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To (1) determine how serum fatty acid (FA) levels differ by developmental stage, (2) quantify associations between perinatal HIV-related factors and PUFA levels and (3) examine the heterogeneity of these associations by developmental stage.
Design:
Cross-sectional secondary analysis of baseline data from two prospective cohorts.
Setting:
Kampala, Uganda.
Participants:
243 children (6–10 years old) and 383 adolescents (11–18 years old) were recruited at Kawaala Health Center based on perinatal HIV status. Youth (children and adolescents) were classified as: those with perinatal HIV infection (PHIV: n 212), those perinatally HIV exposed but remained uninfected (HEU: n 211) and those perinatally HIV unexposed and uninfected (HUU: n 203).
Results:
Adolescents had lower n-6 and n-3 PUFA levels than children, and among adolescents, these levels increased with age. Relative to children HUU, children PHIV had a higher triene:tetraene ratio and 20:3n-9 (indicators of essential fatty acid deficiency (EFAD)). Adolescents PHIV v. HUU had lower 20:5n-3 levels. When considering in utero/peripartum antiretroviral therapy (IPA) exposure, the FA profile was indicative of EFAD for youth PHIV with (a) no IPA exposure and (b) combination IPA exposure, whereas non-nucleoside RT inhibitor+nucleoside RT inhibitor exposure was associated with a favourable FA profile among youth PHIV and HEU (all P < 0·05).
Conclusion:
In this sample, perinatal HIV status was associated with low PUFA levels, and these associations varied by developmental stage and IPA exposure type. Future research should elucidate the contribution of IPA exposure type to EFAD and the implications of these differences on growth and cognitive development.
Aims: 1. To evaluate and understand the sociodemographic characteristics of the patients admitted to rehabilitation wards who were subjected to CTO. 2. To evaluate the rehabilitation of inpatients discharged with or without CTO in place and compare their readmission rate.
Methods: The LIRO is the biggest database of inpatients in rehabilitation services in the NHS to our knowledge. The data is collected from admissions to inpatient mental health rehabilitation services between 2014 and 2020. The inpatient services involved two rehabilitation hospitals in Leicestershire, with a total of 68 beds.
Results: 361 admissions were identified. 72 (19.94%) patients were discharged on a CTO and 289 (80.05%) patients were discharged without CTO. 21% of the total of male patients (n=46) were discharged on a CTO vs 17.01% (n=25) of the female patients, one transgender patient was discharged on a CTO (p=0.311). Demographically, 34 (14.47%) Caucasian patients were discharged under CTO while 37 (30.33%) were non-Caucasian (p<0.001). 49 (68.05%) of the patients on CTO were discharged on depot antipsychotic as treatment, compared with 72 (24%) of patients without a CTO (p<0.0001).
Upon one year follow up, 32 (44.44%) patients on CTO were readmitted to mental health services within 12 months, while 126 patients discharged without CTO were readmitted within 12 months of discharge (43.60%) (p=0.97).
Conclusion: Patients subjected to the CTO are more likely to be discharged on depot medications from rehabilitation services. Significant number of non-Caucasian patients in rehabilitation services tend to be discharged on CTO. This is similar to national findings. There is no difference identified in readmission rate after discharge from rehabilitation ward within one year between the patients on CTO or not. This adds to the growing evidence that CTO is not stopping revolving door presentation.
Maternal diet during pregnancy influences the short- and long-term health of mothers and their offspring(1). Pregnant women from culturally and linguistically diverse (CALD) backgrounds potentially have challenges achieving a healthy diet due to language barriers, cultural differences and poor nutrition knowledge. Data from 2021 shows that ~7200 women who gave birth in Australia were of Chinese background(2), however, data on the dietary patterns and nutrition knowledge of pregnant women in Australia from CALD backgrounds are limited. This pilot, cross-sectional study aimed to: assess the food group, nutrient intakes and diet quality of pregnant/recently pregnant women in Australia with Chinese-speaking backgrounds, compare the intakes with national nutrition recommendations, and assess the nutrition knowledge of the women. Participants were recruited in partnership with Hunter New England Local Health District Multicultural and Refugee Health to complete an online survey, which was translated to simplified Chinese language. Eligible participants were pregnant women and women who had given birth in the previous 12-months, who were living in, but not born in Australia, who were ≥ 19 years, and primarily spoke a Chinese language. Dietary intake was assessed via the Australian Eating Survey, diet quality via the Australian Recommended Food Score (ARFS), and nutrition knowledge via a questionnaire adapted from the General Nutrition Knowledge Questionnaire. Food group serves, macronutrient, micronutrient and energy intake, and diet quality were reported as median (IQR) due to non-normal distributions. Intake of food group serves, macronutrients and micronutrients were compared with national nutrition recommendations. The mean (SD) nutrition knowledge score out of 23 was reported. Fifty participants (31.8 ± 4.3 years, mostly pregnant (66%), born in China (66%) with Mandarin as first language (62%)) reported median consumption of all five food groups below recommendations, with the poorest alignment for grain (4%) and dairy foods (4%). Median consumption of carbohydrate (46.5% EI), fat (34.5% EI) and protein (20.0% EI) met recommendations for pregnant women, but not saturated fat (12.5% EI) or dietary fibre (18.6 grams). The alignment of 16 micronutrients from food intake to recommendations was poor, particularly for iron (4%) and iodine (12%). The highest alignment to recommendations was for vitamin C (92%) and retinol (78%). The median (IQR) ARFS was 23 (18, 39) points out of 73, indicating poor overall diet quality. The mean (SD) nutrition knowledge score was 10.2 (2.9) out of 23. This sample of pregnant and recently pregnant women living in Australia with Chinese-speaking background reported suboptimal food group and nutrient intakes and overall diet quality that does not align with national nutrition recommendations. The low nutrition knowledge score suggests poor knowledge of pregnancy dietary recommendations. These findings warrant further investigation in larger samples of pregnant women from CALD backgrounds with regard to dietary intake and nutrition knowledge.
The Three Pillars (Harmonization, Replacement, and Justice) describe an ethical path forward and away from the use of nonhuman primates in harmful research and scientific use. Conducting nonhuman primate research in an ethical way that acknowledges their moral importance requires satisfying more rigorous guidelines and regulations modeled on those that apply to similarly vulnerable human subjects, especially children and incarcerated persons. This Element argues for the moral necessity of harmonizing human and nonhuman primate research ethics, regulations, and guidelines in a way that protects all primates, human and nonhuman. The authors call for the replacement of nonhuman primates in research with human-relevant methods that do not simply shift research onto other nonhuman animals, and challenge publics, governments, and scientific communities worldwide to implement justice in the selection and use of all research subjects. This title is also available as Open Access on Cambridge Core.
The articles in this volume celebrate the work of Steven Burns. Versions of the articles were presented originally at two sessions organized in Burns's honour at the 2022 meeting of the Atlantic Regional Philosophers’ Association (ARPA), held at Dalhousie University in Halifax. This introduction presents a brief academic biography and summarizes each of the contributions. The articles, by Michael Hymers, Robbie Moser and Darren Bifford, Alice MacLachlan, Jason Holt, and Warren Heiti, address perennial themes in philosophy, such as self-knowledge, attention, friendship, interpretation, and judgement. The collection concludes with some last words by Burns himself.
The layer charge of five smectites, one vermiculitic material, and five reduced-charge clays was determined by the alkylammonium and structural formula methods. The two sets of results were found to be linearly correlated (r =.961); however, the values that were determined by the alkylammonium method were 20 to 30% lower than those determined by the structural formula method, and the regression slope for their linear relationship was 1.67. The fact that the structural formula method includes the effects of cations on the lateral edges of the clay particles probably accounted for some of the differences in the magnitude of the results but should not have caused the regression slope to deviate substantially from 1.00. Therefore, inaccurate estimates of the packing density of alkylammonium cations in the interlayer space of 2:1 phyllosilicates were deemed responsible for the systematic divergence of the results of the two methods. To satisfy the need for a relationship between the two methods of determining layer charge, an empirical means of adjusting the alkylammonium values has been proposed and shown to yield values of layer charge that are comparable to those determined by the structural formula method.
The aim of this study was to compare past New Zealand immunization strategies with the New Zealand coronavirus disease 2019 (COVID-19) immunization roll-out.
Methods:
Using the READ document analysis method, 2 New Zealand immunization strategies (for influenza and measles) were analyzed for how the disease, context, vaccine supply and demand, ethical principles (equity, individual autonomy, and maximizing benefits), and the Treaty of Waitangi impacted the immunization programs. The findings were compared with the ongoing COVID-19 mass immunization program in New Zealand, as of October 15, 2021.
Results:
Several themes common to the case-studies and the COVID-19 pandemic were identified including the importance of equity, obligations under the Treaty of Waitangi, ethical mandates, and preparedness.
Conclusions:
Future emergency planning should integrate learnings from other infectious disease responses and immunization programs to avoid repeating mistakes and to create better health outcomes. This study has provided a basis for ongoing research into how an appropriate immunization plan can be developed that incorporates ethical values, the Treaty of Waitangi (in the NZ context), and evidence-based research to increase trust, equity, health, and preparedness for future outbreaks.
Over the past twenty years, a convergence of scientific, demographic, legal and social developments has led to a significant increase in cases of international surrogacy. Parenthood has become a multi-billion-dollar industry, and the law has been left behind in the wake of advances in artificial reproductive techniques, and rapid social changes. Lawyers, politicians, ethicists and health care professionals have struggled to develop suitable legal frameworks to ensure the protection of surrogates from exploitation, while also combating the vulnerability of intended parents to agencies and intermediaries, and ensuring that the rights of children born as a result of surrogacy are adequately protected.
The transnational nature of surrogacy - with intended parents often crossing national boundaries to achieve their desire of become parents - has meant that individual states have difficulty taking decisive action to regulate this practice. Moreover, surrogacy remains a highly politicised ethical issue, with different responses to the question of whether surrogacy should be permitted, and if so, on what grounds.
This book is the first comprehensive engagement with surrogacy and surrounding issues in Latin America in the English language. It examines the approaches taken in Latin American jurisdictions, bringing together experts from Argentina, Brazil, Chile, Colombia, Costa Rica, Dominican Republic, Ecuador, Guatemala, Mexico, Peru, Puerto Rico and Uruguay. It provides an overview of the national developments and current legal reform processes in their historical and societal contexts and puts these developments into a global perspective.
Older age is associated with an increase in altruistic behaviors such as charitable giving. However, few studies have investigated the cognitive correlates of financial altruism in older adults. This study investigated the cognitive correlates of financial altruism measured using an altruistic choice paradigm in a community-based sample of older adults.
Participants and Methods:
In the present study, a sample of older adults (N = 67; M age = 69.21, SD = 11.23; M education years = 15.97, SD = 2.51; 58.2% female; 71.6% Non-Hispanic White) completed a comprehensive neuropsychological assessment and an altruistic choice paradigm in which they made decisions about allocating money between themselves and an anonymous person.
Results:
In multiple linear regression analyses that controlled for age, education, and sex, financial altruism was negatively associated with performance on cognitive measures typically sensitive to early Alzheimer’s Disease. These included CVLT-II Short Delay Free Recall (Beta=-0.26, p=0.03); CVLT-II Long Delay Cued Recall (Beta=-0.32, p=0.04), Craft Story 21 Delayed Recall (Beta=-0.32, p=0.01), and Animal Fluency (Beta=-0.27, p=0.02). Findings held when responses were grouped according to how much was given (Gave Equally, Gave More, Gave Less) for word list memory and story memory measures.
Conclusions:
Findings of this study point to a negative relationship between financial altruism and cognitive functioning in older adults on measures known to be sensitive to Alzheimer’s Disease (AD). Findings also point to a potential link between financial exploitation risk and AD in older age.
In recent years, rates of alcohol consumption and alcohol use disorder have steadily increased among adults age 60 and older. Large studies have demonstrated that moderate-to-heavy alcohol consumption (>7 drinks per week) is a risk factor for developing various types of dementias. The effects of alcohol-related problems on cognition are less clear, and are particularly understudied in older adults. Similarly, while there is an established link between worse cognition and financial exploitation vulnerability in older adults, no studies have examined relationships between alcohol-related problems and financial exploitation in this population. The current study therefore explores whether alcohol-related problems are associated with neuropsychological performance and financial exploitation vulnerability in a sample of older adults.
Participants and Methods:
Participants were a community sample of cognitively unimpaired adults over the age of 50 (N = 55, Age M(SD) = 69.1(6.2), 74.5% female, Years of education M(SD) = 16.8(2.3)). Interested individuals were excluded if they reported current or past substance use disorders. Participants completed a laboratory visit that included a neuropsychological assessment. Measures included the NIH Cognition toolbox, CVLT-II, Digit Span, Trails A/B, Benson Complex Figure Recall, and Verbal Fluency: Phonemic and Semantic, from the Alzheimer’s Disease Centers’ Uniform Data Set (UDS) version 3. Participants completed the CAGE Alcohol Abuse Screening Tool and the Short Michigan Alcohol Screener Test - Geriatric Version (SMAST) to assess alcohol-related problems. Both measures are used as clinical screening tools to measure likelihood of a substance use disorder and produce a summary score (0-4 for CAGE, 010 for SMAST) tabulating symptoms of alcohol-related problems. Participants also completed the Perceived Financial Vulnerability Scale (PFVS) to assess financial exploitation vulnerability. As a significant number of participants reported no drinking and therefore no alcohol-related problems, negative binomial regressions were used to test associations between neuropsychological measures, financial exploitation vulnerability, and alcohol-related problems.
Results:
After covarying for age and sex, SMAST was negatively associated with NIH toolbox total cognition (B(SE) = -.14(.07), p<.05) and marginally negatively associated with fluid cognition (B(SE) = -.07(.04), p=.06). Neither SMAST nor CAGE scores were significantly associated with performance on any other neuropsychological test (ps = .13-.99). SMAST was positively associated with financial exploitation vulnerability (B(SE) = .31(.16), p = .05); this effect remained significant after covarying for NIH total composite score in a secondary analysis.
Conclusions:
In a community sample of cognitively unimpaired, low-drinking adults over the age of 50, more alcohol-related problems were associated with worse NIH toolbox cognition scores. Similarly, more alcohol-related problems were associated with greater financial exploitation vulnerability, and this relationship was not driven by worse cognition. These results suggest that even low amounts of drinking and alcohol-related problems may be associated with cognition and financial exploitation vulnerability in cognitively unimpaired older adults. This study also corroborates the use of the SMAST over the CAGE in older adult populations that may be more sensitive to cognitive changes.
Prior work suggests financial exploitation vulnerability may be an early behavioral manifestation of Alzheimer’s disease (AD). Brain morphometric measures of the parahippocampal gyrus and entorhinal cortex have been shown to be sensitive to early AD progression. We hypothesized that perceived financial exploitation vulnerability may be associated with morphometric measures of the parahippocampal gyrus and entorhinal cortex in cognitively unimpaired older adults. We secondarily investigated the association of morphometric measures with neuropsychological measures.
Participants and Methods:
The sample consisted of 39 cognitively unimpaired older adults (mean age = 68.74 ± 6.43, mean education = 16.87 ± 2.35, 77% female). Cognitive impairment was screened using the telephone version of the Montreal Cognitive Assessment (MoCA) and the cut-off was 21 for study participation. Perceived financial exploitation vulnerability was characterized using a 6-item self-report measure derived from the contextual items of the Lichtenberg Financial Rating Scale. Neuropsychological measures included the CVLT-II Long Delay Free Recall (verbal memory), Benson Complex Figure Recall (visual memory), and Verbal Fluency: Phonemic Test from the Alzheimer’s Disease Centers’ Uniform Data Set (UDS) version 3. Brain images were collected on a 7 Tesla Siemens Magnetom with the following parameters: TE=2.95ms, TR=2200ms, 240 sagittal slices, acquired voxel size (avs)=0.7mm x 0.7mm x 0.7mm. Structural brain images were processed using FreeSurfer version 7.2.0. Cortical thickness and volume measures were generated using the Killiany/Desikian parcellation atlas. Regions were averaged across hemispheres to obtain a single value for each region. Volume measures were adjusted for intracranial volume. Bivariate analyses were conducted to assess relationships between each outcome variable and potential confounders (age, sex, and education). Linear regression models were adjusted for any covariates significantly associated with the outcome variable (none for perceived financial exploitation vulnerability; sex and age for verbal memory; education for visual memory; sex for verbal fluency).
Results:
Smaller entorhinal cortex volume (β = -1275.14, SE = 582.79, p < 0.05) and lower parahippocampal gyrus thickness (β = -3.37, SE = 1.57, p < 0.05) were significantly associated with greater perceived financial exploitation vulnerability. Lower entorhinal cortex thickness was marginally associated with greater perceived financial exploitation vulnerability (β = -2.03, SE = 1.11, p = 0.08). Higher parahippocampal gyrus thickness was associated with better verbal fluency (β = 17.66, SE = 7.01, p < 0.05). Higher entorhinal cortex thickness was associated with better visual memory (β = 4.71, SE = 1.73, p < 0.05). No significant associations were observed between structural brain measures and verbal memory.
Conclusions:
These results suggest smaller entorhinal cortex volume and lower parahippocampal gyrus thickness are associated with higher perceived financial exploitation vulnerability in cognitively normal older adults. Additionally, parahippocampal gyrus thickness appears to be associated with verbal fluency abilities while entorhinal cortex thickness appears to be associated with visual memory. Taken together, these findings lend support to the notion that financial exploitation vulnerability may serve as an early behavioral manifestation of preclinical AD. Longitudinal studies are needed to better understand the temporal nature of these relationships.
The COVID-19 pandemic foregrounded a numerical conception of age. Many of the targets of proposals to introduce age-specific restrictions are members of the ‘baby boomer’ generation, a generation that is widely recognised as having a youthful approach to ageing. Attending to arguments that baby boomers are a ‘bridging’ generation – i.e. they share cultural orientations with both preceding and succeeding generations – we argue that ‘bridging’ is a dynamic practice. Drawing on repeat interviews with 45 ‘war baby’ and baby boomer women conducted prior to the pandemic and shortly after the first national lockdown, the paper demonstrates how lockdown restrictions brought to light older women's relationships to, and investments in, spatial mobilities. We focus on how they experienced and understood (im)mobilities in three realms: home life, going places and social connection. Pre-pandemic, mobilities in each of these realms had been important to how the women established youthfulness and resisted being seen as ‘old’; mobilities helped older women ‘bridge’ with younger adult generations. This bridging was undermined practically, symbolically and discursively by their experiences of the lockdown, with profound consequences for perceptions of their ageing. Restrictions on spatial mobilities created conditions for older women to reassess and narrate the social world in generational terms. Their narratives provide an illuminating case study of the complex ways that generational cohort shapes experiences and self-understandings. We argue that the capacity of baby boomers to ‘bridge’ dynamically is a legacy of their youth.
When very young children are brought to a doctor or hospital with signs and symptoms consistent with head injury, it is important to determine the cause. For almost 50 years, the triad of subdural haematoma (SDH), retinal haemorrhage (RH) and encephalopathy has been regarded as an accurate predictor of deliberate shaking and widely used to diagnose shaken baby syndrome (SBS). Statistical analyses by Cardiff University researchers and others claim to show that certain combinations of findings are highly predictive of abuse and as a result of this conclusion, protocols such as mandatory reporting to police are invoked in the name of protecting the child. However, concerns have been raised about the circularity of approach used in the statistical analyses which requires each case to be classified explicitly as either abuse or non-abuse. By producing a causal model of the problem, we show that these findings are actually a poor predictor of SBS, even where there is some evidence of risk factors indicative of abuse.
1. Are there specific legal rules dealing with surrogacy in your jurisdiction (especially: is there a specific statute or merely an administrative/court practice)?
– Please provide information including the general constitutional/legal framework where appropriate.
– If there are no specific legal rules, is surrogacy nevertheless regulated through other mechanisms (e.g. medical boards/professional bodies)?
2. Is there a specialised authority set up to oversee surrogacy in your jurisdiction?
If so, please provide information concerning the role, and powers, of this authority.
3. What is the reasoning behind the law/rules on surrogacy (or lack thereof) in your jurisdiction?
Please describe the historic development leading up to the current law, and any significant legislative or judicial debates.
Please note if there is any distinction drawn between traditional and gestational surrogacy.
4. Please give statistical information (where available), concerning:
– (estimated) number of surrogate births in your jurisdiction;
– (estimated) number of surrogacy arrangements undertaken by citizens in another jurisdiction;
– number of clinics in which surrogacy can take place;
– any other relevant/interesting statistical information.
2. SURROGACY ARRANGEMENTS IN GENERAL
1. Are surrogacy contracts legal in your jurisdiction? Are they binding/ enforceable?
If so, please provide information concerning the terms that can, and cannot, be included.
2. Can a surrogate be remunerated for her participation in the surrogacy arrangement?
In particular:
– Are there guidelines concerning appropriate levels of payments? If so, who are they provided by?
– Are there any limits on payments?
– How are payments to the surrogate monitored?
Please provide any statistical information concerning payments made to surrogates in your jurisdiction.
3. LEGAL PARENTHOOD AT THE TIME OF BIRTH
1. Who are the legal parents of a child born through surrogacy at the time of birth?
How does this relate to the way in which your jurisdiction views parenthood in general, and motherhood in particular?
2. Will there be any indication on the birth certificate, or other document, that the child was born as a result of a surrogacy arrangement?
3. Is information concerning the surrogate – as the person who gave birth – preserved by the relevant authorities if she is not the legal mother of the child?
If so, please provide information concerning, inter alia:
Surrogacy has become a transnational phenomenon, and thus a major human rights concern. In particular, surrogacy raises ethical and legal questions of great importance. We cannot address the issue without discussing the commodification of the bodies of people with the ability to gestate, and of children who are the product of gestation. Nor can we ignore the profound repercussions that this debate entails for autonomy and fundamental rights. Surrogacy in Latin America offers the keys to start exploring these questions in the region from a comparative perspective. Through an exhaustive examination of the legal institutions, this volume questions how these concepts are defined and applied in different jurisdictions in Latin America, and what the consequences are of the decisions adopted in national legislation.
As this volume reveals, surrogacy challenges the way we think about and apply basic family laws. Thus, for example, the phenomenon requires that we essentially consider what “being a parent” means in the context of family law, and on which circumstances this position should be based: gestation and childbirth; being married to, or in a relationship with, the surrogate mother; genetic contribution; procreational intent; or social parenthood. At the same time, the phenomenon presents important concerns regarding the best interests of children and adolescents. Children are at the heart of surrogacy, but too often they are viewed as the objects resulting from the arrangement rather than legal subjects in their own right. Contrary to this approach, children’s rights must be the paramount consideration in surrogacy.
Another central aspect of surrogate motherhood is the surrogacy contract and its legal effects. Should such contracts be considered as binding acts, and if so, with what consequences? Who should be eligible as surrogates and principals under these agreements? How should the potential exploitation of pregnant persons, commodification and autonomy be taken into account in such contracts?
In Mexico, the Supreme Court of Justice has expressly recognised the importance of procreational intent when establishing parenthood by surrogacy. In accordance with our jurisprudence in family matters, we have considered the best interests of children and adolescents to be paramount. Likewise, we have ordered Congress to regulate, urgently and as a priority, this technique of assisted human reproduction.
Surrogacy has become a global phenomenon. Irrespective of whether one approves of surrogacy or not (or indeed, just some forms of it), it is undeniable that there is a global surrogacy market, and this market is being accessed by people from many countries, and in many countries, around the globe. Therefore, jurisdictions cannot avoid taking a position on surrogacy – it is a practice that affects the lives of individuals and couples, parents and children, all over the world. No country is immune, and the law ignores surrogacy at its peril.
This volume on surrogacy in Latin America, based on a joint research project by the Centre for Constitutional Studies (CEC) of the Supreme Court of Justice of Mexico and the Cambridge Family Law Centre, is a follow-up volume to a previous research project on “Eastern and Western Perspectives on Surrogacy”. This introduction draws on the ideas and thoughts developed for, and in, the Eastern and Western Perspectives on Surrogacy project. The idea underlying the project was to move beyond the general scholarly focus on “Western” jurisdictions, and compare them with the approach being taken in so-called “Eastern” jurisdictions (being aware of how difficult, imprecise and even inappropriate such categorisations can be). This volume, with its focus on Latin America, will further expand this project, bringing another perspective to this dynamic and fast-growing phenomenon.
One of the advantages of comparative research in this area is the ability to see the global picture, including examining the legal context in both “receiving” and “sending” jurisdictions. Jurisdictions from Latin America were not included in the original project, mainly because of the different pace of legal development in the region compared to those ultimately included in the project. However, surrogacy has become a more pressing issue in Latin America as well and, therefore, this volume intends to fill the gap that the previous work left and give an account of the different ways surrogacy has been addressed, or indeed not addressed, in Latin American jurisdictions.