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Linda Komaroff, long-time curator of the Art of the Middle East at the Los Angeles County Museum of Art (LACMA), has pioneered in the study and exhibition of Islamic art to include contemporary works. Her interests have long focused on the arts of Iran. With this volume her friends and colleagues celebrate her broad scope with essays exploring many new areas. These thirteen essays examine different media, including architecture, manuscripts, portable arts and textiles, as well as the contemporary arts of painting, photography, printmaking and video, from the early Islamic period to the present. In addition to traditional approaches to art-historical scholarship, such as textual analysis, connoisseurship, design, technical and material analysis, and archaeology, the contributors take on such newer themes as gift giving, the diaspora of Iranian art, political art, the relationship of the present to the past or vice versa, and the connections between Iranian art and the arts of the West. Some essays also deal with music and dance.
The graphic item-counter is described and its use as a statistical device is explained. Procedures are presented for obtaining Pearson product-moment correlations by means of the graphic item-counter.
Edinburgh Studies in Islamic Art is a venture that offers readers easy access to the most up-to-date research across the whole range of Islamic art. Building on the long and distinguished tradition of Edinburgh University Press in publishing books on the Islamic world, it is a forum for studies that, while closely focused, also open wide horizons. Books in the series concentrate in an accessible way, and – this is important – in clear, plain English devoid of technical jargon, on the art of a single century, dynasty or geographical area; on the meaning of works of art; on a given medium in a restricted time frame; or on analyses of key works in their wider contexts. A balance is maintained as far as possible between successive titles, so that various parts of the Islamic world and various media, periods and approaches are represented.
We three editors of this volume have all known Linda Komaroff for a long time. Jonathan and Sheila think they met Linda in 1980 in New York at the symposium held at New York University’s Institute of Fine Arts in honour of Richard Ettinghausen, who had died the previous year. He had been Linda’s adviser for her dissertation, which she then completed under Ettinghausen’s successor, Priscilla Soucek. Jonathan and Sheila had been students of Oleg Grabar at Harvard, and as they recall, the rival campers initially eyed each other somewhat warily but became good friends as the years passed. Sandy, the third editor of this volume, was initially Sheila and Jonathan’s student at Boston College in the 2010s, going on to earn an MA at the Institute of Fine Arts. Sandy also first met Linda in New York, a meeting which sparked a long and mentoring relationship. From their first conversation, Linda was generous with her professional and scholarly advice, and her mentorship of Sandy expanded when the latter became a research assistant at the Los Angeles County Museum of Art (LACMA). In 2019, Sandy began her PhD at the University of Michigan, and is now back in Los Angeles working with Linda as assistant curator at LACMA. The three of us have organised this volume as a tribute to our long friendship and scholarly collaboration with Linda over the many years.
Certified organic farming is a suite of regulated practices that can support social, economic, and ecological sustainability in agriculture. Despite the standardization and regulation of certifying bodies, practices adopted by organic farmers vary with potential heterogeneous effects on environmental outcomes. While it is accepted that beliefs can enable or constrain the adoption of farming practices, it remains unclear if variation in organic farmer beliefs mediates observed heterogeneity in practices and the ecology of farms. Communities of soil microorganisms that induce plant resistance and regulate insect herbivores offer a lens to explore the relationship between beliefs and practice adoption. Variation in insect herbivores across organic farms is common but none have studied the role of farmer beliefs in regulating pests through the soil microbiome. Herein, we hypothesized that variation in adoption of microbiome-supportive practices by organic farmers is driven by heterogeneity in their microbiome beliefs. We also investigate the importance of demographic variables and farm characteristics, compared to farmer beliefs, for adoption of practices that support the microbiome. To test our hypothesis, we surveyed the microbiome beliefs, farming practices, and motivations of 85 organic farmers in New York State, USA. We used affinity propagation to cluster farmers by their beliefs, and statistical models to evaluate variation in farming practice adoption and farmer motivations. Our survey received a 30.5% response rate, most organic farmers (≈96%) believed the soil microbiome was important for supporting plant defenses and reducing pests, and <16% believed their farming practices were unimportant for promoting beneficial microbiomes. Seven clusters of farmers were identified that varied in their microbiome beliefs. Among the clusters ≈42% of farmers believed on-farm management and external factors (e.g., climate change) were important for promoting the microbiome. These farmers used fewer pesticides and synthetic mulches, more pre-planting practices (e.g., solarization), and were more motivated to adopt new practices to support the microbiome than their peers. The most important factors motivating adoption were reductions in pests, increased yields, and biodiversity benefits. Beliefs, demographics, and farm characteristics (e.g., time in organic management) were correlated with similar suites of farming practices, but only beliefs predicted farmer motivations. Our study suggests beliefs are key to understanding farmer motivations and promoting organic farming system sustainability via the pest-suppressive microbiome. More broadly, we suggest the need for socio-ecological approaches that account for farmer beliefs when studying the adoption of conservation practices in agroecosystems.
Aristotle’s notion of aretē provides a way of reading Shakespeare’s plays that unifies the characters’ actions in a manner parallel to how ethics unifies humanity. For Aristotle, moral virtue is determined by how completely an individual embodies human nature. As a result there is a sense in which Aristotelian virtue is a selfish endeavor; I strive to fulfill my nature, and in doing so I achieve happiness (eudaimonia). Yet for Aristotle, moral virtue is a political exercise, it is action that ties a person to others. An individual’s role in the state is necessary for the full cultivation of virtue, and hence a requirement for achieving their own selfish end. Shakespeare frequently plays with this tension in Aristotelian virtue: The way characters relate their own good to the good of the state is, by this reading, a way of interpreting the virtue of the characters. Virtuous judgment is not set over universal principles. It is thinking through objects and experience in all their vicissitudes, as characters in a drama have to do. This chapter uses King Lear to demonstrate how Aristotelian moral virtue, and its relation of the individual and the state, can serve as a structuring principle for understanding action.
Early psychosocial adversities exist at many levels, including caregiving-related, extrafamilial, and sociodemographic, which despite their high interrelatedness may have unique impacts on development. In this paper, we focus on caregiving-related early adversities (crEAs) and parse the heterogeneity of crEAs via data reduction techniques that identify experiential cooccurrences. Using network science, we characterized crEA cooccurrences to represent the comorbidity of crEA experiences across a sample of school-age children (n = 258; 6–12 years old) with a history of crEAs. crEA dimensions (variable level) and crEA subtypes (subject level) were identified using parallel factor analysis/principal component analysis and graph-based Louvain community detection. Bagging enhancement with cross-validation provided estimates of robustness. These data-driven dimensions/subtypes showed evidence of stability, transcended traditional sociolegally defined groups, were more homogenous than sociolegally defined groups, and reduced statistical correlations with sociodemographic factors. Finally, random forests showed both unique and common predictive importance of the crEA dimensions/subtypes for childhood mental health symptoms and academic skills. These data-driven outcomes provide additional tools and recommendations for crEA data reduction to inform precision medicine efforts in this area.
To compare the treatment of patients with early psychosis, 2 years after the introduction of an integrated model of enhanced management within a public adult mental health service, with an historic cohort from the same service.
Method
Variables examined in the 2001 cohort were compared with 2008 patients. Computer database review and a file audit were conducted for all patients with early psychosis across the first 2 years of the program.
Results
Compared to the historic cohort, patients in the current cohort were 24% less likely to have been admitted (P = 0.004). There were statistically significant reductions in involuntary status and use of a locked unit. Rates of police involvement in admission and use of seclusion were also reduced, though this trend was not significant. Average length of stay was reduced. Median duration of untreated psychosis was 3 months in both 2001 and 2008 cohorts.
Conclusions
The introduction of an integrated model of management within an area mental health service for patients with early psychosis contributed to significant reductions in admissions, involuntary status and use of a locked ward. The data suggests that enhanced treatment of early psychosis patients can be offered within generic services.
Distinguishing a disorder of persistent and impairing grief from normative grief allows clinicians to identify this often undetected and disabling condition. As four diagnostic criteria sets for a grief disorder have been proposed, their similarities and differences need to be elucidated.
Methods
Participants were family members bereaved by US military service death (N = 1732). We conducted analyses to assess the accuracy of each criteria set in identifying threshold cases (participants who endorsed baseline Inventory of Complicated Grief ⩾30 and Work and Social Adjustment Scale ⩾20) and excluding those below this threshold. We also calculated agreement among criteria sets by varying numbers of required associated symptoms.
Results
All four criteria sets accurately excluded participants below our identified clinical threshold (i.e. correctly excluding 86–96% of those subthreshold), but they varied in identification of threshold cases (i.e. correctly identifying 47–82%). When the number of associated symptoms was held constant, criteria sets performed similarly. Accurate case identification was optimized when one or two associated symptoms were required. When employing optimized symptom numbers, pairwise agreements among criteria became correspondingly ‘very good’ (κ = 0.86–0.96).
Conclusions
The four proposed criteria sets describe a similar condition of persistent and impairing grief, but differ primarily in criteria restrictiveness. Diagnostic guidance for prolonged grief disorder in International Classification of Diseases, 11th Edition (ICD-11) functions well, whereas the criteria put forth in Section III of Diagnostic and Statistical Manual of Mental Disorders, Fifth Edition (DSM-5) are unnecessarily restrictive.
We aimed to evaluate residence in evacuation areas (storm areas) as a risk factor for food and waterborne disease (FWBD) associated with Hurricane Sandy flooding.
Methods
We captured 9601 incident outpatient and inpatient FWBD hospital discharge diagnoses for residents of the greater New York City area. We used Poisson or negative binomial regression models to compare the covariate-adjusted risk for a FWBD diagnosis, pre-Sandy (10/28-11/09, 2001-2011) vs. post-Sandy (10/28-11/09, 2012), for residents of “storm” and “non-storm” areas.
Results
Outpatient FWBD risk was lower for storm area residents after Hurricane Sandy (risk ratio [RR]=0.58, 95% confidence interval [CI]: 0.46-0.74), and varied by age, sex, and county. However, storm area residents 65 years of age or older experienced higher risk after Hurricane Sandy (RR=2.16, 95% CI: 1.11-4.19), albeit based on few cases. Inpatient FWBD risk was lower for non-storm area residents after Hurricane Sandy (RR=0.79, 95% CI: 0.66-0.95), and varied by age, race, and county, although there was no significant change for storm area residents (RR=0.86, 95% CI: 0.69-1.08). Those ≥65 years of age were also at lower risk for inpatient FWBD diagnosis, yet the effect was weaker for storm area (RR=0.89, 95% CI: 0.67-1.18) than for non-storm area residents (RR=0.68, 95% CI: 0.52-0.89).
Conclusions
Hurricane preparation, mitigation, and response activities in the greater New York City area may have led to “protective” effects for FWBD. (Disaster Med Public Health Preparedness. 2016;10:503–511)