Dominant Position (dominant + position)

Distribution by Scientific Domains


Selected Abstracts


The angiosperm radiation revisited, an ecological explanation for Darwin's ,abominable mystery'

ECOLOGY LETTERS, Issue 9 2009
Frank Berendse
Abstract One of the greatest terrestrial radiations is the diversification of the flowering plants (Angiospermae) in the Cretaceous period. Early angiosperms appear to have been limited to disturbed, aquatic or extremely dry sites, suggesting that they were suppressed in most other places by the gymnosperms that still dominated the plant world. However, fossil evidence suggests that by the end of the Cretaceous the angiosperms had spectacularly taken over the dominant position from the gymnosperms around the globe. Here, we suggest an ecological explanation for their escape from their subordinate position relative to gymnosperms and ferns. We propose that angiosperms due to their higher growth rates profit more rapidly from increased nutrient supply than gymnosperms, whereas at the same time angiosperms promote soil nutrient release by producing litter that is more easily decomposed. This positive feedback may have resulted in a runaway process once angiosperms had reached a certain abundance. Evidence for the possibility of such a critical transition to angiosperm dominance comes from recent work on large scale vegetation shifts, linking long-term field observations, large scale experiments and the use of simulation models. [source]


EU energy-intensive industries and emission trading: losers becoming winners?

ENVIRONMENTAL POLICY AND GOVERNANCE, Issue 5 2009
Jorgen Wettestad
Abstract The EU Emissions Trading System (ETS) initially treated power producers and energy-intensive industries similarly, despite clear structural differences between these industries regarding e.g. pass-through of costs. Hence, the energy-intensive industries could be seen as losing out in the internal distribution. In the January 2008 proposal for a reformed ETS post-2012, a differentiated system was proposed where the energy-intensive industries would come out relatively much better. Why is this? Although power producers still have a dominant position in the system, the increasing consensus about windfall profits has weakened their standing. Conversely, increasing attention to such profits and not least the possibility of global carbon leakage has strengthened the case of energy-intensive industries at both national and EU levels. These industries have become more active in EU processes and somewhat better organized. Finally, growing fear of lax global climate policies has strengthened the case of these industries further. Copyright © 2009 John Wiley & Sons, Ltd and ERP Environment. [source]


The Treaty of Nice: The Sharing of Power and the Institutional Balance in the European Union,A Continental Perspective

EUROPEAN LAW JOURNAL, Issue 3 2001
Xenophon A. Yataganas
This paper presents an initial response to the conclusions of the Nice Summit and the new EU Treaty which emerged from it. It consists of two parts: in the first I discuss the climate in which the Intergovernmental Conference (IGC) took place and the opening positions of the Institutions, the Member States, and the applicant countries. The results achieved at Nice are set out in the second part, with special emphasis on the themes that mark a shift of power within the Community's institutional architecture; i.e. the extension of qualified-majority voting in the Council and the co-decision procedure with the European Parliament, the reweighting of votes and the composition of the Institutions with a view to an enlargement which is both imminent and unprecedented in the history of the EU. I conclude that while the results of the IGC and the new Treaty of Nice fall short of what is needed in an EU with ambitions on a continental scale, they do mark another stage in the process of European integration and the permanent evolution of its constitution. In this sense, the balance of power is likely to be different from what it has been in the past. The Franco-German axis has been severely weakened, the UK and Spain seem to be determined to play a central role, and the smaller countries are seeking to retain some influence over how the process works. New alliances are likely to emerge, particularly after enlargement, with Germany in search of a dominant position, France desperately trying to preserve the status quo, and the UK wanting to influence the direction of moves towards integration from the inside. Nice seems to mark an interim stage in this process. A new IGC has already been scheduled for 2004. There is no doubt that the post-Nice period will be one of transition towards a new distribution of power within the EU, sanctioned by a new, highly constitutional treaty. [source]


Multivariate GARCH Modeling of Exchange Rate Volatility Transmission in the European Monetary System

FINANCIAL REVIEW, Issue 1 2000
Colm Kearney
C32/F31/G15 Abstract We construct a series of 3-, 4- and 5-variable multivariate GARCH models of exchange rate volatility transmission across the important European Monetary System (EMS) currencies including the French franc, the German mark, the Italian lira, and the European Currency Unit. The models are estimated without imposing the common restriction of constant correlation on both daily and weekly data from April 1979,March 1997. Our results indicate the importance of checking for specification robustness in multivariate Generalized Autoregressive Conditional Heleroskedasticity (GARCH) modeling, we find that increased temporal aggregation reduces observed volatility transmission, and that the mark plays a dominant position in terms of volatility transmission. [source]


Catchment- and site-scale influences of forest cover and longitudinal forest position on the distribution of a diadromous fish

FRESHWATER BIOLOGY, Issue 3 2005
HANS S. EIKAAS
Summary 1. The hydrologic connectivity between landscape elements and streams means that fragmentation of terrestrial habitats could affect the distribution of stream faunas at multiple spatial scales. We investigated how catchment- and site-scale influences, including proportion and position of forest cover within a catchment, and presence of riparian forest cover affected the distribution of a diadromous fish. 2. The occurrence of koaro (Galaxias brevipinnis) in 50-m stream reaches with either forested or non-forested riparian margins at 172 sites in 24 catchments on Banks Peninsula, South Island, New Zealand was analysed. Proportions of catchments forested and the dominant position (upland or lowland) of forest within catchments were determined using geographical information system spatial analysis tools. 3. Multivariate analysis of variance indicated forest position and proportion forested at the catchment accounted for the majority of the variation in the overall proportion of sites in a catchment with koaro. 4. Where forest was predominantly in the lower part of the catchments, the presence of riparian cover was important in explaining the proportion of sites with koaro. However, where forest was predominantly in the upper part of the catchment, the effect of riparian forest was not as strong. In the absence of riparian forest cover, no patterns of koaro distribution with respect to catchment forest cover or forest position were detected. 5. These results indicate that landscape elements, such as the proportion and position of catchment forest, operating at catchment-scales, influence the distribution of diadromous fish but their influence depends on the presence of riparian vegetation, a site-scale factor. [source]


The Merchant Adventurers of England: their origins and the Mercers' Company of London

HISTORICAL RESEARCH, Issue 187 2002
Anne F. Sutton
The history of the adventurers, or overseas merchants, trading to the Low Countries is taken back to their earliest privileges, those from Brabant 1296,1315, to the establishment of their fraternity of St. Thomas c.1300, and to their common origin with the staplers. This discounts the theories that they owed their beginnings to the Mercers' Company of London. The rise of the London mercers to an increasingly dominant position among the Adventurers to the Low Countries is traced from c.1400, and their records, the frequently misleading acts of court, are re-examined. The theory that the Company of the Merchant Adventurers of England was created at the end of the fifteenth century is similarly discounted. [source]


Structural change and market power in the U.S. food manufacturing sector

AGRIBUSINESS : AN INTERNATIONAL JOURNAL, Issue 2 2009
Kyle W. Stiegert
This study develops an intertemporally linked market model to explore the relationships between price-cost margins, market concentration, and advertising outlay. The study used data from 48 four-digit SIC (standardized industrial classification) codes for the Food and Tobacco Processing Industries during the 1970s, 1980s, and 1990s. The authors' findings provide evidence that both high and low levels of performance provide signals to industries to consolidate, but for obvious and different reasons. Further, increased consolidation leads to increased entry barriers (advertising) and higher profits to the industry. Our findings are supportive of both Chicago and Traditionalist Schools of thought about antitrust enforcement: Neither emerges in a dominant position. Endogeneity issues and findings within the intertemporal structure cast considerable doubt about overly simplistic structure,performance paradigms of firm behavior. [JEL Code: L11, L40, L66]. © 2009 Wiley Periodicals, Inc. [source]


Crisis, Identity, and Social Distinction: Cultural Politics of Food, Taste, and Consumption in Late Colonial Bengal

JOURNAL OF HISTORICAL SOCIOLOGY, Issue 3 2006
SRIRUPA PRASAD
It analyzes how the Bengali middle class, the bhadralok, attempted to construct a "doxa" of gastronomy in order to subsume a dominant position for itself and to classify hierarchically other classes and social groups. The aspirations of this class as the future guardians of an incipient nation were in reality a politics of self-identity, which was based on ideas of a cultural exclusivity. This politics of self-identity for the Bengali middle class were inextricably inter-woven with issues of modernity, nationalism, and colonialism. Through my analysis, I stress the importance of the "historical" or the "collective", particularly in the context of formation of the bhadralok, as a dominant class. [source]


Gustaf Dalman, Anti-Semitism, and the Language of Jesus Debate

JOURNAL OF RELIGIOUS HISTORY, Issue 1 2010
STEVEN THOMPSON
The theory that Jesus of Nazareth spoke and taught exclusively in Aramaic rather than Hebrew achieved its present dominant position just over a century ago due largely to the labour of Gustaf Dalman. His primary motivation was not the recovery of the historical Jesus, however, but to support his deep commitment to the Protestant movement to convert Jews. This movement did not escape the impact of escalating anti-Semitism in society, intensified by rapid progress towards German national unification. One Christian response to anti-Semitism was to "extract" Jesus from Judaism by contrasting him with "Jewish" attitudes and values held by Jewish spiritual authorities. Dalman's contribution was to extract Jesus from the ethnically exclusive Hebrew language by insisting that he spoke only the more widely used lingua franca of the region, Aramaic. By overstating his case and going beyond the evidence, Dalman revealed his indebtedness to the anti-Semitic spirit of his age. [source]


Measuring the usage effects of tying a messenger to Windows: a treatment effect approach

JOURNAL OF THE ROYAL STATISTICAL SOCIETY: SERIES A (STATISTICS IN SOCIETY), Issue 1 2010
Myoung-jae Lee
Summary., The US case on tying Microsoft Internet Explorer to Windows has received much attention. In Europe, a similar case of tying the Microsoft media player to Windows appeared. Recently in Korea, another similar case of tying a Microsoft messenger to Windows occurred. In the messenger tying case (as well as in the other tying cases), Microsoft's main defence seems to be threefold: tying enhances efficiency, the Microsoft product is better or better marketed and tying is inconsequential because the user can easily download free competing products. The paper empirically addresses the third point. Korean data, used as evidence in the trial of the case, reveal that tying the Microsoft messenger to Windows increased the probability of choosing the Microsoft messenger as the main messenger by 22% for Windows Millennium and 35% for Windows XP. There is also evidence that tying shortened the duration until the Microsoft messenger is adopted by about 2,4 months, compared with the duration until the adoption of a competing messenger. Hence tying provided Microsoft with an almost instant non-trivial advantage in the messenger market ,race',the advantage derived from the dominant position in the operating system market. [source]


Religion, Historical Contingencies, and Institutional Conditions of Criminal Punishment: The German Case and Beyond

LAW & SOCIAL INQUIRY, Issue 2 2004
Joachim J. Savelsberg
Religion and historical contingencies help explain cross-national and historic variation of criminal law and punishment. Case studies from German history suggest: First, the Calvinist affiliation of early Prussian monarchs advanced the centralization of power, rationalization of government bureaucracy, and elements of the welfare state, factors that are likely to affect punishment. Second, the dominant position of Lutheranism in the German population advanced the institutionalization of a separation of forgiveness in the private sphere versus punishment of "outer behavior" by the state. Third, these principles became secularized in philosophy, jurisprudence, and nineteenth-century criminal codes. Fourth, partly due to historical contingencies, these codes remained in effect into post,World War II Germany. Fifth, the experience of the Nazi regime motivated major changes in criminal law, legal thought, public opinion, and religious ideas about punishment in the Federal Republic of Germany. Religion thus directly and indirectly affects criminal law and punishment, in interaction with historical contingencies, institutional conditions of the state, and other structural factors. [source]


Biotic diachroneity during the Ordovician Radiation: evidence from South China

LETHAIA, Issue 3 2006
Renbin Zhan
The Ordovician radiation was one of the most marked and sustained increases in Phanerozoic biodiversification; nevertheless it occurred against a background of minimal global climatic and environmental perturbations. Detailed investigations of the Ordovician successions on the Yangtze Platform of the South China palaeoplate indicate that: (1) the brachiopod ,- and ,-diversity changes are diachronous; (2) macroevolutionary patterns were different across the South China palaeoplate, with the Early Ordovician brachiopod radiation first occurring in normal marine, shallow-water environments and then moving gradually to both nearer-shore and offshore locations; (3) the main contributors to the initial Ordovician brachiopod radiation were the Orthida and Pentamerida; the typical Ordovician brachiopod fauna, dominated by the Orthida and Strophomenida, did not appear until the late Mid Ordovician (Undulograptus austrodentatus Biozone) when the Strophomenida apparently replaced the dominant position of the Pentamerida within the fauna; (4) different ecotypes (e.g., sessile benthos, mobile benthos together with pelagic and planktonic organisms) demonstrate substantially different macroevolutionary patterns. The Ordovician brachiopod radiation of South China was apparently earlier than that suggested by global trends together with the data available from other palaeoplates or terranes, which may be related to its unique palaeogeographic position (peri-Gondwanan terrane gradually moving to equatorial latitudes). [source]


The European Commission's Guidance on Article 102TFEU: From Inferno to Paradiso?

THE MODERN LAW REVIEW, Issue 4 2010
Article first published online: 8 JUL 2010, nar Akman
The European Commission has for the first time issued a document expressing its official position on the enforcement of Article 102TFEU which prohibits the abuse of a dominant position on the Common Market. The Commission Guidance on enforcement priorities in applying Article 102TFEU to exclusionary abuses (adopted in December 2008) has ended a review of about four years. Given the increased enforcement of Article 102TFEU at the European level and the fact that many national provisions in the EU on unilateral conduct are modelled after Article 102TFEU, how the Commission intends to enforce Article 102TFEU is crucial for the application of competition law and the undertakings subject to it under European and/or national laws. The review period was preceded by severe criticisms of the Commission's approach to Article 102TFEU for protecting competitors instead of competition and for being insufficiently grounded in modern economic thinking. At the heart of the review and the discussions surrounding it lay the question of the objective of Article 102TFEU. Some, including the Directorate General for Competition claimed the objective to be ,consumer welfare', whereas some argued that ,consumer welfare' cannot be adopted as the objective at the expense of the protection of the competitive process. This article critically reviews the Commission Guidance, with an eye to assessing the ultimate objective of and the test of harm under Article 102TFEU. After discussing whether the Guidance indeed sets priorities, it examines the general approach of the Guidance to exclusionary conduct. It points out that despite there being some welcome novelties in the Guidance, there are also suggestions therein whose legitimacy and legality are questionable. Reflecting on the Guidance as a soft-law instrument, the article argues that although regarding the objective of Article 102TFEU, the Commission's apparent tendency towards ,consumer welfare' is not unlawful, the reform of Article 102TFEU to bring it more in line with modern economic and legal thinking seems to be far from complete. [source]


Problematising the discourses of the dominant: whiteness and reconciliation

JOURNAL OF COMMUNITY & APPLIED SOCIAL PSYCHOLOGY, Issue 5 2006
Meredith J. Green
Abstract This article investigates how unacknowledged power can affect the political actions of those in the dominant group, in this case white Australians. To do this we identify connections between the discourses used by white Australians involved in Reconciliation, the power and privilege of whiteness in Australia, and participants' understandings and actions towards Reconciliation. Using discourse analysis four discourses were identified from interviews and focus groups with white Australians involved in Reconciliation. These were labelled ,indigenous project', ,institutional change', ,challenging racism', and ,bringing them together'. We argue that understanding the power relations that underlie the political actions of those in dominant positions is critical to ensuring the goals of anti-racism are achieved. Discourse analysis may allow us to gain a deeper understanding of the power and the potential impacts that may flow from particular positions and how power may be made more visible to the dominant group. Copyright © 2006 John Wiley & Sons, Ltd. [source]