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The quality of news reports about suicide can influence suicide rates. Although many researchers have aimed to assess the general safety of news reporting in terms of adherence to responsible media guidelines, none have focused on major US cable networks, a key source of public information in North America and beyond.
Aims
To characterise and compare suicide-related reporting by major US cable television news networks across the ideological spectrum.
Method
We searched a news archive (Factiva) for suicide-related transcripts from ‘the big three’ US cable television news networks (CNN, Fox News and MSNBC) over an 11-year inclusion interval (2012–2022). We included and coded segments with a major focus on suicide (death, attempt and/or thoughts) for general content, putatively harmful and protective characteristics and overarching narratives. We used chi-square tests to compare these variables across networks.
Results
We identified 612 unique suicide-related segments (CNN, 398; Fox News, 119; MSNBC, 95). Across all networks, these segments tended to focus on suicide death (72–89%) and presented stories about specific individuals (61–87%). Multiple putatively harmful characteristics were evident in segments across networks, including mention of a suicide method (42–52%) – with hanging (15–30%) and firearm use (12–20%) the most commonly mentioned – and stigmatising language (39–43%). Only 15 segments (2%) presented a story of survival.
Conclusions
Coverage of suicide stories by major US cable news networks was often inconsistent with responsible reporting guidelines. Further engagement with networks and journalists is thus warranted.
Scholars have recognized the role that legal intermediaries can play in shaping the law through their interpretations of legal ambiguity and guidance to rule-takers on legal compliance. Although legal intermediaries thus have the potential to effect social change, most research in the area of employment discrimination has focused on the way they facilitate only symbolic compliance with the law. In this article, we examine how the Equal Employment Opportunity Commission (“EEOC”) took steps that legitimized a new area of claiming, classifying sexual orientation and gender identity (“SOGI”) discrimination as prohibited sex discrimination. Drawing on 2012–2016 confidential charge data, we analyze which alleged issues had a greater likelihood of being identified by EEOC actors as strong cases of discrimination. We use quantitative administrative data and a unique dataset generated from the coding of charge narratives to develop our description of the EEOC’s categorization of SOGI charges. Our findings indicate that first by accepting SOGI charges and then by assigning 34% – much higher than other discrimination charge bases – with the highest processing category, the EEOC made new law, expanding Title VII protection. At the same time, our findings reflect that the EEOC exhibited restraint in this expansion through prioritizing charges that were closely aligned to prior gender stereotyping cases, rather than more directly signaling an SOGI identity-based protection. These findings illustrate the exercise of initiative within prior legal constraint, defining a new area of legal claiming.
Prinzmetal angina is a rare cause of intermittent chest pain in paediatrics. Here, we report the case of a 2-year-old female who presented with episodic chest pain, malaise, diaphoresis, fatigue, and poor perfusion on exam. During her hospitalisation, these episodes were associated with significant low cardiac output as evidenced by lactic acidosis and low mixed venous oxygen saturations. Her workup revealed an actin alpha cardiac muscle 1 (ACTC1) gene mutation and associated left ventricular non-compaction with decreased systolic function. She was started on oral heart failure medications as well as a calcium channel blocker but continued to have episodes which were found to promptly resolve with nitroglycerine. She was ultimately listed for cardiac transplant given her perceived risk of sudden death.
Genetic risk is particularly salient for families and testing for genetic conditions is necessarily a family-level process. Thus, risk for genetic disease represents a collective stressor shared by family members. According to communal coping theory, families may adapt to such risk vis-a-vis interpersonal exchange of support resources. We propose that communal coping is operationalized through the pattern of supportive relationships observed between family members. In this study, we take a social network perspective to map communal coping mechanisms to their underlying social interactions and include those who declined testing or were not at risk for Lynch Syndrome. Specifically, we examine the exchange of emotional support resources in families at risk of Lynch Syndrome, a dominantly inherited cancer susceptibility syndrome. Our results show that emotional support resources depend on the testing-status of individual family members and are not limited to the bounds of the family. Network members from within and outside the family system are an important coping resource in this patient population. This work illustrates how social network approaches can be used to test structural hypotheses related to communal coping within a broader system and identifies structural features that characterize coping processes in families affected by Lynch Syndrome.
OBJECTIVES/SPECIFIC AIMS: In patients with recurrent glioblastoma (GBM) who undergo a second surgery following standard chemoradiotherapy, histopathologic examination of the resected tissue often reveals a combination of viable tumor and treatment-related inflammatory changes. However, it remains unclear whether the degree of viable tumor Versus “treatment effect” in these specimens impacts prognosis. We sought to determine whether the percentage of viable tumor Versus “treatment effect” in recurrent GBM surgical samples, as assessed by a trained neuropathologist and quantified on a continuous scale, is associated with overall survival. METHODS/STUDY POPULATION: We reviewed the records of 47 patients with histopathologically confirmed GBM who underwent surgical resection as the first therapeutic modality for suspected radiographic progression following standard radiation therapy and temozolomide. The percentage of viable tumor Versus “treatment effect” in each specimen was estimated by one neuropathologist who was blinded to patient outcomes. RESULTS/ANTICIPATED RESULTS: After adjusting for other known prognostic factors in a multivariate Cox proportional hazards model, there was no association between the degree of viable tumor and overall survival (HR 0.83; 95% CI, 0.20–3.4; p=0.20). DISCUSSION/SIGNIFICANCE OF IMPACT: These results suggest that, in patients who undergo resection for recurrent GBM following standard first-line chemoradiotherapy, histopathologic quantification of the degree of viable tumor Versus “treatment effect” present in the surgical specimen has limited prognostic influence and clinical utility.
Credibility and trustworthiness are the bedrock upon which any science is built. The strength of these foundations has been increasingly questioned across the sciences as instances of research misconduct and mounting concerns over the prevalence of detrimental research practices have been identified. Consequently, the purpose of this article is to encourage our scientific community to positively and proactively engage in efforts that foster a healthy and robust industrial and organizational (I-O) psychology. We begin by advancing six defining principles that we believe reflect the values of robust science and offer criteria for evaluating proposed efforts to change scientific practices. Recognizing that the contemporary scientific enterprise is a complex and diverse network of actors and institutions, we then conclude by identifying 12 stakeholders who play important roles in achieving a culture of robust science in I-O psychology and offer recommendations for actions we can take as members of these groups to strengthen our science.
The WAIS (West Antarctic Ice Sheet) Divide deep ice core was recently completed to a total depth of 3405 m, ending 50 m above the bed. Investigation of the visual stratigraphy and grain characteristics indicates that the ice column at the drilling location is undisturbed by any large-scale overturning or discontinuity. The climate record developed from this core is therefore likely to be continuous and robust. Measured grain-growth rates, recrystallization characteristics, and grain-size response at climate transitions fit within current understanding. Significant impurity control on grain size is indicated from correlation analysis between impurity loading and grain size. Bubble-number densities and bubble sizes and shapes are presented through the full extent of the bubbly ice. Where bubble elongation is observed, the direction of elongation is preferentially parallel to the trace of the basal (0001) plane. Preferred crystallographic orientation of grains is present in the shallowest samples measured, and increases with depth, progressing to a vertical-girdle pattern that tightens to a vertical single-maximum fabric. This single-maximum fabric switches into multiple maxima as the grain size increases rapidly in the deepest, warmest ice. A strong dependence of the fabric on the impurity-mediated grain size is apparent in the deepest samples.
A root washer was constructed which rapidly separated Canada thistle [Cirsium arvense (L.) Scop. # CIRAR] roots larger than 1.3-mm diam with 96% or greater efficiency from cohesive clay soil. The washer removed 93 ± 15% of 43 200 cm clay soil from Canada thistle roots in 2 h. Small residual soil clods and organic debris were removed by hand after washing. The washing action did not damage the root system. From 4 to 6 h were required to wash the large Canada thistle roots from an equivalent volume of clay soil by hand, without using the washer. Rhizomes, seeds, and tubers also may be separated from soil with the washer. The tank and frame of this washer are durable, and moving parts such as bearings can be replaced easily.
Effects of repeated late-fall applications of the isopropylamine salt of glyphosate at 1.7 kg ae/ha plus 0.5% (v/v) surfactant on adventitious root buds, thickened propagative roots (> 1.3 mm diam), and shoot density of Canada thistle were studied in continuous hard red spring wheat over a 4-yr period. Glyphosate suppressed Canada thistle shoot density more quickly and to a greater extent than thickened root fresh weight or root bud number. A single fall application of glyphosate drastically decreased Canada thistle shoot density for 1 yr after treatment. However, shoot density was the same as the untreated control by 2 yr after a single fall treatment. Two consecutive late-fall applications of glyphosate in 2 yr decreased Canada thistle shoot density 94% in the fall 1 yr after the last treatment. Glyphosate reduced Canada thistle thickened root fresh weight 70% in the first fall 1 yr after a single fall treatment. However, 2 yr after a single fall application of glyphosate, root fresh weight equalled the controls. Two consecutive fall applications of glyphosate reduced thickened root fresh weight 77% 1 yr after the second treatment.
A greenhouse study was conducted to determine the effectiveness of adjuvants on postemergence large crabgrass control with dithiopyr. Using barriers to isolate foliage or soil, the primary site of dithiopyr uptake was found to be via foliage. Laboratory and greenhouse studies elucidated the factors involved in enhancement of crabgrass control by dithiopyr with nine superior adjuvants. Two adjuvants increased dithiopyr absorption by 3.7 to 4.3% over the herbicide alone. However, none of the adjuvants increased dithiopyr translocation out of the treated leaf. Treatment of a single large crabgrass leaf indicated that enhancement of dithiopyr activity by adjuvants involved an effect on translocation, on spray retention, and on the external movement of the spray solution to the apical meristem, with the relative importance of any 1 factor depending on the particular adjuvant used. Because of the large losses of dithiopyr during absorption/translocation studies, a separate volatilization experiment determined that 70% of the applied dithiopyr volatilized within 24 h at 24 C. Dithiopyr absorption decreased and volatilization increased with each 10 C increase in temperature. Nonrecoverable dithiopyr ranged from 46 to 55% at 5 C to 92 to 95% at 35 C. Volatility losses of this magnitude may mitigate adjuvant enhancement of postemergence grass activity of dithiopyr.
As the scaling of the device dimensions in CMOS devices runs into physical limitations, new materials beyond Si with high electron and hole mobilities such as Ge, SiGe, and III-V materials are introduced. Challenges of CMP for these materials are reviewed in this paper. First we discussed the challenge of the new integration schemes to CMP. Loading effects can result in different growth rates for varying feature sizes, which results in a critical dimension dependent overburden. This makes it more difficult to meet the targets of the CMP process with respect to oxide loss and Ge/SiGe/III-V dishing. Secondly we discuss the challenge for the reduction of the defects during CMP for these new materials. Finally the challenge that is relevant especially for the introduction of III-V materials is studied. During the polishing of III-V materials, toxic gases as well as III-V containing liquid waste will be created. The chemical mechanism of the waste control is discussed.
Noncalcified thalli, consisting of a narrow main axis with numerous branched hairlike laterals in whorls and a subapical array of undivided clavate laterals, from the Silurian (Llandovery) Brandon Bridge Formation of southeastern Wisconsin, constitute the basis for a new genus and species of dasycladalean alga, Heterocladus waukeshaensis. A relationship within the family Triploporellaceae is indicated by the whorled arrangement of the laterals and the absence of gametophores on mature specimens. A compilation of occurrence data suggests that noncalcified dasyclads, as a whole, were more abundant and diverse during the Ordovician and Silurian than at any other time in their history. The heterocladous thallus architecture of this alga adds to a wide range of morphological variation documented among Ordovician and Silurian dasyclads, the sum of which indicates that Dasycladales underwent a significant evolutionary radiation during the early Paleozoic.
Magnetic resonance imaging studies of maltreated children with posttraumatic stress disorder (PTSD) suggest that maltreatment-related PTSD is associated with adverse brain development. Maltreated youth resilient to chronic PTSD were not previously investigated and may elucidate neuromechanisms of the stress diathesis that leads to resilience to chronic PTSD. In this cross-sectional study, anatomical volumetric and corpus callosum diffusion tensor imaging measures were examined using magnetic resonance imaging in maltreated youth with chronic PTSD (N = 38), without PTSD (N = 35), and nonmaltreated participants (n = 59). Groups were sociodemographically similar. Participants underwent assessments for strict inclusion/exclusion criteria and psychopathology. Maltreated youth with PTSD were psychobiologically different from maltreated youth without PTSD and nonmaltreated controls. Maltreated youth with PTSD had smaller posterior cerebral and cerebellar gray matter volumes than did maltreated youth without PTSD and nonmaltreated participants. Cerebral and cerebellar gray matter volumes inversely correlated with PTSD symptoms. Posterior corpus callosum microstructure in pediatric maltreatment-related PTSD differed compared to maltreated youth without PTSD and controls. The group differences remained significant when controlling for psychopathology, numbers of Axis I disorders, and trauma load. Alterations of these posterior brain structures may result from a shared trauma-related mechanism or an inherent vulnerability that mediates the pathway from chronic PTSD to comorbidity.
Probit analysis identified factors that influence the adoption of precision farming technologies by Southeastern cotton farmers. Younger, more educated farmers who operated larger farms and were optimistic about the future of precision farming were most likely to adopt site-specific information technology. The probability of adopting variable-rate input application technology was higher for younger farmers who operated larger farms, owned more of the land they farmed, were more informed about the costs and benefits of precision farming, and were optimistic about the future of precision farming. Computer use was not important, possibly because custom hiring shifts the burden of computer use to agribusiness firms.
U.S. cheese consumption has grown considerably over the last three decades.Using a censored demand model and Nielsen Homescan retail data, this studyidentifies price and non-price factors affecting the demand fordifferentiated cheese products. Own-price and expenditure elasticities forall of the cheese products are statistically significant and elastic.Results also reveal that a strong substitution relationship exists among allcheese products. Although demographic influences are generally smaller thanthose related to prices and expenditures, empirical findings show thathousehold size, college educated female heads of household who are age 40and older, residing in the South, Central, and Western regions of the UnitedStates, as well as Black heads of household, have positive statisticallysignificant effects on consumers' cheese purchases.