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Examines how Hollywood responded to and reflected the political and social changes that America experienced during the 1930s.In the popular imagination, 1930s Hollywood was a dream factory producing escapist movies to distract the American people from the greatest economic crisis in their nation's history. But while many films of the period conform to this stereotype, there were a significant number that promoted a message, either explicitly or implicitly, in support of the political, social and economic change broadly associated with President Franklin D. Roosevelt's New Deal programme. At the same time, Hollywood was in the forefront of challenging traditional gender roles, both in terms of movie representations of women and the role of women within the studio system. With case studies of actors like Shirley Temple, Cary Grant and Fred Astaire, as well as a selection of films that reflect politics and society in the Depression decade, this fascinating book examines how the challenges of the Great Depression impacted on Hollywood and how it responded to them.Topics covered include:How Hollywood offered positive representations of working womenCongressional investigations of big-studio monopolization over movie distributionHow three different types of musical genres related in different ways to the Great Depression – the Warner Bros Great Depression Musicals of 1933, the Astaire/Rogers movies, and the MGM 'kids' musicals of the late 1930sThe problems of independent production exemplified in King Vidor's Our Daily BreadCary Grant's success in developing a debonair screen persona amid Depression conditionsContributors Harvey G. Cohen, King’s College LondonPhilip John Davies, British LibraryDavid Eldridge, University of HullPeter William Evans, Queen Mary, University of LondonMark Glancy, Queen Mary University of LondonIna Rae Hark, University of South CarolinaIwan Morgan, University College LondonBrian Neve, University of BathIan Scott, University of ManchesterAnna Siomopoulos, Bentley UniversityJ. E. Smyth, University of WarwickMelvyn Stokes, University College LondonMark Wheeler, London Metropolitan University
By
J. Iwan Jones, Centre for Ecology and Hydrology, Wallingford, United Kingdom,
John Davy-Bowker, Centre for Ecology and Hydrology, Wallingford, United Kingdom,
John F. Murphy, Centre for Ecology and Hydrology, Wallingford, United Kingdom,
James L. Pretty, Centre for Ecology and Hydrology, Wallingford, United Kingdom
Many organisms respond to pollution in a predictable way, and it has long been realised that the biota can be used to determine the extent of pollution at a site, a technique termed biomonitoring. Much of the science of biomonitoring developed in aquatic systems, driven by concerns about the impact of industrial and domestic pollution on potable water resources. Over the past century, aquatic biomonitoring has travelled a long way from the early methodologies, and much about the pitfalls and benefits of using biota to assess pollution or other stressors has been discovered. Here we describe the history of biomonitoring and how our understanding has developed, with particular focus on RIVPACS (River InVertebrate Prediction And Classification System). This system marked a major advance in biomonitoring techniques, introducing the reference condition approach, where the physical and geographical characteristics of the river were taken into account when determining what taxa would be expected to be present if the site were not polluted. Assessment of a site was then based on a comparison of the observed community and derived scores, to that expected if the site were not polluted. RIVPACS was also the first biomonitoring tool to incorporate a measure of uncertainty; any assessment is based on spatially and temporally variable samples and it is necessary to calculate the confidence associated with the quality class derived using these samples.
Historically, Article 9 of the Uniform Commercial Code has influenced in the debate over the reform of personal property security law in England. The revision to Article 9 has provided some further impetus to the issue of reform. A central feature of Article 9 which has been adopted in recent reform proposals for English law is the development of a generic unitary concept of the security interest and the specific rejection of formalism in security transactions. The impact upon the common law environment in England and Wales of the adoption of such an approach is considered in this paper. It is argued that the unitary concept of a ‘security interest’ is too blunt a concept and is over inclusive in that it wrongly assumes that all security interests perform an identical function. Furthermore, the development of functionalism seen in Article 9 has blurred an important distinction drawn under the common law between relative property rights and in this way fails to distinguish between what are essentially different transactions. In turn, this invites scrutiny of the usefulness in this context of notice filing and the first-to-file priority rule which is at the heart of an Article 9 regime.
Historically, the trend towards the harmonisation of commercial laws has been concerned either with the creation of a regime dealing with international transactions while preserving the identity of national laws or alternatively the emergence of supranational entities where the focus has been upon progressing a common market or political or economic grouping. The legal instruments that have promoted harmonisation1 have mainly revolved around a model law such as the UNCITRAL Model Law on International Commercial Arbitration (1985) or those instruments that deal with international commercial contracts and depend for their application on incorporation into contracts. Clearly there are limits on the effectiveness of international proposals for contractual incorporation. By definition, they are not mandatory and for them to have any realistic effect there must exist a considerable degree of homogeneity in commercial practice as seen, for example, with documentary letters of credit.2 In addition, contractual mechanisms have mainly an inter-partes dimension3 and are not therefore apt to deal with third party rights including the recognition and enforcement of international security interests.
The traditional common law analysis where a third party wishes to acquire an indefeasible interest in a chattel is to direct the latter to the ‘owner’, as the prerequisite for the enjoyment of most property rights depends upon our ability to acquire these from someone else. In this respect, the issue of whether a disposition constitutes the extinguishment of an interest in the chattel or whether a dealing raises priority questions is fundamental. Extinguishment issues go to rights of ownership, typically, where the property of A is misappropriated by a third party T who disposes of it to B, and the question of law is whether B prevails against A with its attendant consequence of extinguishing A's title. In contrast, a priority dispute arises where there are competing security interests in the same chattel which may be resolved either through a subordination agreement or through clear priority rules.
A finite lattice of adsorption sites, as shown by Monte Carlo simulation, is used to develop a simple hopping model of small molecules within the alpha cage of zeolite NaA. A two body attractive energetic interaction is employed for occupied pairs of nearest neighbor sites. A many body repulsive interaction term accounts for the crowding associated with site saturation. This term becomes important when the site-site spacing is less than the van der Waals diameter of the adsorbate. The dynamic Monte Carlo method is used to evaluate site to site hopping frequencies as a function of loading based on this potential energy function. As the sorbate-sorbate attractive interaction is increased (or, equivalently, as the temperature is reduced), mobility minima occur at certain lattice occupancies which may be explained by the formation of energetically favorable clusters on the cubocathedral lattice. In other words, molecular crowding can cause sorbate mobility to suffer minima as loading is increased. This prediction is in agreement with recent Xe NMR measurements.
In any system of property law a complete specification of rights and duties raises at least two questions. First, allocation of rights and duties inter se between the parties to the transaction; secondly, the rights and duties of the parties to the original transaction against the rest of the world. The traditional common law analysis where a third party wishes to acquire an indefeasible interest in a chattel is to direct the latter to the ‘owner’ and indeed the prerequisite for the enjoyment of most property rights depends upon our ability to acquire it from someone else. Furthermore, inherent in the idea of acquiring an absolute right in property (title) is exclusivity of possession ie superiority over the transferor and third parties.
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