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While global financial capital is abundant, it flows into corporate investments and real estate rather than climate change actions in cities. Political will and public pressure are crucial to redirecting funds. Studies of economic impacts underestimate the costs of climate disasters, especially in cities, so they undermine political commitments while understating potential climate-related returns. The shift of corporate approaches towards incorporating environmental, social, and governance (ESG) impacts offers promise for private-sector climate investments but are recently contested. Institutional barriers remain at all levels, particularly in African cities. Since the Global North controls the world's financial markets, new means of increasing funding for the Global South are needed, especially for adaptation. Innovative financial instruments and targeted use of environmental insurance tools can upgrade underdeveloped markets and align urban climate finance with ESG frameworks. These approaches, however, require climate impact data collection, programs to improve cities' and countries' creditworthiness, and trainings. This title is also available as open access on Cambridge Core.
Embedding climate resilient development principles in planning, urban design, and architecture means ensuring that transformation of the built environment helps achieve carbon neutrality, effective adaptation, and well-being for people and nature. Planners, urban designers, and architects are called to bridge the domains of research and practice and evolve their agency and capacity, developing methods and tools consistent across spatial scales to ensure the convergence of outcomes towards targets. Shaping change necessitates an innovative action-driven framework with multi-scale analysis of urban climate factors and co-mapping, co-design, and co-evaluation with city stakeholders and communities. This Element provides analysis on how urban climate factors, system efficiency, form and layout, building envelope and surface materials, and green/blue infrastructure affect key metrics and indicators related to complementary aspects like greenhouse gas emissions, impacts of extreme weather events, spatial and environmental justice, and human comfort. This title is also available as open access on Cambridge Core.
Climate impacts and risk, within and across cities, are distributed highly unequally. Cities located in low latitudes are more vulnerable to climate risk and impacts than in high latitudes, due to the large proportion of informal settlements relative to the housing stock and more frequent extremes. According to EM-DAT, about 60% of environmental disasters in cities relate to riverine floods. Riverine floods and heatwaves cause about 33% of deaths in cities. However, cold-waves and droughts impact most people in cities (42% and 39% of all people, respectively). Human vulnerability intersects with hazardous, underserved communities. Frequently affected groups include women, single parents, and low-income elderly. Responses to climatic events are conditioned by the informality of social fabric and institutions, and by inequitable distribution of impacts, decision-making, and outcomes. To ensure climate-resilient development, adaptation and mitigation actions must include the broader urban context of informality and equity and justice principles. This title is also available as open access on Cambridge Core.
Survey research in the Global South has traditionally required large budgets and lengthy fieldwork. The expansion of digital connectivity presents an opportunity for researchers to engage global subject pools and study settings where in-person contact is challenging. This paper evaluates Facebook advertisements as a tool to recruit diverse survey samples in the Global South. Using Facebook’s advertising platform, we quota-sample respondents in Mexico, Kenya, and Indonesia and assess how well these samples perform on a range of survey indicators, identify sources of bias, replicate a canonical experiment, and highlight trade-offs for researchers to consider. This method can quickly and cheaply recruit respondents, but these samples tend to be more educated than corresponding national populations. Weighting ameliorates sample imbalances. This method generates comparable data to a commercial online sample for a fraction of the cost. Our analysis demonstrates the potential of Facebook advertisements to cost-effectively conduct research in diverse settings.
It has been long recognised that up to 80% of patients with psychiatric disorders may suffer with some degree of sleep complaint. Historically, sleep disturbance has been regarded as an epiphenomenon of the primary psychiatric disorder, but their bidirectional relationship is increasingly recognised. It is also clear that sleep disorders increase the risk of developing episodes of psychiatric disorders and that they modulate psychiatric symptom expression. Similarly, both micro- and macrostructure of sleep may dynamically change during various stages of major psychiatric disorders, further aggravating their prognosis and symptom development. Thus, concurrent and decisive management of sleep should be a pivotal part of the clinical management of all psychiatric disorders.
Cities have suffered from three years of the COVID-19 pandemic and are increasingly experiencing exacerbated heatwaves, floods, and droughts due to climate change. Going forward, cities need to address both climate and public health crises effectively while reducing poverty and inequity, often in the context of economic pressure and declining levels of trust in government. The COVID-19 pandemic has revealed gaps in city readiness for simultaneous responses to pandemics and climate change, particularly in the Global South. However, these concurrent challenges to cities present an opportunity to reformulate current urbanization patterns and the economies and dynamics they enable. This Element focuses on understanding COVID-19's impact on city systems related to climate change mitigation and adaptation, and vice versa, in terms of warnings, lessons learned, and calls to action. This title is also available as open access on Cambridge Core.
In the quest for “identity dominance” over the enemy, armed forces are increasingly leveraging biometrics for a variety of purposes. This paper focuses on the combat employment of one of them – facial recognition, which, unlike other biometrics, does not appear to have been widely utilized for targeting purposes yet. With the purchasing patterns of advanced militaries suggesting that such a development is around the corner, this paper assesses the compliance with international humanitarian law (IHL) of the use of facial recognition technologies for targeting purposes. It peruses the applicable legal framework to demonstrate that IHL is neutral towards the use of new technologies and that the right to privacy under international human rights law does not preclude the use of biometrics in hostilities. The analysis zooms in on two specific use cases in which facial recognition is likely to be employed on the battlefield, namely (1) targeted killings against combatants and (2) targeted killings against civilians directly participating in hostilities. The paper closes with an acknowledgment that while facial recognition does have obvious operational benefits, it also has the potential to exacerbate targeting practices that stretch the limits of IHL.
Building a successful research career often requires being adept at the methods and tools of the time. For social and behavioral scientists today, that means navigating online participant platforms and the tools used to create online studies. In this chapter, we describe how Amazon’s Mechanical Turk (MTurk) can be leveraged as a source for participant recruitment. We provide a brief history of MTurk’s usage by researchers, describe the challenges researchers have faced with the site, and summarize the status of issues like data quality, sample representativeness, and ethics in online research. Along the way, we provide tips for how researchers can use MTurk to collect high-quality data and to start and advance a research career.
Does targeting combatants really provide a military advantage during an armed conflict? The limitations on the use of force against civilians and means and methods of warfare are well developed under contemporary international humanitarian law (IHL), but the issue of targetability of adversary combatants remains underdeveloped. This paper builds on contemporary developments in international human rights law and moral just war theory to offer a revised lex ferenda look at the basic principles of IHL through the internalization of the value of the lives of combatants. It is argued that such a reading of IHL would allow for a rejection of the automatic necessity of targeting combatants, and hence give due consideration to the value of life of combatants (both adversary combatants and own combatants) in the evaluation of the use of force during armed conflicts, including through reduced military advantage, force protection, and adjusted proportionality analysis.
We consider the Vlasov equation in any spatial dimension, which has long been known [ZI76, Mor80, Gib81, MW82] to be an infinite-dimensional Hamiltonian system whose bracket structure is of Lie–Poisson type. In parallel, it is classical that the Vlasov equation is a mean-field limit for a pairwise interacting Newtonian system. Motivated by this knowledge, we provide a rigorous derivation of the Hamiltonian structure of the Vlasov equation, both the Hamiltonian functional and Poisson bracket, directly from the many-body problem. One may view this work as a classical counterpart to [MNP+20], which provided a rigorous derivation of the Hamiltonian structure of the cubic nonlinear Schrödinger equation from the many-body problem for interacting bosons in a certain infinite particle number limit, the first result of its kind. In particular, our work settles a question of Marsden, Morrison and Weinstein [MMW84] on providing a ‘statistical basis’ for the bracket structure of the Vlasov equation.
What motivates property owners to pay taxes in places where state enforcement is weak? Using an online experiment among property owners in Lagos, Nigeria, we evaluate the effectiveness of different appeals at increasing respondents’ tax morale—willingness to pay taxes absent enforcement—and attitudes about government enforcement of tax collection. Respondents were randomly assigned to read either a vignette emphasizing the role of property tax revenues in contributing to economic growth and increased property values or one highlighting that tax revenues are used for public goods and services benefiting all residents. The growth and property values message made respondents significantly more favorable toward enforcement of tax collection, but there was no difference in willingness to pay between the two conditions.
The NIH National Center for Advancing Translational Science (NCATS) was established to support translational research that spans the entire TS Continuum, with the goal of bridging the gap between preclinical biomedical research and real-world applications to advance treatments to patients more quickly. In 2018, the Translational Science Training (TST) TL1 Program at the University of Texas Health Science Center at San Antonio implemented new strategies to better include and encourage research more broadly across the TS Continuum, including the addition of postdoctoral scientists and a clinically trained Program Co-Director, expansion of team science and community engagement programming, and targeted trainee recruitment from schools of nursing, dentistry, and allied health, in addition to medicine. The objective of this bibliometric analysis was to determine if the program exhibited a more diverse mix of T-types after the adjustments made in 2018. The TST/TL1 Program experienced a shift in T-type, from mostly T0 (preclinical) to more T3/T4 (clinical implementation/public health) research, after new strategies were implemented. This supports the conclusion that strategic programmatic adjustments by an NCATS-funded predoctoral training program resulted in outcomes that better align with NCATS priorities to develop Trainees who contribute across the entire TS Continuum.
Chapter 3 summarizes existing theories of election-related violence and introduces a theory of violence as a result of elite misperception. Existing theories rely upon the assumption that politicians choice of violence as an electoral tactic is based on an accurate assessment its relative costs and benefits. The theory of elite misperception, on the other hand, builds on two insights: (1) that voter backlash against violence is substantial and can cost politicians votes and (2) politicians frequently misjudge voter preferences – including with respect to violence – which can lead them to overestimate its benefits as an electoral tactic. The theory points to the difficulties politicians face in accurately assessing the impact of electoral tactics, as well as to the prevalence of cognitive biases that can cause them to misinterpret what information they have. It also highlights the importance of founding elections in determining which electoral tactics – violence included – are considered effective and worthy of emulation. With these insights in mind, the theory explains the incidence and persistence of election-related violence as a result of politicians misperceptions about voter preferences and the effects of violence on voting rather than the objective electoral benefits that violence provides.
Chapter 2 summarizes the nature and extent of election-related violence globally and in Kenya specially. It documents the various forms that such violence takes and provides background on the Kenyan case, noting certain key features that make it particularly useful to study. In particular, it establishes that Kenya is a case where (1) political elites play a primary role in instigating violence and (2) elections are competitive enough that voters have a genuine choice at the polls. It also establishes it as a hard case for testing a theory of elite misperception, as the conventional wisdom holds that violence – working through several of the mechanisms posited in the literature – is an effective tool for winning Kenyan elections. It concludes with some discussion of the special role that ethnicity often plays in the outbreak of violence in electoral competition.
Chapter 6 addressed the puzzle of why politicians employ violence as an electoral tactic in Kenya when the benefits of doing so are uncertain at best. Data from survey experiments with politicians that parallel those conducted with voters – as well as evidence from qualitative interviews – show that, contrary to what the literature assumes, politicians misperceive the effects of violence and violent ethnic rhetoric on voter preferences over candidates for office, underestimating the size and breadth of voter backlash against the use of these tactics. This misperception explains why election-related violence continues to occur in Kenya despite its questionable efficacy as an electoral tactic. Furthermore, access to information alone does not appear to be enough to correct politicians misperceptions in this domain. Elite misperception can explain why violence occurs in the course of electoral competition even when its efficacy is in doubt.