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Data-driven design is expected to change design processes and organizations in significant ways. What actions should design managers take to ensure the best possible outcomes in this new data-driven design environment? This paper employs an interdisciplinary literature survey to distill key impacts that data-driven design may have on designers, design teams, organizations and product users. Findings reveal that designers may need a broader set of skills to be successful. For data-driven design to be most effective, design managers will be challenged with many integration tasks, including the integration of AI-based tools into design teams, the closer integration of interdisciplinary teams, the integration of qualitative design thinking methods with new data-driven design paradigms, and the integration of data and algorithms into traditional human-centred design practice, in an effort to overcome cognitive limitations and augment human skill. This paper identifies gaps in the literature at the intersection of data-driven design and design management, design thinking, and systems thinking.
In her magisterial work on women's monasticism from early Christianity to modernity, Jo Ann McNamara offered this contrast between men's and women's religious life:
Scholars have easily perceived men who have served the Catholic Church in their orderly ranks as monks and secular clergy, distributed according to their specialized vocations. Women religious have been torn between lay and clerical status, between episcopal and monastic jurisdictions, between active and contemplative vocations defined by male authorities. Thus, despite the variety of their activities, women's experience of religious life, as it came to be called, had profoundly different lineaments from men’s.
This assessment of the differences in orderliness between men's and women’s monastic communities is characteristic of continuing assumptions about high and late medieval monasticism. We have tended to associate men's monasticism with well-defined and centralised monastic orders such as the Cistercians, Dominicans and Franciscans. Participation in these orders involved exemption from the jurisdiction of the local bishop and clear connection to the order's governing structure. By contrast, we have seen women's communities as more local, with more tenuous connections to the governing structures that defined these monastic orders.
While important research since McNamara's work has demonstrated that some women's communities were more integrated into large monastic orders than had been previously believed, scholars of women's monasticism are aware that many communities of religious women remained under the local bishop, following the Rule of Saint Benedict or Saint Augustine. A remaining problem in efforts to compare men's and women's monasticism is that we have thought of the continuing existence of individual monastic houses under the jurisdiction of the bishop as a phenomenon that primarily applied to women's houses due to the difficulty of gaining incorporation into male-centred, centralised monastic orders. Nevertheless, many men's communities remained outside of strong, organising networks.
In this chapter, I will look at continuing efforts by church leaders to organise both men's and women's monastic communities, connecting them to existing or new monastic networks in order to define and regulate individual, local monasteries. In earlier research on religious women in late medieval Bologna, I investigated the fluctuations in rule and affiliation that were part of the experience of some women's monastic communities. I found that changes in local monasteries in the fifteenth century represented continuing efforts to organise monastic life in line with programmes that had begun in the high Middle Ages.
Shade coffee is a well-studied cultivation strategy that creates habitat for tropical birds while also maintaining agricultural yield. Although there is a general consensus that shade coffee is more “bird-friendly” than a sun coffee monoculture, little work has investigated the effects of specific shade tree species on insectivorous bird diversity. This study involved avian foraging observations, mist-netting data, temperature loggers, and arthropod sampling to investigate bottom-up effects of two shade tree taxa - native Cordia sp. and introduced Grevillea robusta - on insectivorous bird communities in central Kenya. Results indicate that foliage-dwelling arthropod abundance, and the richness and overall abundance of foraging birds were all higher on Cordia than on Grevillea. Furthermore, multivariate analyses of the bird community indicate a significant difference in community composition between the canopies of the two tree species, though the communities of birds using the coffee understorey under these shade trees were similar. In addition, both shade trees buffered temperatures in coffee, and temperatures under Cordia were marginally cooler than under Grevillea. These results suggest that native Cordia trees on East African shade coffee farms may be better at mitigating habitat loss and attracting insectivorous birds that could promote ecosystem services. Identifying differences in prey abundance and preferences in bird foraging behaviour not only fills basic gaps in our understanding of the ecology of East African coffee farms, it also aids in developing region-specific information to optimize functional diversity, ecosystem services, and the conservation of birds in agricultural landscapes.
In 2012 the historian Julia Adeney Thomas restrained her temper but unleashed a warning. The occasion was a forum in the American Historical Review on ‘historiographic “turns” in critical perspective’. The perspectives offered were critical enough, Thomas wrote in praise of the other authors, but the forum had a blind spot: ‘alongside the turns analyzed here, a world-altering force has been emerging, one larger, more devastating, and more definitive even than “contemporary flexible forms of capitalism”: I speak of climate change – or climate collapse – and all of its related global transformations’. Since then, some intersectional scholars have gone beyond that to argue that climate collapse and racial capitalism are not separate topics at all, but are bound together by white supremacy and lingering forms of European imperialism. Over the past decade some environmental historians have grappled with these connections and deployed new frameworks for thinking about scale, the interdependence of the local and the global, the implications of a Euro-centric analytical framework for our understanding of the world and the relationship between economic systems and environmental change. Although they have developed separately, both environmental history and global history have called upon historians of Europe to rethink boundary making in their methodologies and in their categories of analysis. In an era of global climate catastrophe, global pandemic and global economic crisis, where does the ‘European’ environment end?
During the 1980s and 1990s, U.S. policymakers adopted draconian criminal justice polices including widespread use of extremely long sentences, including life without parole. The country is now coming to face the consequences of these policies: a new class of geriatric prisoners posing little threat to public safety as they age into their seventies and beyond. Using a perspective drawn from bounded rationality, framing, and agenda-setting, we recount how policymakers adopted these policies, with key blind spots relating to obvious consequences of these harsh laws. We show how political leaders can over-respond to a perceived public policy crisis, particularly when powerful frames of race, fear, and dehumanization come to dominate the public discourse. We show how these trends are radically changing the demographics and needs of prison populations through a chronological review, mathematical simulation of the prison population, review of statistics about prison population, and personal stories illustrating these themes drawn from inside prison.
Alcohol use disorder (AUD) and schizophrenia (SCZ) frequently co-occur, and large-scale genome-wide association studies (GWAS) have identified significant genetic correlations between these disorders.
Methods
We used the largest published GWAS for AUD (total cases = 77 822) and SCZ (total cases = 46 827) to identify genetic variants that influence both disorders (with either the same or opposite direction of effect) and those that are disorder specific.
Results
We identified 55 independent genome-wide significant single nucleotide polymorphisms with the same direction of effect on AUD and SCZ, 8 with robust effects in opposite directions, and 98 with disorder-specific effects. We also found evidence for 12 genes whose pleiotropic associations with AUD and SCZ are consistent with mediation via gene expression in the prefrontal cortex. The genetic covariance between AUD and SCZ was concentrated in genomic regions functional in brain tissues (p = 0.001).
Conclusions
Our findings provide further evidence that SCZ shares meaningful genetic overlap with AUD.
This article examines the case of a Bosnian brother and sister at the center of a diplomatic dispute between Austria and the Ottoman Empire in 1852. Mara Illić had to cross the border into Austria in order to board a ship that would take her to Anatolia with the household of a paşa who had been banished. Milan called upon Austrian authorities to “liberate” Mara, whom he claimed had been enslaved when she was “forced” to convert to Islam as a young child. Austria's defense of its seizure of the girl and the Ottomans' insistence that she be returned reflect tension over sovereignty, jurisdiction, and personhood. The border brings into stark relief the conflict between different ways of conceptualizing categories like freedom and slavery, contract and coercion, confession and nationality.
To evaluate the health status and quality of life of young patients who had cone reconstruction for Ebstein anomaly.
Methods:
We reviewed all patients who had cone reconstruction from 2007 to 2016 at our institution. Prospective surveys were mailed to all eligible patients. Quality of life was assessed using the PedsQL 4.0 Generic Core Scales, including four domains: physical, emotional, social, and school functioning.
Results:
Of 116 eligible patients, 72 (62%) responded. About 96% reported their health as excellent or good, and 52% were symptom-free. Only 37% of patients were taking any medications, the most common of which was aspirin (30%). Only 19% had been hospitalised for cardiac reasons following cone reconstruction. The average self-reported quality of life was 85.3/100, whereas the average parent proxy-reported quality of life was 81.8/100. There was no difference by self or parent proxy-report in quality of life between cone reconstruction patients and healthy children; however, quality of life was significantly better compared with children with other chronic health conditions. By self-report and parent proxy-report, 15.1 and 16.7% of patients were deemed “at risk” for reduced quality of life, respectively. Socially, 63/64 (98%) patients over 5 years old were either full-time students or working full-time.
Conclusion:
Children with Ebstein anomaly following cone reconstruction have excellent quality of life comparable with healthy peers and significantly better than other children with chronic health conditions. Families of children with Ebstein anomaly can expect excellent quality of life, long-term health status, and social functioning following cone reconstruction.
Results from the Heinrich Event Intercomparison (HEINO) topic of the Ice-Sheet Model Intercomparison Project (ISMIP) are presented. ISMIP HEINO was designed to explore internal large-scale ice-sheet instabilities in different contemporary ice-sheet models. These instabilities are of interest because they are a possible cause of Heinrich events. A simplified geometry experiment reproduces the main characteristics of the Laurentide ice sheet, including the sedimented region over Hudson Bay and Hudson Strait. The model experiments include a standard run plus seven variations. Nine dynamic/thermodynamic ice-sheet models were investigated; one of these models contains a combination of the shallow-shelf (SSA) and shallow-ice approximation (SIA), while the remaining eight models are of SIA type only. Seven models, including the SIA–SSA model, exhibit oscillatory surges with a period of ∼1000 years for a broad range of parameters, while two models remain in a permanent state of streaming for most parameter settings. In a number of models, the oscillations disappear for high surface temperatures, strong snowfall and small sediment sliding parameters. In turn, low surface temperatures and low snowfall are favourable for the ice-surge cycles. We conclude that further improvement of ice-sheet models is crucial for adequate, robust simulations of cyclic large-scale instabilities.
Yellow nutsedge control with rust (Puccinia canaliculata (Schw.) Lagerh.) collected in Salisbury, MD., was evaluated alone or in combination with pebulate at 1.7 or 3.3 kg ai ha-1 in transplanted tomato. Foliar applications of urediniospores in mid-June did not affect the yellow nutsedge population; however, tuber biomass was reduced 32%. In July, yellow nutsedge infection was manifest as an increase of phytotoxicity from 2.3 to 4.1 (0 to 10) and of disease incidence increase from 3 to 37%. Pebulate, 3.3 kg ha-1 reduced the yellow nutsedge population and ground cover by 79 and 90%, respectively, in June, with a 48% reduction of both tuber population and biomass in September. Tomato yields were not increased by rust or pebulate treatments. Marketable tomato yield was increased 46% by handweeding. Yellow nutsedge control was not enhanced by the combination treatments of pebulate followed by rust inoculation.
Puccinia canaliculata (Schw.) Lagerh. from Salisbury, MD, identified in greenhouse tests as specific to yellow nutsedge, was field evaluated for biological control of yellow nutsedge over a 2-yr period. Treatments included all combinations of P. canaliculata and 0.3 or 0.6 kg ai/ha benzaton. Disease development was reduced 50% by treatment with bentazon, compared with P. canaliculata alone. P. canaliculata reduced tuber recovery by 44%. Phytotoxicity was significantly higher from the rust treatments than controls. Treatment with P. canaliculata did not affect the number of shoots/m2.
Benefits of reduced tillage and diverse crop rotations include reversing soil C loss, and improving soil quality and function. However, adoption of these strategies is lagging, particularly in the Upper Midwest, due to a perception that reduced tillage lowers crop yields. Therefore, an 8-year comparison of these conservation systems with a conventional, tilled, 2-year rotation system was conducted to evaluate effects on yields, system productivity (measured with potential gross returns) and weed seed densities. This study compared conventional moldboard plow + chisel till (CT) to reduced strip-tillage + no-tillage (ST), each with a 2-year (2y) or 4-year (4y) crop rotation, abbreviated as CT-2y, CT-4y, ST-2y and ST-4y. The 2y rotation was corn (Zea mays L.) and soybean (Glycine max [L.] Merr.); the 4y rotation was corn, soybean, spring wheat (Triticum aestivum L.) underseeded with alfalfa (Medicago sativa L.) and alfalfa. Only corn grain was significantly influenced by tillage strategy; CT systems yielded more than ST systems, regardless of rotation. Soybean grain yields were similar among CT-2y, CT-4y, ST-4y and lowest in the ST-2y. Yields of wheat and alfalfa were the same under both tillage strategies. Weed seed densities were higher in wheat and alfalfa, followed by corn then soybean, but were not influenced by tillage or rotation, nor universally negatively correlated to yield. Due to greater corn yields, overall system productivity was highest in CT-2y, the same between CT-4y and ST-2y, and lowest in ST-4y. Within years, productivity of CT-2y was different from only one other system at a time in 3 of 8 years and had the same productivity as all systems in another 3 of 8 years. Additionally, the similarity of productivity among three of four systems in 6 of 8 years indicated reduced tillage and diverse rotations have potential for adoption. Results support the need for research on a rotational tillage strategy, i.e., moldboard plowing before corn, to improve overall productivity if using ST before soybean, wheat and alfalfa.
Tillage is decreasing globally due to recognized benefits of fuel savings and improved soil health in the absence of disturbance. However, a perceived inability to control weeds effectively and economically hinders no-till adoption in organic production systems in the Upper Midwest, USA. A strip-tillage (ST) strategy was explored as an intermediate approach to reducing fuel use and soil disturbance, and still controlling weeds. An 8-year comparison was made between two tillage approaches, one primarily using ST the other using a combination of conventional plow, disk and chisel tillage [conventional tillage (CT)]. Additionally, two rotation schemes were explored within each tillage system: a 2-year rotation (2y) of corn (Zea mays L.), and soybean (Glycine max [L.] Merr.) with a winter rye (Secale cereale L.) cover crop; and a 4-year rotation (4y) of corn, soybean, spring wheat (Triticum aestivum L.) underseeded with alfalfa (Medicago sativa L.), and a second year of alfalfa. These treatments resulted in comparison of four main management systems CT-2y, CT-4y, ST-2y and ST-4y, which also were managed under fertilized and non-fertilized conditions. Yields, whole system productivity (evaluated with potential gross returns), and weed seed densities (first 4 years) were measured. Across years, yields of corn, soybean and wheat were greater by 34% or more under CT than ST but alfalfa yields were the same. Within tillage strategies, corn yields were the same in 2y and 4y rotations, but soybean yields, only under ST, were 29% lower in the fertilized 4y than 2 yr rotation. In the ST-4y system yields of corn and soybean were the same in fertilized and non-fertilized treatments. Over the entire rotation, system productivity was highest in the fertilized CT-2y system, but the same among fertilized ST-4y, and non-fertilized ST-2y, ST-4y, and CT-4y systems. Over the first 4 years, total weed seed density increased comparatively more under ST than CT, and was negatively correlated to corn yields in fertilized CT systems and soybean yields in the fertilized ST-2y system. These results indicated ST compromised productivity, in part due to insufficient weed control, but also due to reduced nutrient availability. ST and diverse rotations may yet be viable options given that overall productivity of fertilized ST-2y and CT-4y systems was within 70% of that in the fertilized CT-2y system. Closing the yield gap between ST and CT would benefit from future research focused on organic weed and nutrient management, particularly for corn.
Weed seedbanks have been studied intensively at local scales, but to date, there have been no regional-scale studies of weed seedbank persistence. Empirical and modeling studies indicate that reducing weed seedbank persistence can play an important role in integrated weed management. Annual seedbank persistence of 13 summer annual weed species was studied from 2001 through 2003 at eight locations in the north central United States and one location in the northwestern United States. Effects of seed depth placement, tillage, and abiotic environmental factors on seedbank persistence were examined through regression and multivariate ordinations. All species examined showed a negative relationship between hydrothermal time and seedbank persistence. Seedbank persistence was very similar between the two years of the study for common lambsquarters, giant foxtail, and velvetleaf when data were pooled over location, depth, and tillage. Seedbank persistence of common lambsquarters, giant foxtail, and velvetleaf from October 2001 through 2002 and October 2002 through 2003 was, respectively, 52.3% and 60.0%, 21.3% and 21.8%, and 57.5% and 57.2%. These results demonstrate that robust estimates of seedbank persistence are possible when many observations are averaged over numerous locations. Future studies are needed to develop methods of reducing seedbank persistence, especially for weed species with particularly long-lived seeds.
The size, location, and variation in time of weed patches within an arable field were analyzed with the ultimate goal of simplifying weed mapping. Annual and perennial weeds were sampled yearly from 1993 to 1997 at 410 permanent grid points in a 1.3-ha no-till field sown to row crops each year. Geostatistical techniques were used to examine the data as follows: (1) spatial structure within years; (2) relationships of spatial structure to literature-derived population parameters, such as seed production and seed longevity; and (3) stability of weed patches across years. Within years, densities were more variable across crop rows and patches were elongated along rows. Aggregation of seedlings into patches was strongest for annuals and, more generally, for species whose seeds were dispersed by combine harvesting. Patches were most persistent for perennials and, more generally, for species whose seeds dispersed prior to expected dates of combine harvesting. For the most abundant weed in the field, the annual, Setaria viridis, locations of patches in the current year could be used to predict patch locations in the following year, but not thereafter.
Contract grazing feeder cattle is an arrangement where cattle owned by one party graze forage produced on land owned by another party. The forage producer is paid a fixed price per pound gained. Stochastic dominance analysis is used to compare contract grazing and the more traditional system in which the same individual owns both the cattle and land.
Archival data from a cross-sectional survey of two cohorts of community-residing New Zealand adults (n = 157; n = 141) was analysed to examine social attitudes towards people with mental illness in a historical period associated with the establishment of a community mental health facility. Participants completed the Opinions about Mental Illness (OMI; Cohen & Struening, 1959), and the Comfort in Interaction Scale (CI, Beckwith & Mathews, 1994); the latter a measure of level of prior contact with people with mental illness. Across cohorts, the OMI Mental Hygiene subscale and the CI scale had significant variability. Older participants endorsed more Authoritarian, Social Restrictiveness and Interpersonal Ideology attitudes in their perception of people with mental illness than younger participants. Data supported the hypothesis that attitudes towards people with mental illness were influenced by social attitudes, and by opportunities to interact with people with mental illness in work settings.