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Lund’s fly, Cordylobia rodhaini (Calliphoridae), is an African blowfly considered to be an uncommon cause of furuncular myiasis. Far less is known about C. rodhaini than about the more frequently reported tumbu fly, Cordylobia anthropophaga. From 2011 to 2020, fly larvae were collected and analysed from 11 independent infestations of wild non-human primates and 10 independent infestations of humans (including 1 from this author) in Kibale National Park, Uganda. All 21 larvae were identified morphologically and genetically as C. rodhaini. Larvae from non-human primates were on average 4·5 times larger than larvae from humans. Non-human primates had empty furuncles, indicating recent egress of mature third instar larvae and completion of the larval stage of the lifecycle; however, eastern chimpanzees (Pan troglodytes schweinfurthii) were photographed removing larvae from furuncles of grooming partners. A total of 4 closely related mitochondrial haplotypes were identified, 2 of which were shared by larvae from humans and non-human primates. Genetic variation within C. rodhaini from this single location was comparable to that within other calliphorid species. Non-human primates may play a larger role in the maintenance of C. rodhaini than previously known, and in certain forested locations C. rodhaini may be the predominant cause of furuncular myiasis. The sylvatic lifecycle of C. rodhaini may explain its differentiation from Cordylobia anthropophaga, which has a peridomestic lifecycle. In general, these findings shed new light on how myiasis-causing flies can adapt to different ecological settings and be regionally rare but locally abundant.
Lipids are essential for child development. Nutritional recommendations are numerous, evolving over time and are often based on expert opinions more than evidence-based medicine. The objective of this review is to critically analyse the evolution of current nutritional recommendations, identify existing knowledge gaps and propose avenues for improvement to optimise infant nutrition and development. A narrative literature review on Pubmed, EMBASE and Cochrane databases (2001–22) was conducted with the keywords: ‘alpha-linolenic acid, arachidonic acid, children, cholesterol, docosahexaenoic acid, eicosapentaenoic acid, guidelines, infant, long-chain (LC) PUFA, linoleic acid, lipids and dietary intakes, newborn, palmitic acid and toddler’. Among 861 articles identified, 133 were selected. The main current recommendations are issued by the French Agency for Food Safety (AFSSA), French Agency for Food, Environmental and Occupational Health and Safety (ANSES) and the Food and Agriculture Organization and World Health Organization (FAO-WHO). In infants from 0 to 3 years of age the main challenge is to increase lipid intake while maintaining an optimal omega 6/omega 3 ratio. Current recommendations are focused on polyunsaturated fatty acids, emphasising the intake of linoleic, eicosapentaenoic and docosahexaenoic acids without any specific recommendation for arachidonic acid before the age of 6 months. Points of interest, but without any recommendation, are the incorporation of milk fat, cholesterol, monounsaturated fatty acids, and saturated fatty acids for infants under 6 months. In conclusion, this article identifies knowledge gaps regarding the structural aspect of lipids and the integration of new categories of lipids in future recommendations to promote the quality of infant formulas.
This article examines the parallel yet divergent histories of Indiaʼs and Chinaʼs Antarctic programmes, exploring their geopolitical, scientific, and cultural dimensions. Both nations, initially excluded from the Western-dominated Antarctic Treaty System (ATS), joined in the 1980s, marking a shift in their approach to the southern polar region. India, driven by post-colonial solidarity and environmental concerns, has focused on scientific research and conservation, while China has expanded its activities to include resource extraction and satellite surveillance, aligning with Russia to influence ATS policies. Both countries have leveraged their Antarctic presence to reinforce civilisational narratives—Indiaʼs Akhand Bharat and Chinaʼs tian xia—extending their cultural and geopolitical spheres. This article highlights their shared ambivalence towards ATS governance, their evolving strategies, and the role of Antarctica in their broader worldmaking projects. It argues that understanding these intertwined histories is crucial for addressing the conceptual clash between Global North-led environmental restrictions and Global South approaches to common resources, with implications for global climate and environmental governance.
We investigate timing and eye-movement behavior during semantic prediction in L1 and L2 speakers of English using the Visual World Paradigm, additionally exploring speech rate. We differentiate first-stage predictions, considered to be automatic and relatively cost-free, from second-stage predictions, which are non-automatic and more cognitively demanding, with differences between L1 and L2 speakers believed to arise in second-stage predictions. We found no differences in the divergence of looks to the target in first- or second-stage predictions across groups. However, speech rate played an important role. Both L1 and L2 speakers showed similar first-stage predictions at slower speech rates, but L1 speakers showed earlier predictions as the speech rate increased. L2 speakers showed reduced and more variable second-stage predictions, suggesting they were impacted during the more demanding second-stage prediction. This may indicate a wait-and-see strategy to help reduce costs associated with second-stage prediction.
Previous research has highlighted several quality-related concerns regarding food supplements available on the market, which compromise their safe consumption. This study evaluates whether the adoption of the European Pharmacopoeia (Ph. Eur.) as a framework for improving supplement quality could enhance quality and safety control practices. The findings are derived from a comparative legal analysis of the Canadian and U.S. legal systems. The results suggest that its application in the Canadian market may serve as an illustration of the Brussels effect in practice. Simultaneously, the European Food Safety Authority (EFSA) already encourages EU Food Business Operators (FBOs) to utilise the Ph. Eur. when assessing food supplement ingredients. Nevertheless, careful consideration is necessary regarding the extent of regulatory compliance by FBOs to mitigate potential conflicts with existing EU legislation and to prevent delays in innovative developments within the supplement market.
This article analyses the naming of streets in late nineteenth-century Kyiv. Building on scholarship on critical toponymy and using unpublished archival sources, it presents street naming as more multifunctional than usually recognized. Besides orientation and ideology, toponyms were believed to be able to raise property value and attract tourists. By highlighting the debates among landlords, municipal authorities and imperial officials around commercialization and temporalization of the streetscape of late imperial Kyiv, the article demonstrates how economic priorities accompanied and even sometimes outweighed political considerations in determining toponymical choices.
This paper examines how automated multiphasic health testing and services (AMHTS), which were originally developed in the United States but never widely adopted there, gained traction in Japan despite being excluded from the country’s public health insurance system. Drawing on Fitzgerald et al.’s theory of interlocking interactions, we show how Japanese physicians and other stakeholders reframed AMHTS as a streamlined and affordable alternative to Ningen Dokku, Japan’s high-cost, elite medical checkup service. This creative reinterpretation helped spur efforts by actors such as the National Federation of Health Insurance Societies (Kenporen) to provide health screening subsidies outside the formal insurance framework, which supported the widespread adoption of the AMHTS by middle-class consumers. We introduce the concept of the “democratization of premium health services” to explain how care originally designed for elite users was redefined as both accessible and trustworthy. By highlighting how symbolic framing can promote innovation diffusion even beyond formal institutional boundaries, this study contributes to the business history of health care.
Bishkek became the administrative centre of the Kara-Kirghiz Autonomous Oblast in December 1924, meaning that Bishkek became the capital city for the Soviet Kyrgyz Republic when it was declared in 1926. This elevation in status coincided with an inauspicious economic and social situation for the city, which was still recovering from the violence of the late imperial era. Ethnic relations in Bishkek and its environs were strained, particularly over the land question. Yet, the acquisition of pastureland by the Kyrgyz population in the Bishkek region appears as a quirk of urban land management rather than a conscious policy of reparations.
To propose nutrition-related corporate reporting metrics for Australian packaged food manufacturers, retailers and quick-service restaurants and explore their feasibility of implementation.
Design:
Proposed metrics were developed based on (1) a review of current corporate reporting frameworks and relevant literature to collate nutrition-related recommendations, metrics and principles of best-practice reporting and (2) adaptation of existing recommendations into reporting metrics. Interviews with representatives from fifteen food companies were conducted to understand implementation considerations.
Setting:
Australia
Results:
There is a wide range of existing globally applicable nutrition-related recommendations and reporting metrics for food companies. Based on nine key principles identified for best-practice corporate reporting on nutrition, we devised forty-one reporting metrics (including five flagged as priorities) tailored to food companies operating in Australia across five focus areas: ‘corporate strategy and governance’, ‘product formulation’, ‘nutrition labelling and information’, ‘promotion practices’ and ‘product accessibility and affordability’. Company representatives expressed support for the proposed metrics, noting that additional information technology infrastructure and resources would be required for their routine reporting by companies.
Conclusions:
The proposed set of reporting metrics offers evidence-based guidance for the disclosure of nutrition-related actions by Australian food companies. The proposed metrics can inform government, public health groups and investors on best-practice approaches to monitor corporate nutrition practices and guide related policy decisions. Widespread implementation of the reporting metrics would be facilitated by integration with mandatory corporate sustainability reporting standards, with routine monitoring and enforcement by government, coupled with fit-for-purpose tools for comparing the healthiness of company product portfolios.
Blue pigments are absent in Palaeolithic art. This has been ascribed to a lack of naturally occurring blue pigments or low visual salience of these hues. Using a suite of archaeometric approaches, the authors identify traces of azurite on a concave stone artefact from the Final Palaeolithic site of Mühlheim-Dietesheim, Germany. This represents the earliest use of blue pigment in Europe. The scarcity of blue in Palaeolithic art, along with later prehistoric uses of azurite, may indicate that azurite was used for archaeologically invisible activities (e.g. body decoration) implying intentional selectivity over the pigments used for different Palaeolithic artistic activities.
In large public health jurisdictions, only a small proportion of people infected with Salmonella are interviewed due to resource constraints. As such, sources of illness are rarely found, and preventative action not implemented. We trialled alternative methods to contact notified salmonellosis cases to collect information on exposures and risks, focusing particularly on the feasibility of SMS (short message service)-based surveillance. Over five-years period we sequentially mailed letters, sent online surveys, and then text messages. The SMS approach was designed to assess the efficiency of a two-way personalized messaging model in gathering actionable public health data. The personalized SMS-follow-up model demonstrated the highest success: 56% of cases responded, enabling the identification and intervention of 10 distinct point-source outbreaks of Salmonella. SMS-based surveillance offers a novel, efficient, and acceptable method for collecting critical food exposure data in Salmonella cases. In settings where resources are constrained, SMS can complement traditional case follow-up methods, enhancing both the timeliness and effectiveness of outbreak detection. Integrating this follow-up with routine clinical care could further enhance the acceptance and success of this method. This study highlights the promise of SMS in streamlining surveillance efforts and warrants further exploration for application to other infectious diseases.
Corporate law is a public policy balance. The state creates the corporation and provides its legal features. ‘Micro’ aspects of the corporation, like separate legal personality, limited liability, and perpetual succession, were each provided by the state for public benefits rather than for their evident private benefits. Widespread utilisation of the corporation provides ‘macro’ public benefits. Corporations can also harm third parties, and the state should balance benefits and harms. Yet modern corporate law theory downplays the state’s role. Those who focus on the state also tend to miss the state’s foundational role in setting the contours of the corporation and corporate law and encouraging certain behaviour. Identifying that corporate law is, descriptively, best seen as a public policy outcome shows the state is not a benign white knight which can only restrain corporations but instead should be seen as culpable in any perceived social harms caused by corporations.
Motivated by classical Alexander invariants of affine hypersurface complements, we endow certain finite dimensional quotients of the homology of abelian covers of complex algebraic varieties with a canonical and functorial mixed Hodge structure (MHS). More precisely, we focus on covers which arise algebraically in the following way: if U is a smooth connected complex algebraic variety and G is a complex semiabelian variety, the pullback of the exponential map by an algebraic morphism $f:U\to G$ yields a covering space $\pi :U^f\to U$ whose group of deck transformations is $\pi _1(G)$. The new MHSs are compatible with Deligne’s MHS on the homology of U through the covering map $\pi $ and satisfy a direct sum decomposition as MHSs into generalized eigenspaces by the action of deck transformations. This provides a vast generalization of the previous results regarding univariable Alexander modules by Geske, Maxim, Wang and the authors in [16, 17]. Lastly, we reduce the problem of whether the first Betti number of the Milnor fiber of a central hyperplane arrangement complement is combinatorial to a question about the Hodge filtration of certain MHSs defined in this paper, providing evidence that the new structures contain interesting information.
This article re-examines the geography of late eighteenth- and early nineteenth-century Havana through the gendered lens of Black freedom and enslavement. The author uses fragmentary evidence surrounding the disappearance of Margarita, a young, enslaved girl in 1820s Havana, to suggest how the city’s African and African-descended residents navigated urban space in opposition to colonial design and function. In the process, the author suggests the ways in which the interventions of Black residents, influenced by the ecologies internal to the port, were pivotal to the production of urban space and the geographies of slavery.
Embracing the potential of foresight in migration policy, North Macedonia has embarked on a ground-breaking journey to institutionalize anticipatory governance through extensive capacity-building activities, imparting foresight methods to stakeholders responsible for shaping migration policies. This research provides a comprehensive overview, detailing the initiative’s origins, alignment with the Resolution on Migration Policy 2021–2025, and the accompanying Action Plan. The study assesses the impact and potential of the Anticipatory Governance in Migration in North Macedonia when fully integrated with the action plan, which focuses on data-based management that oversees the migration policy resolution and the migration policy milieu. Through a comprehensive analysis of the foresight interventions, training programs, and stakeholder engagements, this study unveils the potential impact of forward-looking planning on North Macedonia’s migration policy landscape. The conclusion and recommendations have broader significance, extending beyond North Macedonia to serve as a model for other countries confronting migration challenges in our rapidly changing world.
This study examined the relationship between intelligibility and comprehensibility in second language speech. Four extended speech samples from 50 speakers spanning a wide range of proficiency were drawn from archived test data. These samples were listened to by 570 English users, who provided comprehensibility ratings and transcriptions to measure intelligibility. The relationship between intelligibility and comprehensibility was strong (r = .81, ⍴ = .88) and nonlinear. A segmented regression model suggested a breakpoint for intelligibility scores (transcription accuracy) at 64%, below which speakers were perceived as uniformly hard to understand and above which increased intelligibility was strongly associated with higher comprehensibility.
Starting in the 1830s, French musicians began to fully engage with the concept of nostalgia as an affective category and as a musical trait. The deliberate artistic process of naming music and musical works as ‘nostalgia’ contributed to the demedicalization of the term while transforming its original meaning as homesickness into a spectrum of spatiotemporal emotions. Musical renditions of nostalgia also displaced expressions and discussions of this emotion away from the countryside, where it had originally been rooted, towards the city. Musicians thus directly participated in the transformation of nostalgia into a commodity, a fashionable product that could be purchased in music stores, experienced firsthand in entertainment venues, and tailored to the needs and desires of an urban population.
This article traces the shift in the evocation of nostalgia in music and the musical press during the nineteenth century in Paris, where it became most prevalent in dozens of vocal romances and instrumental pieces. The compositions that I analyse, rather than forming a unified depiction of the city, offer a range of sonorous and thematic ideas that provide a more comprehensive understanding of the place nostalgia played in the imagination of an urban population increasingly conscious of its artistic value and impact. I thus uncover three main stages in this shift, which show how successive generations of musicians, influenced by different attitudes to urbanity, conceived nostalgia. I investigate why composers drawn to nostalgia were attracted to certain types of musical and formal models, what these choices reveal about their understanding of nostalgia and its purpose, and, more importantly, what this musical nostalgia sounded like. This article provides the first overview of works that deliberately use nostalgia as an explicit topic across genres and generations in nineteenth-century Paris.
The Antikythera shipwreck provides a rare chronological anchor in the history of Greek sculpture. The cargo, a massive haul of more than four-dozen bronze and marble statues, in addition to amphorae and portable luxury goods, was lost at sea c. 70–50 BCE, possibly later, along the north-east coast of the island of Antikythera. Previous research on the sculptural assemblage from the wreck has focused on the style and iconographic heritage of individual statues. This article examines the statuary as a gathered whole to isolate trends in material, size, and subject matter. The results suggest a main setting where some, maybe all, of the statues might have originally been displayed: the gymnasion. The statues were probably obtained through plunder or extortion, not normal commercial activity. The study concludes by considering where the statues might have been set up once they reached their presumed destination in Italy. It is shown that the statues were most appropriate for display in a lavish public building in Rome.