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Clergy formed a distinct and privileged group in later medieval society as regarded violent crime. Church law was intended to protect them from it, induce them to avoid it, and exempt them from secular justice following it. But in practice, were the clergy so separate from the violent culture around them and different from the laymen who dominated it? In the first full-length study of this subject in the later medieval period, Peter Clarke shows that clergy accused of violent and other crimes increasingly submitted to secular justice like laymen, seeking clerical immunity only as a last resort. It reveals that church authorities, in providing legal redress for clerical victims of lay violence, sought to heal divisions between laity and clergy, not to deepen them. Additionally, it explores the motives and contexts behind clerical involvement in violent crime, both as perpetrators and victims, revealing that clergy often acted similarly to laymen.
The papal penitentiary was the highest office in the later medieval Church concerned with matters of conscience. It granted absolution in cases where this was reserved to the papacy, notably for grave sins such as assaults on clergy, and it issued other graces that were also a papal monopoly, such as dispensations, notably for marriages within the prohibited degrees of kinship, and special licences, especially to appoint a personal confessor. Laity and clergy across later medieval Europe petitioned the office for these favours. The papal penitentiary hence represented a significant point of contact between the papacy and individual Catholics. Its origins were obscure but partly lay in the long tradition of penitential pilgrimage to Rome. Minor penitentiaries heard confessions of penitent pilgrims at Rome’s major basilicas, including Saint Peter’s. By the early thirteenth century, the ‘major penitentiary’ in charge of the office was appointed by the pope from among the cardinals and received growing faculties to concede graces on the pope’s behalf. By the fifteenth century, the office that he headed was a major department of papal government and substantial source of revenue for the papacy.
We assess the proposition that intergroup conflict (IGC) in non-human primates offers a useful comparison for studies of human IGC and its links to parochial altruism and prosociality. That is, for non-linguistic animals, social network integration and maternal influence promote juvenile engagement in IGC and can serve as the initial grounding for sociocultural processes that drive human cooperation. Using longitudinal data from three cohorts of non-adult vervet monkeys (Chlorocebus pygerythrus), we show that non-adults are sensitive to personal (age) and situational risk (participant numbers). The frequency and intensity of participation, although modulated by rank and temperament, both mirrors maternal participation and reflects non-adult centrality in the grooming network. The possibility of social induction is corroborated by the distribution of grooming during IGC, with non-adults being more likely to be groomed if they were female, higher-ranking and participants themselves. Mothers were more likely to groom younger offspring participants of either sex, whereas other adults targeted higher-ranking female participants. Although we caution against a facile alignment of these outcomes to human culturally mediated induction, there is merit in considering how the embodied act of participation and the resultant social give-and-take might serve as the basis for a unified comparative investigation of prosociality.
Early intervention in psychosis (EIP) services improve outcomes for young people, but approximately 30% disengage.
Aims
To test whether a new motivational engagement intervention would prolong engagement and whether it was cost-effective.
Method
We conducted a multicentre, single-blind, parallel-group, cluster randomised controlled trial involving 20 EIP teams at five UK National Health Service (NHS) sites. Teams were randomised using permuted blocks stratified by NHS trust. Participants were all young people (aged 14–35 years) presenting with a first episode of psychosis between May 2019 and July 2020 (N = 1027). We compared the novel Early Youth Engagement (EYE-2) intervention plus standardised EIP (sEIP) with sEIP alone. The primary outcome was time to disengagement over 12–26 months. Economic outcomes were mental health costs, societal costs and socio-occupational outcomes over 12 months. Assessors were masked to treatment allocation for primary disengagement and cost-effectiveness outcomes. Analysis followed intention-to-treat principles. The trial was registered at ISRCTN51629746.
Results
Disengagement was low at 15.9% overall in standardised stand-alone services. The adjusted hazard ratio for EYE-2 + sEIP (n = 652) versus sEIP alone (n = 375) was 1.07 (95% CI 0.76–1.49; P = 0.713). The health economic evaluation indicated lower mental healthcare costs linked to reductions in unplanned mental healthcare with no compromise of clinical outcomes, as well as some evidence for lower societal costs and more days in education, training, employment and stable accommodation in the EYE-2 group.
Conclusions
We found no evidence that EYE-2 increased time to disengagement, but there was some evidence for its cost-effectiveness. This is the largest study to date reporting positive engagement, health and cost outcomes in a total EIP population sample. Limitations included high loss to follow-up for secondary outcomes and low completion of societal and socio-occupational data. COVID-19 affected fidelity and implementation. Future engagement research should target engagement to those in greatest need, including in-patients and those with socio-occupational goals.
Background: We evaluated vorasidenib (VOR), a dual inhibitor of mIDH1/2, in patients with mIDH1/2 glioma (Phase 3; NCT04164901). Methods: Patients with residual/recurrent grade 2 mIDH1/2 oligodendroglioma or astrocytoma were enrolled (age ≥12; Karnofsky Performance Score ≥80; measurable non-enhancing disease; surgery as only prior treatment; not in immediate need of chemoradiotherapy). Patients were stratified by 1p19q status and baseline tumor size and randomized 1:1 to VOR 40 mg or placebo (PBO) daily in 28-day cycles. Endpoints included imaging-based progression-free survival (PFS), time to next intervention (TTNI), tumor growth rate (TGR), health-related quality of life (HRQoL), neurocognition and seizure activity. Results: 331 patients were randomized (VOR, 168; PBO, 163). The median age was 40.0 years. 172 and 159 patients had histologically confirmed oligodendroglioma and astrocytoma, respectively. Treatment with VOR significantly improved PFS and TTNI. Median PFS: VOR, 27.7 mos; PBO, 11.1 mos (P=0.000000067). Median TTNI: VOR, not reached; PBO, 17.8 mos (P=0.000000019). Treatment with VOR resulted in shrinkage of tumor volume. Post-treatment TGR: VOR, -2.5% (95% CI: -4.7, -0.2); PBO, 13.9% (95% CI: 11.1, 16.8). HRQoL and neurocognition were preserved and seizure control was maintained. VOR had a manageable safety profile. Conclusions: VOR was effective in mIDH1/2 diffuse glioma not in immediate need of chemoradiotherapy.
There is no doubt at all that the issue of determinism versus indeterminism was a central, dominating theme of Popper’s thought. By his own account he saw his criticism of the thesis of determinism as crucial to his defence not only of the reality of human freedom, moral responsibility and creativity but also as equally fundamental to his account of human rationality and to his theory of the content and growth of science as an objective, rational and most importantly demonstrably rational enterprise. Consequently a great deal of his writings discussing both the content and methodology of the natural and the social sciences alternately bear upon and presuppose his defence of indeterminism.
Gadfly petrels Pterodroma spp. are among the most threatened bird taxa. Conservation interventions have been successfully developed and applied for some gadfly petrel species, but a substantial gap remains in conservation science for this group in the tropical Pacific Ocean. The Vanuatu Petrel Pterodroma [cervicalis] occulta is an ideal exemplar to develop a pipeline for conservation science in tropical Pacific gadfly petrels as it is subject to many of the challenges facing other gadfly petrel taxa in the region. We review over 40 pelagic Vanuatu Petrel records and five research expeditions to the only known colony on the island of Vanua Lava, Vanuatu. These records provide a baseline from which to recommend conservation research actions for the taxon. The population status, taxonomy, distribution, and threat profile of the taxon are all poorly known, and these areas are high priorities for future research.
An average of 1300 adults develop First Episode Psychosis (FEP) in Ireland each year. Early Intervention in Psychosis (EIP) is now widely accepted as best practice in the treatment of conditions such as schizophrenia. A local EIP programme was established in the Dublin South Central Mental Health Service in 2012.
Methods:
This is a cross-sectional study of service users presenting to the Dublin South Central Mental Health Service with FEP from 2016 to 2022 following the introduction of the EIP programme. We compared this to a previously published retrospective study of treatment as usual from 2002 to 2012.
Results:
Most service users in this study were male, single, unemployed and living with their partner or spouse across both time periods. Cognitive Behavioural Therapy for psychosis was provided to 12% (n = 8) of service users pre-EIP as compared to 52% (n = 30) post-programme introduction (p < 0.001), and 3% (n = 2) of service users engaged with behavioural family therapy pre-EIP as opposed to 15% (n = 9) after (p < 0.01). Rates of composite baseline physical healthcare monitoring improved significantly (p < 0.001).
Conclusion:
Exclusive allocation of multidisciplinary team staff to EIP leads to improved compliance with recommended guidelines, particularly CBT-p, formal family therapy and physical health monitoring.
The continued relevance of Keynes’s famous polemic, after more than a century, is itself remarkable. It has always been controversial: first as polemic, then as economic analysis, and finally as historiography. In which genre should we place it? The literary force of its vignettes of the key participants must be acknowledged. Likewise the concentration on reparations in linking the Armistice to a burden of post-war debt highlights the notion of guilt. And the distinction between historic ‘indemnities’ and the wholly new coinage of ‘reparations’ still needs to be better understood. Hence the inescapable centrality of Article 231 of the Treaty, the famous War Guilt Clause. Subsequent controversy has focused largely on assessments of the actual burden that reparations posed – or would have done if actually paid. Here the salience of Etienne Mantoux’s contribution in 1945 is still worthy of acknowledgment (though, ironically, not in castigating Keynes as ‘anti-French’). Instead, the ongoing significance of the analysis presented in the Economic Consequences points to the centrality of Keynes’s vision of the welfare of Europe as an integrated organic whole – rather than seeing the Treaty as a zero-sum game in which Germany had to punished, for moral as much as economic reasons.
Prior work on associations between self-reported cognition and objective cognitive performance in Veterans has yielded mixed findings, with some evidence indicating that mild traumatic brain injury (TBI) may not impact the associations between subjective and objective cognition. However, few studies have examined these relationships in both mild and moderate-to-severe TBI, in older Veterans, and within specific cognitive domains. Therefore, we assessed the moderating effect of TBI severity on subjective and objective cognition across multiple cognitive domains.
Participants and Methods:
This study included 246 predominately male Vietnam-Era Veterans (age M=69.61, SD=4.18, Range = 60.87 – 85.16) who completed neuropsychological testing and symptom questionnaires as part of the Department of Defense-Alzheimer’s Disease Neuroimaging Initiative (DoD-ADNI). Participants were classified as having history of no TBI (n=81), mild TBI (n=80), or moderate-tosevere TBI (n=85). Neuropsychological composite scores in the domains of memory, attention/executive functioning, and language were included as the outcome variables. The Everyday Cognition (ECog) measure was used to capture subjective cognition and, specifically, the ECog domain scores of memory, divided attention, and language were chosen as independent variables to mirror the objective cognitive domains. General linear models, adjusting for age, education, apolipoprotein E ε4 carrier status, pulse pressure, depressive symptom severity, and PTSD symptom severity, tested whether TBI severity moderated the associations of domain-specific subjective and objective cognition.
Results:
Across the sample, subjective memory was associated with objective memory (β=-.205, 95% CI [-.332, -.078], p=.002) and subjective language was associated with objective language (β=-.267, 95% CI [-.399, -.134], p<.001). However, the main effect of subjective divided attention was not associated with objective attention/executive functioning (p=.124). The main effect of TBI severity was not associated with any of the objective cognitive domain scores after adjusting for the other variables in the model. The TBI severity x subjective cognition interaction was significant for attention/executive functioning [F(2,234)=5.18, p=.006]. Specifically, relative to Veterans without a TBI, participants with mild TBI (β=-.311, 95% CI [-.620, -.002], p=.048) and moderate-to-severe TBI (β=-.499, 95% CI [-.806, -.193], p=.002) showed stronger negative associations between subjective divided attention and objective attention/executive functioning. TBI severity did not moderate the associations between subjective and objective cognition for memory or language domains. The pattern of results did not change when the total number of TBIs was included in the models.
Conclusions:
In this DoD-ADNI sample, stronger associations between subjective and objective attention were evident among individuals with mild and moderate-to-severe TBI compared to Veterans without a TBI history. Attention/executive functioning measures (Trails A and B) may be particularly sensitive to detecting subtle cognitive difficulties related to TBI and/or comorbid psychiatric symptoms, which may contribute to these attention-specific findings. The strongest associations were among those with moderate-to-severe TBI, potentially because the extent to which their attention difficulties are affecting their daily lives are more apparent despite no significant differences in objective attention performance by TBI group. This study highlights the importance of assessing both subjective and objective cognition in older Veterans and the particular relevance of the attention domain within the context of TBI.
The contemporary story of the wolves of Yellowstone National Park (YNP) has become part of the fabric of the American west. The short film, How Wolves Change Rivers, which combines footage of Yellowstone with narration by journalist George Monbiot (Sustainable Human, 2014) has been viewed over 43 million times (including adoption by school curricula globally), and has contributed to popularising the concept that reintroducing wolves has caused ‘trophic cascades’ in YNP. This is an irresistible story, one which appeals to conservationists on many levels. Wolves are charismatic carnivores, and the film's narrative provides a simple explanation of trophic cascades and their potential. Monbiot's narration speaks of ‘bare valley sides’ becoming ‘forests of aspen and willow and cottonwood’, with wolves causing a ‘radical change’ in ungulate behaviour.
This is known as the ‘ecology of fear’ effect, where the presence of a predator causes a behavioural change in another species. In Yellowstone the introduction of wolves leads ungulates to avoid areas where they are most vulnerable to predation. The decrease in valley herbivory has resulted not only in an increase in species diversity as available habitat increased, but also the increased vegetation cover led to a reduction in soil erosion. It is argued that the ‘instrumentally valuable’ wolves have also transformed the physical geography of YNP – or so the story goes. However, there is still considerable scientific debate regarding the ecological impact of the wolf reintroduction to YNP and the mechanisms by which impacts are mediated, as will be discussed later in the chapter.
Emma Marris (2014, 2017), amongst others, has questioned the evidence that the re-introduction of wolves triggered the purported trophic cascades in Yellowstone. In a 2014 Nature paper she cites the work of Marshall et al (2013), who suggest that it is beavers, rather than wolves, that play a key role in helping willows thrive, adding that the removal of wolves in the 1920s allowed elk to eat so much willow that there was none left for the beavers, causing their decline. Marris's point is that the absence of a scientific consensus is not reflected in the popular press, with a simplistic version of the scientific story being reported far more often than the more complex, but more accurate, reality (Marris 2017).
Individuals living with severe mental illness can have significant emotional, physical and social challenges. Collaborative care combines clinical and organisational components.
Aims
We tested whether a primary care-based collaborative care model (PARTNERS) would improve quality of life for people with diagnoses of schizophrenia, bipolar disorder or other psychoses, compared with usual care.
Method
We conducted a general practice-based, cluster randomised controlled superiority trial. Practices were recruited from four English regions and allocated (1:1) to intervention or control. Individuals receiving limited input in secondary care or who were under primary care only were eligible. The 12-month PARTNERS intervention incorporated person-centred coaching support and liaison work. The primary outcome was quality of life as measured by the Manchester Short Assessment of Quality of Life (MANSA).
Results
We allocated 39 general practices, with 198 participants, to the PARTNERS intervention (20 practices, 116 participants) or control (19 practices, 82 participants). Primary outcome data were available for 99 (85.3%) intervention and 71 (86.6%) control participants. Mean change in overall MANSA score did not differ between the groups (intervention: 0.25, s.d. 0.73; control: 0.21, s.d. 0.86; estimated fully adjusted between-group difference 0.03, 95% CI −0.25 to 0.31; P = 0.819). Acute mental health episodes (safety outcome) included three crises in the intervention group and four in the control group.
Conclusions
There was no evidence of a difference in quality of life, as measured with the MANSA, between those receiving the PARTNERS intervention and usual care. Shifting care to primary care was not associated with increased adverse outcomes.
The chapter places Churchill’s lifespan firmly within ‘the golden age of print’. It looks at his apprenticeship as a writer, served while in the army, explaining how his early books helped him earn the war chest that allowed him to launch his political career, before showing how his shrewd and selective use of sources for his biography of Lord Randolph Churchill allowed him to reconcile his role as a defender of his father’s political legacy with his own move to the Liberal Party. Churchill’s working methods also changed as he entered government. He used a team to help produce his multi-volume history of the First World War in order to defend his role in the Dardanelles operation. Thereafter, Churchill had to juggle managing his tax liability as an author with his need for more income, but by the 1930s he was committed to several major publishing projects. After the war, he sought to capitalise on his premiership through his multi-volume histories of the Second World War and the History of the English-Speaking Peoples. The chapter analyses how Churchill managed his various literary projects, sheds light on his own role in the creative process and looks at how this changed over time.
Whether the effects of therapies may wane over time is a matter of debate, especially when considering their long-term cost-effectiveness. Here, we examined how the assumption of the waning of treatment effect was applied across the National Institute for Health and Care Excellence (NICE) appraisals for disease-modifying therapies (DMTs) used in multiple sclerosis.
Methods
We undertook a document analysis following a search of the NICE website. The inclusion criteria of the study were as follows: all publicly available documents related to completed appraisals for DMTs (period: January 2000 to July 2021). The exclusion criteria of the study were as follows: all documents that did not meet the inclusion criteria, especially pertaining to drugs used in other disease areas. We extracted information about the waning of treatment effect assumption as considered by companies, assessment groups, and appraisal committees, and we analyzed trends over time.
Results
We reviewed fifteen appraisals that reported guidance on sixteen DMTs. Irrespective of the drugs’ mechanism of action or their pharmaceutical nature, there was substantial variation in the modalities when the assumption of waning was implemented. We noted the recent preference to use all-cause discontinuation as a proxy. This heterogeneity did not appear to affect acceptance of the DMTs (all but one were recommended for use across the National Health System (NHS)).
Conclusions
Modeling the long-term effect of therapies is challenging, especially given the limited follow-up duration of related trials. This generates recurrent debates on the presence of waning of treatment efficacy and heterogeneity across appraisals. More refined recommendations obtained by consensus among stakeholders could help to achieve greater consistency in decision making.
It was the departure from the pre-Armistice ‘contract’ with Germany that became the crucial issue – famously blamed on Lloyd George and Wilson alike in Keynes’s tract The Economic Consequences of the Peace (1919). In particular there was a crucial ‘breach of contract’ when the two leaders included war pensions as so-called ‘reparations’; and these were now demanded under a specifically drafted War Guilt Clause of the Treaty. Dulles subsequently admitted his own role in what he came to regard as the Treaty’s greatest failing. What Chapter 2 demonstrates, through a close reading of the published documentation, is that Dulles’s collaborator at each crucial stage was none other than Keynes himself.
The centrality of the Bretton Woods international conference (1944) in the reshaping of international economic and financial institutions in the post-war world has always seemed obvious. In this story Keynes has been recognised as a key player, given his central role as a key advisor of the British government (despite his now precarious health). The mythology of Bretton Woods has often focussed on a supposed clash between a ‘Keynes Plan’ that sought to introduce the concept of ‘bancor’ as an international currency, and a ‘White Plan’ that was the brainchild of the leading US economist Harry White. But this way of telling the story misses the fact that ‘bancor’, for all its suggestive implications, was never put to the conference as an option. Instead we see Keynes – sadder and wiser than in Paris perhaps – accommodating all along to an American view that ‘a deal’ had to be struck. It was one that crucially involved Britain in paying for the benefit of Lend-Lease by adopting the mantra of ‘non-discrimination’. So here is a revealing example of the priority for expediency over truth in a real-world situation.
In a parallel way, when we move to consider Keynes’s political views and involvement, we find a similar reliance upon the privileged networks of his intimates. In particular the relationship between Virginia Woolf and Keynes, as the two figures of real genius in Bloomsbury, is explored – with insights on the impact that her tract Three Guineas had upon his (much-discussed) memoir ‘My Early Beliefs’. Keynes’s political stance is also examined through his proprietorial influence upon the left-wing weekly the New Statesman, of which Kingsley Martin (a close friend of the late Frank Ramsey) was now the presiding editor. What Keynes wrote about uncertainty in decision-making was as relevant to choices in foreign policy as to the macro-economic universe that he surveyed in his General Theory.
At the Paris peace conference in 1919, Keynes served as a member of the British delegation. He often represented the Treasury although himself only a temporary civil servant aged thirty-six. But there were equally youthful members of the US delegation with whom he worked closely, initially in support of the position adopted by President Woodrow Wilson in seeking a negotiated peace with Germany. Hence Keynes’s close contact with both Norman Davis and also John Foster Dulles, then a young lawyer. Their task was to define the ‘reparations’ due from Germany under the Armistice agreement – often called the ‘Lansing Note’ after the American Secretary of State, Robert Lansing, who was Dulles’s uncle.