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Hydrogen sulfide (H2S) has been shown to play a significant role in oxidative stress across various tissues and cells; however, its role in sperm function remains poorly understood. This study aimed to investigate the protective effect of GYY4137, a slow-releasing H2S compound, on sperm damage induced by H2O2. We assessed the effects of GYY4137 on motility, viability, lipid peroxidation and caspase-3 activity in human spermatozoa in vitro following oxidative damage mediated by H2O2. Spermatozoa from 25 healthy men were selected using a density gradient centrifugation method and cultured in the presence or absence of 10 μM H2O2, followed by incubation with varying concentrations of GYY4137 (0.625–2.5 μM). After 24 h of incubation, sperm motility, viability, lipid peroxidation, and caspase-3 activity were evaluated. The results indicated that H2O2 adversely affected sperm parameters, reducing motility and viability, while increasing oxidative stress, as evidenced by elevated lipid peroxidation and caspase-3 activity. GYY4137 provided dose-dependent protection against H2O2-induced oxidative stress (OS). We concluded that supplementation with GYY4137 may offer antioxidant protection during in vitro sperm preparation for assisted reproductive technology.
The right inferior frontal gyrus (RIFG) is a potential beneficial brain stimulation target for autism. This randomized, double-blind, two-arm, parallel-group, sham-controlled clinical trial assessed the efficacy of intermittent theta burst stimulation (iTBS) over the RIFG in reducing autistic symptoms (NCT04987749).
Methods
Conducted at a single medical center, the trial enrolled 60 intellectually able autistic individuals (aged 8–30 years; 30 active iTBS). The intervention comprised 16 sessions (two stimulations per week for eight weeks) of neuro-navigated iTBS or sham over the RIFG. Fifty-seven participants (28 active) completed the intervention and assessments at Week 8 (the primary endpoint) and follow-up at Week 12.
Results
Autistic symptoms (primary outcome) based on the Social Responsiveness Scale decreased in both groups (significant time effect), but there was no significant difference between groups (null time-by-treatment interaction). Likewise, there was no significant between-group difference in changes in repetitive behaviors and exploratory outcomes of adaptive function and emotion dysregulation. Changes in social cognition (secondary outcome) differed between groups in feeling scores on the Frith-Happe Animations (Week 8, p = 0.026; Week 12, p = 0.025). Post-hoc analysis showed that the active group improved better on this social cognition than the sham group. Dropout rates did not vary between groups; the most common adverse event in both groups was local pain. Notably, our findings would not survive stringent multiple comparison corrections.
Conclusions
Our findings suggest that iTBS over the RIFG is not different from sham in reducing autistic symptoms and emotion dysregulation. Nonetheless, RIFG iTBS may improve social cognition of mentalizing others' feelings in autistic individuals.
Persistent cognitive deficits and functional impairments are associated with bipolar disorder (BD), even during the euthymic phase. The dysfunction of default mode network (DMN) is critical for self-referential and emotional mental processes and is implicated in BD. The current study aims to explore the balance of excitatory and inhibitory neurotransmitters, i.e. glutamate and γ-aminobutyric acid (GABA), in hubs of the DMN during the euthymic patients with BD (euBD).
Method
Thirty-four euBD and 55 healthy controls (HC) were recruited to the study. Using proton magnetic resonance spectroscopy (1H-MRS), glutamate (with PRESS sequence) and GABA levels (with MEGAPRESS sequence) were measured in the medial prefrontal cortex/anterior cingulate cortex (mPFC/ACC) and the posterior cingulate gyrus (PCC). Measured concentrations of excitatory glutamate/glutamine (Glx) and inhibitory GABA were used to calculate the excitatory/inhibitory (E/I) ratio. Executive and attentional functions were respectively assessed using the Wisconsin card-sorting test and continuous performance test.
Results
euBD performed worse on attentional function than controls (p = 0.001). Compared to controls, euBD had higher E/I ratios in the PCC (p = 0.023), mainly driven by a higher Glx level in the PCC of euBD (p = 0.002). Only in the BD group, a marginally significant negative association between the mPFC E/I ratio (Glx/GABA) and executive function was observed (p = 0.068).
Conclusions
Disturbed E/I balance, particularly elevated Glx/GABA ratio in PCC is observed in euBD. The E/I balance in hubs of DMN may serve as potential biomarkers for euBD, which may also contribute to their poorer executive function.
Single crystals of sudoite from Ottré, Belgium, allow confirmation of a dioctahedral 2:1 layer and a trioctahedral interlayer in a IIb arrangement. A regular 2-layer s structure is formed in which the octahedral stagger within both 2:1 layers is directed along X1 and adjacent layers are alternately displaced by a2/3 and a3/3. Poor quality crystals and twinning prevented three-dimensional refinement. One-dimensional refinement suggests that the smaller d(001) value of dioctahedral chlorites relative to trioctahedral species is due primarily to the thinner dioctahedral sheet.
We investigate the Faraday instabilities of a three-layer fluid system in a cylindrical container containing low-viscosity liquid metal, sodium hydroxide solution and air by establishing the Mathieu equations with considering the viscous model derived by Labrador et al. (J. Phys.: Conf. Ser., vol. 2090, 2021, 012088). The Floquet analysis, asymptotic analysis, direct numerical simulation and experimental method are adopted in the present study. We obtain the dispersion relations and critical oscillation amplitudes of zigzag and varicose modes from the analysis of the Mathieu equations, which agree well with the experimental result. Furthermore, considering the coupling strength of two interfaces, besides zigzag and varicose modes, we find a beating instability mode that contains two primary frequencies, with its average frequency equalling half of the external excitation frequency in the strongly coupled system. In the weakly coupled system, the $A$-interface instability, $B$-interface instability and $A$&$B$-interface instability are defined. Finally, we obtain a critical wavenumber $k_c$ that can determine the transition from zigzag or varicose modes to the corresponding $A$-interface or $B$-interface instability.
In this study, a novel, cost-effective miniaturized tag antenna was developed for applications on the human body. To achieve impedance matching with the complex conjugate impedance of the Monza-4 tag chip (7.17–j74.22 Ω at 915 MHz), the proposed structure was configured by coarsely tuning the positions of vias and fine-tuning the small gaps of its coupled patches. For further reducing the profile and dimensions of the antenna, a design technique based on the three-dimensional dipole antenna current distribution was used. The proposed antenna configuration was not only miniaturized but also achieved a long stable reading distance (>5.0 m) and a wide impedance bandwidth of 71 MHz or 7.65% (covering the ultrahigh frequency radio frequency identification ranges in most regions), regardless of the location of the tag on the human body. Experiments were conducted to validate the simulated results, and adequate agreement was found between the simulated results and the measured results.
Existing studies of ethnic voting mainly focus on democratic elections. In electoral autocracies, politically subordinate ethnicity can help citizens coordinate against the incumbent. However, we argue that collective action will be constrained when the group grows large, as it becomes costly for its members to form common behavioural norms and carry out effective sanctions through shared ethnic ties under authoritarian repression. Drawing on unique historical surveys in Taiwan, we study how Taiwanese ethnicity and local ethnic demography jointly induced voters' defection against the hegemonic KMT regime. We find that the pro-defection or anti-incumbent effect of Taiwanese ethnicity fell as the share of Taiwanese citizens in a township increased. However, the relative size of the Taiwanese group no longer undermined pro-defection ethnic voting after the KMT lifted the ban on opposition parties. Our results illustrate that formal organizations play a critical role in sustaining the informational salience of ethnicity in the elections.
The Brain Health Test-7 (BHT-7) is a revised tool from the original BHT, containing more tests about frontal lobe function. It was developed with theaim of identifying patients with mild cognitive impairment (MCI) and early dementia.
Research objective
Here we report the validity of the BHT-7 versus the Mini-Mental State Examination (MMSE) and Montreal Cognitive Assessment (MoCA) in differentpsychiatry or neurology clinics.
Methods
Patients with memory complaints were recruited in this study from the outpatient clinic of psychiatry or neurology in 3 different kinds of hospitals. Allpatients underwent the evaluation of the BHT-7, MMSE, MoCA, and clinical dementia rating (CDR). The clinical diagnosis (normal, MCI, dementia) was made by consensus meeting, taking into account all available data.
Demographic data and the scores of the MMSE, MoCA, and BHT-7 between groups were compared. Logistic regression was adopted for analysis of optimal cutoff values, sensitivity, specificity, positive predictive value (PPV), negative predictive value (NPV), receiver operating characteristic (ROC) curve,and the area under the ROC curve (AUC).
Results
We enrolled a total of 1090 subjects (normal 402, MCI 317, dementia 371); of them, 705 (64.7%) were female. There was a statistically significant differencein age, years of education, and 3 cognitive test scores among the 3 groups.
Compared with the MMSE and MoCA, the BHT-7 performed slightly betterthan MMSE and MoCA in differentiating MCI or dementia from the normalcontrols (Table 1). For BHT- 7, the cutoff point was 17 between normal andMCI, and 14 between normal and dementia. These cutoff points for BHT-7were consistent through 3 different clinical settings, but inconsistent for MMSE and MoCA. The testing time for the BHT-7 was about 5-7 minutes, shorter than that of the MMSE and MoCA.
Conclusion
Compared with MMSE and MoCA, the BHT-7 showed slightly better performance in differentiating normal from MCI or dementia subjects. The testing time for the BHT-7 was shorter, and its cutoff points were consistent through different outpatient clinic settings. The results support that BHT-7 is auseful cognitive screening tool for MCI or early dementia in various hospital settings.
Table 1
Comparisons of the performance of BHT-7, MMSE, MoCA
The cost of recruitment and training of newcomers can be a burden for enterprises, causing adverse effects on human resources management. Although much research has addressed employee turnover, less attention has been paid to methods of improving the retention of new hires. This study is an empirical examination of the increase in predictive strength of antecedents of affective commitment for comparing newcomers’ workplace spirituality. The results of an employee survey completed by 237 newcomers with under two years of work experience indicate that socialization tactics have a direct impact on job embeddedness, which in turn has a direct effect on affective commitment. Workplace spirituality has a significant moderating effect on the relationship between socialization tactics and job embeddedness. Also, workplace spirituality has a significant moderating effect on the relationship between job embeddedness and affective commitment.
In order to improve the working performance of the lower limb rehabilitation robot and the safety of the trained object, the mechanical characteristics of a cable-driven lower limb rehabilitation robot (CDLR) are studied. The dynamic model of the designed CDLR was established. Four kinds of cable tension optimization algorithms were proposed to obtain a good rehabilitation training effect, and the quality of the feasible workspace of the CDLR was analyzed. Finally, a real-time evaluation index of the cable tension optimization algorithms was given to measure the calculation speed of the optimization algorithms. The numerical research results were provided to confirm the characteristics of the four kinds of the optimization algorithms. The research results provide a basis for the follow-up research on the safety and compliance control strategy of the CDLR system.
We carry out direct numerical simulations of turbulent Rayleigh–Bénard convection in a square box with rough conducting plates over the Rayleigh number range $10^7\leqslant Ra\leqslant 10^9$ and the Prandtl number range $0.01\leqslant Pr\leqslant 100$. In Zhang et al. (J. Fluid Mech., vol. 836, 2018, R2), it was reported that while the measured Nusselt number $Nu$ is enhanced at large roughness height $h$, the global heat transport is reduced at small $h$. The division between the two regimes yields a critical roughness height $h_c$, and we now focus on the effects of the Prandtl number ($Pr$) on $h_c$. Based on the variations of $h_c$, we identify three regimes for $h_c(Pr)$. For low $Pr$, thermal boundary layers become thinner with increasing $Pr$. This makes the boundary layers easier to be disrupted by rough elements, leading to the decrease of $h_c$ with increasing $Pr$. For moderate $Pr$, the corner-flow rolls become much more pronounced and suppress the global heat transport via the competition between the corner-flow rolls and the large-scale circulation (LSC). As a consequence, $h_c$ increases with increasing $Pr$ due to the intensification of the corner–LSC competition. For high $Pr$, the convective flow transitions to the plume-controlled regime. As the rough elements trigger much stronger and more frequent plume emissions, $h_c$ again decreases with increasing $Pr$.
This study addresses the causal linkage between customer incivility and service quality through the lens of self-determination theory, according to which need satisfaction as a potential mechanism mediates this relationship. Additionally, it examines the moderating role of surface acting in the relationship between customer incivility and need satisfaction. Dyadic questionnaires were collected from restaurant employees and their customers in Taiwan. A total of 190 employees and 645 customers participated in this study. Results found that need satisfaction mediates the negative relationship between customer incivility and service quality. Surface acting moderates the relationship between customer incivility and need satisfaction as well as the mediation effect of customer incivility on service quality through need satisfaction. Specifically, the indirect effect of need satisfaction on the relation between customer incivility and service quality creativity was more significantly negative at a high level of surface acting than the effect at a low level.
To develop a theoretical model explaining the longitudinal changes in the caregiving process for family caregivers of persons with mild cognitive impairment (MCI) in Taiwan.
Methods:
A longitudinal, grounded theory approach using in-depth face-to-face interviews and an open-ended interview guide. We conducted 42 interviews over a two-year period; each participant was interviewed at least once every six months. All participants were interviewed in their home. The participants total of 13 family caregivers of persons with MCI.
Results:
One core theme emerged: “protective preparation.” This reflected the family caregiving process of preparation for a further decline in cognitive function, and protection from the impact of low self-esteem, accidents, and symptoms of comorbidities for the family member with MCI. Protective preparation contained three components: ambivalent normalization, vigilant preparation, and protective management.
Conclusions:
Interventions to help family caregivers manage the changes in persons with MCI can reduce caregiver burden. Our findings could provide a knowledge base for use by healthcare providers to develop and implement strategies to reduce caregiver burden for family caregivers of persons with MCI.
Increasing tensions in the South China Sea have propelled the dispute to the top of the Asia-Pacific's security agenda. Fuelled by rising nationalism over ownership of disputed atolls, growing competition over natural resources, strident assertions of their maritime rights by China and the Southeast Asian claimants, the rapid modernization of regional armed forces and worsening geopolitical rivalries among the Great Powers, the South China Sea will remain an area of diplomatic wrangling and potential conflict for the foreseeable future. Featuring some of the world's leading experts on Asian security, this volume explores the central drivers of the dispute and examines the positions and policies of the main actors, including China, Taiwan, the Southeast Asian claimants, America and Japan. The South China Sea Dispute: Navigating Diplomatic and Strategic Tensions provides readers with the key to understanding how this most complex and contentious dispute is shaping the regional security environment.
The Republic of China (ROC) or Taiwan was the first country to claim sovereignty over the Pratas Islands (Tungsha Islands), Macclesfield Bank (Chungsha Islands), the Paracel Islands (Shisha Islands) and the Spratly Islands (Nansha Islands) in the South China Sea after Japan's withdrawal from the islands at the end of the Second World War. In November 1946, the ROC government moved to “restore” the South China Sea atolls to Chinese sovereignty. On 1 December 1947, the ROC Ministry of the Interior renamed those islands and formally transferred their administration from Guangdong Province to the Hainan Special Region. In 1948, the ROC government published an official map which showed the four archipelagos within the so-called “U-shaped” line. The ROC's control over the Paracel and Spratly Islands was challenged by France and the Philippines in 1947 and 1949, and was disrupted between May 1950 and July 1956 due to the Nationalist government's (Kuomintang or KMT) defeat in the Chinese Civil War. However, the KMT re-established a garrison on Itu Aba (Taiping Island) in July 1956 and the ROC on Taiwan has controlled the island ever since. Apart from Itu Aba, Taiwan also controls Ban Than Reef (Zhongzhou Reef), approximately 5 km from Itu Aba as well as the Pratas Islands (Tungsha Islands).
Despite being a claimant in the South China Sea, Taiwan's position as a party to the territorial dispute has been undermined due to Southeast Asian countries adherence to Beijing's “One China” policy. It has even been argued that Taiwan — which is not recognized as a sovereign state by the majority of countries — “has no juridical standing to make any claims to any territory”.Inevitably, the “China factor” plays a role in Taiwan's policy considerations towards the South China Sea dispute. When cross-straits relations are cordial, Taiwan and mainland China (the People's Republic of China, PRC) tend to develop a shared dedication to promoting territorial claims on behalf of “China”. When relations deteriorate, however, cross-straits coordination over the South China Sea breaks down and Taiwan tends to become more concerned about the security threat posed by the PRC and therefore adopts a more conciliatory policy towards the Southeast Asian claimants in order to balance Beijing.
Between early May and mid-July 2014 the state-owned China National Offshore Oil Corporation (CNOOC) deployed its largest and most modern oil rig, Hai Yang Shi You-981 (HYSY-981), into Vietnam's claimed exclusive economic zone (EEZ). CNOOC's action not only sparked a major crisis in Sino–Vietnamese relations, but also arguably raised tensions in the South China Sea to their highest point since the dispute first came to prominence in the late 1980s. The HYSY-981 Incident also reinforced negative trends which have dimmed the prospects of a negotiated settlement of the dispute and highlighted the limited effectiveness of attempts to more effectively manage the conflict both by the Southeast Asian claimants (Vietnam, the Philippines, Malaysia and Brunei) and China on a bilateral basis, and by the Association of Southeast Asian Nations (ASEAN) and the People's Republic of China (PRC) using a multilateral approach.
Together with the Sino–Japanese confrontation over sovereignty of the Senkaku/Diaoyu Islands in the East China Sea, the South China Sea dispute currently sits at the top of Asia's security agenda. Due to rising levels of nationalism over ownership of the disputed atolls, more strident assertions of sovereignty by the various claimants, growing competition over maritime resources, worsening geopolitical rivalries among the Great Powers and the rapid modernization of regional armed forces, maritime disputes are likely to remain the most important potential areas of conflict in Asia for the foreseeable future.
This Introduction provides an overview of the central aspects of the South China Sea dispute and is divided into seven sections. After this introductory section, the second part focuses on the geopolitical significance of the South China Sea and how the problem has increasingly become an area of contention between China and the United States. The third part identifies the reasons why tensions have been rising over the past several years. Part four looks at how the absence of political will among the claimants stands in the way of a legal or negotiated settlement. The fifth section examines how ASEAN and China have attempted to better manage the dispute with mixed success. Part six assesses why a continuation of the status quo could endanger the peace, stability and prosperity of the Asia-Pacific region and beyond. The final section provides a brief introduction to the rest of the chapters in this volume.