPF intake are lacking. This review aimed to understand UPF consumption based on sociodemographic factors, using nationally representative cohorts. The systematic review was pre-registered (PROSPERO:CRD42022360199), following PRISMA guidelines. PubMed/MEDLINE searches (‘ultra-processed/ultraprocessed’ and ‘ultra-processing/ultraprocessing’) until 7 September 2022 retrieved 1131 results. Inclusion criteria included: observational, nationally representative adult samples, in English, in peer-reviewed journals, assessing the association between sociodemographics and individual-level UPF intake defined by the NOVA classification. Exclusion criteria included: not nationally representative, no assessment of sociodemographics and individual-level UPF intake defined by NOVA. Risk of bias was assessed using the Newcastle–Ottawa Scale (NOS). Fifty-five papers were included, spanning thirty-two countries. All thirteen sociodemographic variables identified were significantly associated with UPF intake in one or more studies. Significant differences in UPF intake were seen across age, race/ethnicity, rural/urbanisation, food insecurity, income and region, with up to 10–20% differences in UPF intake (% total energy). Higher UPF intakes were associated with younger age, urbanisation and being unmarried, single, separated or divorced. Education, income and socioeconomic status showed varying associations, depending on country. Multivariate analyses indicated that associations were independent of other sociodemographics. Household status and gender were generally not associated with UPF intake. NOS averaged 5·7/10. Several characteristics are independently associated with high UPF intake, indicating large sociodemographic variation in non-communicable disease risk. These findings highlight significant public health inequalities associated with UPF intake, and the urgent need for policy action to minimise social injustice-related health inequalities.
This paper investigates the evolution of gender equality in Sweden during a phase characterized by industrialization, urbanization, and demographic transition. To this end, we build a database with quantitative indicators to construct a spatial Historical Gender Gap Index. We find that after a period of stagnation, Sweden made significant progress in closing the gender gap from the 1940s onward to reach the high level of gender equality that it is now famous for. The empirical exploration of the relationship between gender equality and economic development reveals that regions displaying higher gender equality performed economically better than less gender-equal regions.
Hundreds of thousands of conferences have taken place since their first appearance in the late eighteenth century, yet the history of science has often treated them as stages for scientific practice, not as the play itself. Drawing on recent work in the history of science and of international relations, the introduction to this special issue suggests avenues for exploring the phenomenon of the international scientific conference, broadly construed, by highlighting the connected dimensions of communication, sociability and international relations. It lays out a typology of scientific conferences as a way of gaining an overview of their diversity in the nineteenth and twentieth centuries. It argues that the international scientific conference is a central locus for understanding science as a social, cultural and political practice.
Comment soutenir le déploiement de connaissances coconstruites par des personnes cliniciennes, gestionnaires ou chercheures? Ce thème est abordé à partir de l’étude de l’application de l’Algo, un algorithme clinique décisionnel conçu pour la sélection des aides techniques visant à faciliter l’hygiène corporelle des personnes aînées vivant à domicile. L’objectif de cette note sur les politiques et les pratiques est de présenter les orientations de facilitation dégagées à la suite d’un devis mixte multiphases (2015–2019) mis en œuvre dans les services de soutien à domicile au Québec (Canada). Les orientations de facilitation centrée sur la tâche et holistique sont présentées en fonction des stades d’utilisation de l’Algo, afin de soutenir les personnes cliniciennes, gestionnaires et chercheures dans la poursuite de son application auprès des personnes aînées. De plus, cette note illustre l’apport des devis mixtes à la conduite et à la compréhension de l’application des connaissances coconstruites.
In this paper we prove that from large cardinals it is consistent that there is a singular strong limit cardinal $\nu $ such that the singular cardinal hypothesis fails at $\nu $ and every collection of fewer than $\operatorname {\mathrm {cf}}(\nu )$ stationary subsets of $\nu ^{+}$ reflects simultaneously. For $\operatorname {\mathrm {cf}}(\nu )> \omega $, this situation was not previously known to be consistent. Using different methods, we reduce the upper bound on the consistency strength of this situation for $\operatorname {\mathrm {cf}}(\nu ) = \omega $ to below a single partially supercompact cardinal. The previous upper bound of infinitely many supercompact cardinals was due to Sharon.
This article explores the influence of worker resistance to Taylorism on industrial relations in Sweden. By analysing archival material from workers at the Separator Corporate Group, the Metal Workers’ Union, and the Swedish Trade Union Confederation, this article highlights the interplay between shop floor activism, discussions within trade unions, and central labour market relations. It demonstrates how rank-and-file activism compelled union leadership and the central labour market organizations to adopt a series of agreements in the 1940s aimed at addressing worker resistance to Taylorism.
Despite worker discontent, scientific management spread during the 1930s and 1940s. This eventually contributed to the Metal Strike of 1945, which had significant impact on labour–capital relations. According to the metal workers, scientific management, particularly time-motion studies, reduced their bargaining power by concealing labour processes and methods for wage determination, thereby allowing management a monopoly on knowledge.
Following the strike, negotiations between the Trade Union Confederation and the Swedish Employers’ Association resulted in the 1948 Work Studies Agreement. This agreement provided a platform for resolving conflicts and encouraging workers’ support of rationalization via the Work Studies Council. Worker resistance consequently drove Swedish labour market centralization, inadvertently promoting closer labour–capital cooperation.
This article argues, among other things, that although worker resistance failed to upend scientific management, it resulted in it being regulated within a corporatist framework. This highlights the important historical role local trade union activism has played in shaping labour market institutions and the broader political economy.
In this paper, we derive new differential Harnack estimates of Li–Yau type for positive smooth solutions to a class of nonlinear parabolic equations in the form
on smooth metric measure spaces where the metric and potential are time dependent and evolve under a $({\mathsf k},\, m)$-super Perelman–Ricci flow. A number of consequences, most notably, a parabolic Harnack inequality, a class of Hamilton type global curvature-free estimates and a general Liouville type theorem together with some consequences are established. Some special cases are presented to illustrate the strength of the results.
This paper introduces type P web supercategories. They are defined as diagrammatic monoidal ${\mathbb {k}}$-linear supercategories via generators and relations. We study the structure of these categories and provide diagrammatic bases for their morphism spaces. We also prove these supercategories provide combinatorial models for the monoidal supercategory generated by the symmetric powers of the natural module and their duals for the Lie superalgebra of type P.
الملح في موريتانيا القيصرية و نوميديا. مصادره؟ استخداماته؟
تواتية عمراوي
هذا هو الملخص الأول للمناطق الوسطى من المغرب العربي (الجزائر) و الذي يظهر الدور الرئيسي الذي لعبه الملح محلياً و كجزء من شبكات تجارية أوسع، و على مدى فترة طويلة من الزمن . اعتمدت هذه الدراسة على مصادر قديمة وحديثة - جغرافية ومعدنية و إثنوغرافية - و تستخدم البيانات الأثرية التي أهمل تحليلها في السابق عن استغلال الملح واستخداماته في العصور القديمة في كل من موريتانيا القيصرية و نوميديا. إن إعادة التقييم هذه تكشف عن مدى توفر الموارد المحلية: حيث كان الملح وفيراً، ويمكن الوصول إليه بسهولة، و يسهل حصاده من البحيرات المالحة أو صخور الملح .
إن البقايا الأثرية التي يتم العثور عليها و بشكل منهجي بالقرب من مكامن الملح الموجودة داخل منطقة المقاطعة الرومانية أو على أطرافها، تؤكد أن السكان استخدموا هذه الموارد المحلية لاحتياجاتهم اليومية. وتظهر الدراسات الإثنوغرافية أن السكان أو القبائل العابرة كانوا - ولا يزالون - قادرين على الاستفادة من الملح المحلي كجزء من تجارتهم مع الشمال والجنوب . تشير أدلة العصور الوسطى إلى أن الملح الصخري من جبل ملح الوطاية (بسكرة) والملح من سبخة آرزيو كان يتم تصديرهما عن طريق البر و من ثم البحر، حيث يصدر الأول لتونس و الثاني لدول أوروبية مجاورة، ولا يوجد ما يتعارض مع حقيقة أن هذا النوع من الشبكات وغيرها كانت موجود بالفعل في العصور القديمة.
This article investigates the utility of a chaîne opératoire approach centered on technologies of ceramic production for identifying Inca mitmaqkuna archaeologically. Although early documents suggest that the Inca program of resettlement (mitmaq) was massive in scale, archaeologists have had minimal success in identifying such relocated populations. Here we test a novel approach that focuses on technologies of production and associated tool assemblages used within different communities of practice. Previous studies indicate that the ethnic Cañari of southern Ecuador used a distinctive method of pottery manufacture involving a specific chaîne opératoire and a unique set of production-related tools. According to early sources, the Inca deported Cañari peoples to various sectors of Tawantinsuyu. In this article, we investigate the contemporary manufacturing style of ceramics from the Ancash region of north-central Peru—an area where Cañari mitmaqkuna were purportedly resettled—to determine whether distinctive communities of practice potentially representing relocated communities might be visible. The results of this study suggest that it is possible to identify connections among distant communities of practice via a focus on craft production technologies that, in certain historical contexts, may be construed as evidence for the presence of resettled populations.