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In this study, we draw on an analysis of publicly available information from university websites and Google Scholar to explore the qualifications, relevant experience, and scholarship of academics involved in postgraduate special/inclusive education courses in Australian universities. Overall, we found information on 148 academics employed at 23 universities, of whom 124 were teaching a unit or units with content relevant to the education of students with disability. Of these, 23% were described as having a qualification in special or inclusive education, 20% were described as having experience in a setting relevant to people with disability, and 51% had evidence of scholarship in special or inclusive education. These results are a cause for some concern and suggest staffing of special/inclusive education courses is not always ideal, with many academics apparently teaching out of their area of expertise.
In this paper, we examine and respond to two concerns associated with gender socialization and assisted reproductive technologies (ARTs). After providing an overview of feminist theorists’ work on gender socialization and women’s autonomy, we consider the concern according to which women’s choice to use ARTs to have children may be non-genuinely autonomous due to the influence of oppressive norms on this choice. We call this the autonomous-choice concern. In response to this concern, we argue that only subscribing to an overly demanding account of autonomy yields this conclusion and issue a caution about the implications of subscribing to such an account. Second, we consider the concern according to which the investment of public resources to make certain ARTs more widely accessible amounts to endorsing oppressive norms and may indirectly harm infertile and other women by making these norms more compelling. We call this the norm-legitimation concern. In response, we argue that when appraising the adverse downstream effects associated with legitimizing oppressive norms, it is necessary to consider both the costs of compliance and the costs of non-compliance with these norms, and that their consideration requires a differentiated approach. In closing, we consider objections to the arguments defended in the paper.
Motor neurone disease (MND) results in complex and disabling symptoms that give rise to significant and challenging care needs. While much of the care required is typically provided by the partner of the individual who has been diagnosed with MND, there are few studies that have investigated the impact of MND on the couple’s relationship.
Objectives
To establish the current state of the research literature examining the impact of MND on the couple’s relationship.
Methods
A scoping review was undertaken with thematic analysis used to synthesize the data.
Results
The scoping review identified 15 studies that were thematically analyzed to identify prominent themes. The following 5 themes were identified: adjusting to new roles; changes in communication and values; spouse well-being and health; and changes to social relationships and intimacy changes.
Significance of results
This scoping review highlighted the impact of the MND trajectory on the couple’s relationship overall and on key areas of couple communication and functioning. These areas can be used to guide the development of interventions and services that are tailored to the needs of couple relationships. Further understanding of the factors impacting the couple’s relationship on the MND journey and how to navigate these factors is critically warranted.
How does China use development finance to gain influence in international organizations? Leveraging the exogenous rotation of ASEAN and African Union Chairmanship, I estimate the effect of regional leadership on Chinese commitments. Results suggest that Chinese projects are politically motivated only when the lending and recipient entities are linked to the Chinese and host governments. Governments that assume the Chair received seven times more commitments from Chinese government agencies relative to non-Chair years, a $90 million increase for the average project. By contrast, there is no evidence to suggest that Chinese banks act as agents of Beijing. Moreover, I find a consistent null relationship between temporary UN Security Council status and Chinese finance, unlike established findings about Western donors, suggesting that China is deliberately seeking regional influence. These results underscore the importance of considering the specific actors involved in China’s economic statecraft.
To examine associations of Dietary Inflammatory Index (DII) scores with disability and subjective health, which is prognostic of disability, in a large, systematically sampled population of older adults living in non-urban areas in Japan.
Design:
Cross-sectional. The Tokyo Metropolitan Institute of Gerontology Index of Competence was used to assess disability. Both overall disability and disabilities in components of everyday competence (instrumental activities of daily living (IADL), intellectual activities and social participation) were examined. Participants who reported an inability to perform one or more activities were categorised as disabled. Subjective health was assessed based on the response to the following question: ‘In general, how do you feel about your own health?’
Setting:
Six non-urban municipalities in Japan that differ in terms of regional characteristics.
Participants:
Adults aged 65–74 years (n 7930).
Results:
DII scores were positively associated with the odds of overall disability (OR (95 % CI)) = 1·23 (1·19, 1·28)); disabilities in IADL (OR (95 % CI) = 1·10 (1·05, 1·15)); intellectual activities (OR (95 % CI) = 1·28 (1·23, 1·33)); social participation (OR (95 % CI) = 1·17 (1·13, 1·22)) and poor subjective health (OR (95 %CI) = 1·09 (1·05, 1·14)).
Conclusions:
Our results imply the importance of reducing dietary inflammation to prevent both disability and a decline in subjective health, a predictor of disability.
In this study, we hypothesize that positive, explicit racial appeals to Black voters from White politicians will be seen as pandering if not accompanied by an endorsement from a Black elite, which would increase credibility of the appeal. To test this, we use a preregistered survey experiment with approximately 400 Black Americans. Contrary to our expectations, we find that pro-Black appeals can function to increase support for the politician, even without an endorsement. In the full sample, the candidate enjoyed increased support when only using a positive appeal, when only receiving an endorsement, and when making an appeal and receiving an endorsement—relative to the control condition. Qualitative analyses of open-ended responses reveal that respondents saw the politician as pandering in all conditions—an appeal was not necessary to evoke pandering. We conclude that campaign strategies like appeals and endorsements can function to boost support even when the candidate is perceived as pandering.
Political self-efficacy, the civic duty to vote, and a homogeneous political atmosphere have been identified as important antecedents of turnout. However, little is known about how they explain voting behavior among minorities, who have an inherent motivation to protect their minority rights. In this article, I examine how belonging to a minority, political self-efficacy, the civic duty to vote, and a shared party identification are connected to intentions to vote. Analyzing nationally representative panel data in a structural equation model, I compare Swedish-speaking minority adolescents and Finnish-speaking majority adolescents—groups that mainly share similar background characteristics in all but language and their minority or majority status. According to the results, the significantly higher voting intentions found among the minority can partly be derived from their higher level of political self-efficacy. The unilingually Swedish-speaking adolescents also seem to benefit from their more pronounced and homogenous political atmosphere.
Externalizing and internalizing pathways may lead to the development of substance use behaviors (SUBs) and substance use disorders (SUDs), which are all heritable phenotypes. Genetic correlation studies have indicated differences in the genetic susceptibility between SUBs and SUDs. We investigated whether these substance use phenotypes are differently related to externalizing and internalizing problems at a genetic level.
Methods
We analyzed data from genome-wide association studies (GWAS) of four SUBs and SUDs, five externalizing traits, and five internalizing traits using the bivariate causal mixture model (MiXeR) to estimate genetic overlap beyond genetic correlation.
Results
Two distinct patterns were found. SUBs demonstrated high genetic overlap but low genetic correlation of shared variants with internalizing traits, suggesting a pattern of mixed effect directions of shared genetic variants. Conversely, SUDs and externalizing traits exhibited considerable genetic overlap with moderate to high positive genetic correlation of shared variants, suggesting concordant effect direction of shared risk variants.
Conclusions
These results highlight the importance of the externalizing pathway in SUDs as well as the limited role of the internalizing pathway in SUBs. As MiXeR is not intended for the identification of specific genes, further studies are needed to reveal the underlying shared mechanisms of these traits.
The term polycrisis refers to simultaneous and interconnected crises that amplify each other's effects. Understanding how crises spread is crucial for understanding how a polycrisis operates. This article explores the conditions under which crises transmit across systems. By examining various theories – from complexity thinking to epidemiology – it discusses to importance of several conducive conditions and system resilience in shaping crisis transmission. The polycrisis concept underscores the need for interdisciplinary approaches to address interconnected global challenges. By identifying how crises spread, policymakers and researchers can better anticipate and mitigate their impacts, fostering resilience in the face of growing systemic risks.
Technical summary
The concept of the polycrisis builds on the assumption that crises are interconnected. This suggests important processes of crisis transmission operate. However, beyond initial modelling we do not know much about how crisis transmission works. For this reason, this article makes a conceptual contribution by presenting a variety of conditions for crisis transmission. It applies an eclectic and inter-disciplinary approach, presenting a diversity of conceptual arguments addressing when and how crises can spread. These include but are not limited to: conceptualizing crisis boundaries and large impact events, neofunctionalism, rational choice theory, assemblage theory, complexity thinking, and epidemiological and evolutionary approaches. Lastly, crisis transmission also depends on the ability to cope with crises and thus resilience plays an important role.
Social media summary
Crisis transmission informs how a polycrisis operates. Discontinuing transmission helps building resilience.
We analyse distributions of the spatial scales of coherent intermittent structures – current sheets – obtained from fully kinetic, two-dimensional simulations of relativistic turbulence in a collisionless pair plasma using unsupervised machine-learning data dissection. We find that the distribution functions of sheet length $\ell$ (longest scale of the analysed structure in the direction perpendicular to the dominant guide field) and curvature $r_c$ (radius of a circle fitted to the structures) can be well-approximated by power-law distributions, indicating self-similarity of the structures. The distribution for the sheet width $w$ (shortest scale of the structure) peaks at the kinetic scales and decays exponentially at larger values. The data shows little or no correlation between $w$ and $\ell$, as expected from theoretical considerations. The typical $r_c$ depends linearly on $\ell$, which indicates that the sheets all have a similar curvature relative to their sizes. We find a weak correlation between $r_c$ and $w$. Our results can be used to inform realistic magnetohydrodynamic subgrid models for plasma turbulence in high-energy astrophysics.
Debates on dedollarizing and internationalizing China’s currency, the renminbi (RMB), often focus on state-led initiatives such as bilateral currency swaps and Central Bank Digital Currencies while overlooking the role of entrepreneurs utilizing US dollar (USD) alternatives. Ethnographic fieldwork with Nigerian importers of Chinese goods reveals how parallel payment currencies and channels—informal naira-RMB transfers and illicit cryptocurrency transactions—are just as essential in the Global South to decenter US dominance: its currency, institutions, and authority. Analyzing formal monetary policies and local money practices, Liu shows how Nigerian importers cultivate multicurrency fluency, which is vital in an incipient era of political and economic multipolarity.
Imagine a future where man and machine become one on the battlefield, where soldiers direct weapon systems through a neural implant. Research advances on brain–computer interfaces (BCIs) may eventually allow such control of arms at the speed of thought. This article sketches two modes of BCI-controlled weapon systems. In Mode A (active BCI), the soldier opens fire by actively imagining that he is pushing a button with his hand. By contrast, Mode B (reactive BCI) captures neural signals evoked instantly after having spotted a target, before the operator becomes consciously aware of it. If he deems the target lawful, the brain signal is translated into a command to fire. Arguing that such man–machine collaboration transforms the operating soldier into a means of warfare, this article conducts a weapon review in line with Article 36 of Additional Protocol I (AP I) to answer the question of whether BCIs can be lawfully used to control weapons in international armed conflict. Consequently, the two set-ups are reviewed on their compliance with the customary targeting principles of international humanitarian law. Since Mode B casts doubt on the amount of control that the soldier retains over his targeting decision, the concept of meaningful human control is transposed from the debate on lethal autonomous weapon systems and applied to BCIs. It is found that reactive BCIs cannot be meaningfully controlled and thus violate the principles of distinction and proportionality. Hence, reactive BCIs are unlawful under Article 36 of AP I.
Community advisory boards (CABs) have traditionally been formed in the context of discrete projects and served to support community protections within the confines of the associated investigation(s). However, as funding bodies increasingly prioritize health equity, CABs have shifted – evolving into long-running organizations with broader scope and value. An emerging cornerstone of these project-independent boards (PICABs) has been the formation of “Research Review Boards” (RRBs). While unified in their goal of promoting community protection and representation in health research, it is unknown to what degree RRBs differ on key features including membership, leadership, service reach, and – crucially – impact. A scoping review was conducted according to PRISMA-ScR guidelines to analyze current practices for RRBs. Of screened articles (n= 1878), 25 were included, corresponding to 24 unique RRBs. Findings indicated overlaps in the stated missions, funding structures, and processes of most RRBs. Differences in membership composition, location, service-reach, leadership structures, evaluation procedures, and perceived impact were evident. Where data is available, RRBs receive positive endorsement from both internal members and external users. Standardization of evaluation procedures is needed to fully quantify impact. Additional challenges to sustainability, communication, and conflicts (e.g., of interest, commitment, and power differentials) merit further consideration.
This study investigates the extent to which a group of Australian preservice and early career secondary school music teachers of East Asian heritage are likely to teach aspects of their heritage music. It is positioned against a background of national multiculturalism and approaches to cultural inclusivity in Australian society, as well as the long-standing notion of ‘Asia literacy’ in Australian education and the national cross-curriculum priority (C-CP) of ‘Asia and Australia’s engagement with Asia’. The study’s findings indicate that the participants identified with their ancestral cultures to varying extents, generally had very limited knowledge of and experience with their heritage music and in general were reluctant to teach their heritage music. The authors suggest that the slow rate of progress towards culturally diversifying Australian music classrooms is related to complex matters and attitudes surrounding race in the country. The study proposes developing Cayari’s concept of ‘Asian spaces’ as a means of increasing the presence of East Asian music in Australian schools and of supporting teachers of East Asian heritage in the workplace. Finally, the authors emphasise that culturally diversifying the content of music classrooms can be undertaken by teachers of any cultural background.
Building on the success of the Soft Drinks Industry Levy (SDIL), new tax proposals have been considered in the public health policy debate in the UK. To inform such debate, estimates of the potential impacts of alternative tax scenarios are of critical importance. Using a modelling approach, we studied the effects of two tax scenarios: (1) a hypothetical excise tax designed to tax food products included in the Sugar Reduction Programme (SRP), accounting for pack size to reduce the convenience of purchasing larger quantities at once; (2) an ad valorem tax targeting products based on the UK Nutrient Profile Model (NPM). Simulations of scenario 1 show a reduction in sugar purchased of up to 38 %, with the largest decreases observed for sweet confectionery with a tiered tax, similar in structure to the SDIL. Expected food reformulation in scenario 1 led to further decreases in sugar purchased for all categories. In scenario 2, under the assumption that the tax would not affect purchases of healthier products, a 20 % tax on less healthy products would reduce total sugar purchased by 4·3 % to 14·7 % and total energy by 4·7 % to 14·8 %. Despite some limitations and assumptions, our results suggest that new fiscal policy options hold a significant potential for improving diet quality beyond what has been achieved by the SDIL and SRP. An estimated increase in consumer expenditures in both scenarios suggests that attention needs to be paid to potentially regressive effects in the design of any new food taxes.
Effective allocation of scarce healthcare resources involves complex ethical and technical evaluations, with decision makers sometimes utilizing a societal perspective in health technology assessment (HTA). This study aimed to explore societal perspectives on healthcare resource allocation within Australia’s HTA framework, focusing on the valuation of health gains for children and young people (CYP) compared to adults.
Methods
In-depth, semistructured interviews were conducted with ten young people (aged 15–17) and twenty adults between October 2021 and April 2022. Participants were purposively sampled for diverse characteristics and completed an online information survey prior to the interviews, introducing relevant concepts. Interviews were analyzed using inductive coding, categorization, and constant comparison.
Results
Participants expressed nuanced perspectives on HTA processes, generally opposing numeric weighting and preferring a deliberative approach based on committee judgment. Although most participants acknowledged some moral relevance of CYP status in HTA, opinions varied on its operationalization. A sizable minority, including those with extensive health system experience, did not view CYP status as morally relevant, though some noted specific service gaps for CYP (e.g., mental health care, pain management). Participants identified a spectrum of factors, both person-centered and intervention related, that often surpassed the relevance of CYP status, including addressing severity, unmet needs, prevention, and early intervention, with an emphasis on Aboriginal and Torres Strait Islander communities.
Conclusion
Our findings highlight the inherent challenges in navigating the complexities of HTA and the critical need for HTA frameworks to be adaptable and inclusive, effectively integrating societal preferences to enhance healthcare policy’s equity and responsiveness.
Greenwashing cases holding businesses to account for false or misleading eco-claims are an increasingly visible component of the business and human rights landscape globally. In the European Union (EU), the Unfair Commercial Practices Directive is the centrepiece of regulation for business-to-consumer claims. Within the European Green Deal initiative, the EU is revising this framework, first with the Directive to ‘Empower Consumers for the Green Transition,’ and second the pending proposal for a ‘Green Claims Directive,’ introducing detailed requirements on the substantiation and communication of ‘green claims’ to consumers. If fully adopted, this fundamental reform will impose greater restraints on the discretion of any authority charged with the assessment of green claims and provide more uniform criteria across the EU, resulting in more accurate environmental claims and greater clarity for consumers and businesses alike.
Expanded vowel or tone space in IDS has traditionally been interpreted as evidence of enhanced acoustic contrasts. However, emerging evidence from various languages shows that the within-category acoustic variability of vowels and tones also increases in IDS, offsetting the benefit of space expansion and leading to non-enhanced, or reduced acoustic contrasts. This study re-analysed a corpus of Mandarin IDS and ADS, showing that, relative to ADS, vowels and tones in IDS display greater variability, resulting in non-enhanced contrasts. Thus, given increased variability, expanded vowel or tonal space in IDS may not necessarily equate to enhanced acoustic contrasts.
This article analyses the philanthropic practices of wealthy businessmen in West and Central Africa and how they are rooted in different political economies. Current debates on African philanthropy focus on horizontal gifting as a form of solidarity. Drawing on observations, interviews and original data on the activities of corporations and foundations, we identify three types of philanthropic practices that support different forms of economic accumulation and social reproduction. They also promote new forms of governance and transnational networks. First, gifts to parties and governments contribute to neo-patrimonial dynamics. Second, in the wake of democratisation processes, some business elites started to use grants and partnerships with civil societies and international organisations to promote the rule of law and constrain prebendalism. A third type of practices comprise venture philanthropy, seed funding and incubators claims to ‘Africanise’ capital flows. It positions finance professionals as intermediaries between the offshore world and the new leaders they support.
The COVID-19 pandemic showed the vital role of Emergency Medical Teams (EMTs) in international surge responses. The EMTs with their internationally skilled team members were able to meaningfully support countries facing the pandemic, especially those who were suffering from scarcity in the quality and quantity of workforce and financial resources within their health systems. This report summarizes the main operational challenges faced by UK-Med and The Polish Center for International Aid (PCPM) Emergency Medical Teams, based on experiences from their 32 COVID-19 deployments. In particular, the paper discusses the hindrances related to Ministries of Health expectations and the changing roles of EMTs during deployments.