Incumbents

Distribution by Scientific Domains
Distribution within Business, Economics, Finance and Accounting

Terms modified by Incumbents

  • incumbent firm
  • incumbent party

  • Selected Abstracts


    The Validity of Verifiable and Non-verifiable Biodata Items: An Examination Across Applicants and Incumbents

    INTERNATIONAL JOURNAL OF SELECTION AND ASSESSMENT, Issue 4 2006
    Crystal M. Harold
    This study examines the influence of item verifiability (non-verifiable vs. verifiable), context (applicant vs. incumbent), and keying procedure on biodata mean test scores and validity. Concurrent and predictive validation studies were conducted using a sample of 425 call center incumbents and a sample of 410 call center applicants. Although applicants did not obtain significantly higher mean biodata scores, results provide support for the hypothesis that the non-verifiable biodata composite would be less valid in the applicant context, while the verifiable biodata composite would be equally valid across both the applicant and incumbent contexts. The same pattern of results was obtained using both item- and option-keying procedures. Implications for research and practice are discussed. [source]


    Candidate Valence and Ideological Positions in U.S. House Elections

    AMERICAN JOURNAL OF POLITICAL SCIENCE, Issue 2 2010
    Walter J. Stone
    We examine the relationship between the valence qualities of candidates and the ideological positions they take in U.S. House elections based on a study of the 2006 midterm elections. Our design enables us to distinguish between campaign and character dimensions of candidate valence and to place candidates and districts on the same ideological scale. Incumbents with a personal-character advantage are closer ideologically to their district preferences, while disadvantaged challengers take more extreme policy positions. Contrary to conventional wisdom, challengers can reap electoral rewards by taking more extreme positions relative to their districts. We explore a possible mechanism for this extremism effect by demonstrating that challengers closer to the extreme received greater financial contributions, which enhanced their chances of victory. Our results bear on theories of representation that include policy and valence, although the interactions between these two dimensions may be complex and counterintuitive. [source]


    The Politics of Financial Development: Evidence from Trade Liberalization

    THE JOURNAL OF FINANCE, Issue 3 2008
    MATIAS BRAUN
    ABSTRACT Incumbents in various industries have different incentives to promote or oppose financial development. Changes in the relative strength of promoter and opponent industries thus result in changes in the political equilibrium level of financial development. We conduct an event study using a sample of 41 countries that liberalized trade during 1970 to 2000, and show that the strengthening of promoter relative to opponent industries resulting from liberalization is a good predictor of subsequent financial development. The benefits of developing the financial system are insufficient for financial development, and rents in particular hands appear to be necessary to achieve it. [source]


    Regulation of an Open Access Essential Facility

    ECONOMICA, Issue 300 2008
    AXEL GAUTIER
    A vertically integrated firm owns an essential input and operates on the downstream market. There is a potential entrant in the downstream market. Both firms use the same essential input. The regulator's objectives are (i) to ensure financing of the essential input and (ii) to generate competition in the downstream market. The regulatory mechanism grants non-discriminatory access of the essential facility to the entrant provided it pays a two-part tariff to the incumbent. The optimal mechanism generates inefficient entry. The inefficient entry captures the trade-off between market efficiency and infrastructure financing resulting from incomplete information and non-discriminatory access. [source]


    INSTABILITY AND THE INCENTIVES FOR CORRUPTION

    ECONOMICS & POLITICS, Issue 1 2009
    FILIPE R. CAMPANTE
    We investigate the relationship between corruption and political stability, from both theoretical and empirical perspectives. We propose a model of incumbent behavior that features the interplay of two effects: a horizon effect, whereby greater instability leads the incumbent to embezzle more during his short window of opportunity, and a demand effect, by which the private sector is more willing to bribe stable incumbents. The horizon effect dominates at low levels of stability, because firms are unwilling to pay high bribes and unstable incumbents have strong incentives to embezzle, whereas the demand effect gains salience in more stable regimes. Together, these two effects generate a non-monotonic, U-shaped relationship between total corruption and stability. On the empirical side, we find a robust U-shaped pattern between country indices of corruption perception and various measures of incumbent stability, including historically observed average tenures of chief executives and governing parties: regimes that are very stable or very unstable display higher levels of corruption when compared with those in an intermediate range of stability. These results suggest that minimizing corruption may require an electoral system that features some re-election incentives, but with an eventual term limit. [source]


    DOES THE ECONOMY MATTER?

    ECONOMICS & POLITICS, Issue 2 2005
    AN EMPIRICAL ANALYSIS OF THE CAUSAL CHAIN CONNECTING THE ECONOMY AND THE VOTE IN GALICIA
    In this paper the causal chain connecting the economy and the vote in 2001 Galician regional elections is analyzed. Our findings demonstrate that economic voting is not just a matter of reactions to economic perceptions. It also depends to a great extent on two intermediate mechanisms: whether or not the incumbent is held responsible for economic outcomes and performance and voters' views of the relative economic management capabilities of opposition parties. [source]


    Campaign War Chests, Entry Deterrence, and Voter Rationality

    ECONOMICS & POLITICS, Issue 3 2002
    Dhammika Dharmapala
    It is often claimed that the accumulation of "war chests" by incumbents deters entry by high,quality challengers in Congressional elections. This paper presents a game,theoretic analysis of the interaction between an incumbent, potential challengers, an interest group, and a representative (rational) voter, where the incumbent's "quality" (or "legislative effectiveness") is known to the interest group, but not to the voter or to potential challengers. Under certain conditions, a perfectly revealing equilibrium exists; the incumbent signals her quality by raising funds from the interest group to accumulate a war chest. The entry deterrence effect thus operates solely through the role of war chests in signaling incumbent quality. [source]


    Does smoking cue-induced craving tell us anything important about nicotine dependence?

    ADDICTION, Issue 10 2009
    Kenneth A. Perkins
    ABSTRACT Cue-reactivity, or self-reported craving response to drug-associated stimuli, is an active area of research on factors that maintain drug use, particularly cigarette smoking. A common rationale for this research is the expectation that treatments that extinguish cue-induced craving will be effective as smoking cessation interventions. Therefore, the importance of research on the variables that moderate and control cue-induced craving would seem to hinge upon the relevance of cue-induced craving to nicotine dependence, particularly its association with relapse risk. However, the limited relevant clinical research has not demonstrated clearly a link between smoking relapse risk and self-reported craving in response to smoking cues. Links between relapse and other responses to cues, such as heart rate or electrodermal activity, are inconsistent or not significant. The Food and Drug Administration (FDA)-approved smoking cessation medications have not been shown to alleviate cue-induced craving, although they do alleviate abstinence-induced craving, which has been associated with relapse risk. Nevertheless, other acute measures assessed in the laboratory have been shown to predict subsequent relapse risk in quitting smokers, demonstrating the feasibility of this type of study. Future research may benefit from using more reliable and valid multi-item craving measures, focusing upon more specific conditions under which cue-induced craving may predict relapse and, most importantly, considering dependent measures other than self-reported craving in response to cues, particularly actual smoking behavior. Without stronger evidence in support of the relevance of cue-induced craving response to the persistence of smoking behavior or other measures of dependence, it will be incumbent upon researchers in this area to justify why studies of cue-induced craving contribute to our understanding of dependence. [source]


    Effectiveness of interventions to promote continuing professional development for dentists

    EUROPEAN JOURNAL OF DENTAL EDUCATION, Issue 4 2003
    Helen A Best
    Background:, Continuing education is incumbent upon dentists as health professionals, but its promotion may be required, particularly in order to ensure regular professional updating. Continuing professional development may be delivered in a variety of ways, and new strategies and techniques must be evaluated for effectiveness. Aim:, To evaluate the effectiveness of two interventions utilizing the philosophies and techniques of the discipline of Quality Improvement. Method:, A self-assessment instrument (a manual) for quality dental practice was developed using the Delphi technique. A randomized, controlled trial of the interventions was conducted under field conditions for dental practice in Victoria, Australia. Dentists in Test Groups 1 and 2 completed the self-assessment manual, and received relevant references and their own scores for the manual in comparison with empirical standards. Dentists in Test Group 1 also attended a continuing education course on Quality Improvement. Dentists in Control Group 1 completed the manual only and received feedback of their scores. Dentists in Test Groups 1 and 2, and in Control Group 1 completed the manual again after 1 year as a post-intervention follow-up. Dentists in Control Group 2 completed the manual only at 1 year. Results:, The intervention involving self-assessment, receipt of scores and references for the manual resulted in modest improvements in total scores for dentists after 1 year, although a response bias was apparent. Conclusion:, An effective method of facilitating change in quality dental practice was identified. Assessment of strategies and techniques for professional development of dentists should include observation of patterns of participation. [source]


    BUILDING A MULTIDISCIPLINARY, COLLABORATIVE CHILD PROTECTION SYSTEM

    FAMILY COURT REVIEW, Issue 4 2003
    The Challenge to Law Schools
    The process of preparing lawyers and other professionals to work for the benefit of troubled children requires an understanding of concepts that extend far beyond the traditional course structure currently employed in American law schools. It is clear that mental health problems of children and families, compounded by substance abuse, influence behavior, resulting in children entering family and juvenile courts as victims of abuse or neglect and committing criminal acts. It is incumbent on law schools to incorporate training in fields far different from the traditional didactic experience in legal curricula if they are to address the current needs of children and familes who are ensnared in the nation's juvenile justice system. The beginning point of this process is within the legal training apparatus of America. Law schools must expand their curriculum to incorporate other disciplines to produce an advocate capable of serving the interest of children and society. [source]


    Regulatory reform of the UK gas market: The sase of the storage auction

    FISCAL STUDIES, Issue 2 2001
    David Hawdon
    Abstract The UK gas industry has undergone major changes since it was privatised in 1986 as a fully integrated monopoly. The most significant of these has occurred not as a result of the privatisation legislation but by the intervention of the ordinary competition authorities in support of an active industry regulator. While price capping continues to be used as the primary instrument for welfare protection against the still substantial monopolistic powers of the incumbent, new competition (which has been positively encouraged) has had the greater impact on prices and choice. Recently, however, the regulator has encouraged the use of auctions for the sale of storage capacity. This paper considers the merits of auctions and makes a tentative evaluation of their effectiveness. Further use of auctions is recommended but reserve prices are considered inappropriate where monopoly power still remains. [source]


    The Courts of the Prior and the Bishop of Durham in the Later Middle Ages

    HISTORY, Issue 278 2000
    Cynthia J. Neville
    The operation of the common law in late medieval county Durham was characterized by several unique features. Among these were the independence of episcopal officials from interference from royal agents in the execution of the law, and the great variety of temporal courts found there. Within the lands of the palatinate, jurisdiction over suspects accused of felony was shared by both the bishop and the prior of Durham. The origins of this unusual division of judicial authority was an agreement dated c.1229, known as Le Convenit. It defined the relationship between the bishop, the temporal lord of the palatinate, and the prior of the Benedictine monastery in Durham who, as a landholder second only to the bishop, held a separate court for the suit of his free tenants. That relationship was often fraught with tension, for both lords were jealous of the prestige , and the revenues , incumbent on the exercise of judicial authority in their lands. This article examines the origins of Le Convenit, and the consequences of the agreement on criminal legal procedure in late medieval Durham. Successive priors of the monastery struggled tirelessly against the bishops to preserve the privileges they won in 1229, and Le Convenit remained throughout this period a potent weapon in their determination to give expression to lordly power and authority. [source]


    Perceived purposes of performance appraisal: Correlates of individual- and position-focused purposes on attitudinal outcomes

    HUMAN RESOURCE DEVELOPMENT QUARTERLY, Issue 3 2007
    Satoris S. Youngcourt
    Performance appraisals have traditionally been directed at individuals, serving either an administrative or developmental purpose. They may serve a role definition purpose as well. This study sought to identify and more broadly define the purposes of performance appraisals to include this role definition purpose. Furthermore, this study examined purposes of performance appraisals as perceived by the role incumbent, as opposed to the stated organizational purposes. The relationships between these perceived purposes with several attitudinal outcomes, including satisfaction with the performance appraisal, job satisfaction, affective commitment, and role ambiguity, are reported. Data from 599 retail service employees were used to test the hypothesized relationships. Results suggested support for a model consisting of three performance appraisal purposes having differential relationships with the outcomes examined, suggesting the purpose of the performance appraisal may influence ratees' perceptions of and attitudes toward their jobs. [source]


    The Relationship between Categories of Non-Audit Services and Audit Fees: Evidence from UK Companies

    INTERNATIONAL JOURNAL OF AUDITING, Issue 1 2002
    M. Ezzamel
    Using survey data we examine the relationship between various categories of non-audit services and audit fees. Compared to previous research, we use a more refined classification of non-audit services both for incumbent and non-incumbent auditors, and control for the existence of an internal audit function and basis of disclosure. Our results suggest that the relationship between levels of audit fees and non-audit services varies by category of non-audit service. These results support explanations of the positive association between fees paid for non-audit services and audit fees in terms either of client specific differences, e.g. organisational complexity, or of events giving rise to the purchase of more audit and non-audit services rather than in terms of direct economic linkages between the cost functions for audit and non-audit services. We speculate that the presence of another auditing firm at the client in a consulting capacity may exert competitive pressure on the fee for external audit. [source]


    An introduction of the condition class space with continuous value discretization and rough set theory

    INTERNATIONAL JOURNAL OF INTELLIGENT SYSTEMS, Issue 2 2006
    Malcolm J. Beynon
    The granularity of an information system has an incumbent effect on the efficacy of the analysis from many machine learning algorithms. An information system contains a universe of objects characterized and categorized by condition and decision attributes. To manage the concomitant granularity, a level of continuous value discretization (CVD) is often undertaken. In the case of the rough set theory (RST) methodology for object classification, the granularity contributes to the grouping of objects into condition classes with the same condition attribute values. This article exposits the effect of a level of CVD on the subsequent condition classes constructed, with the introduction of the condition class space,the domain within which the condition classes exist. This domain elucidates the association of the condition classes to the related decision outcomes,reflecting the inexactness incumbent when a level of CVD is undertaken. A series of measures is defined that quantify this association. Throughout this study and without loss of generality, the findings are made through the RST methodology. This further offers a novel exposition of the relationship between all the condition attributes and the RST-related reducts (subsets of condition attributes). © 2006 Wiley Periodicals, Inc. Int J Int Syst 21: 173,191, 2006. [source]


    The Validity of Verifiable and Non-verifiable Biodata Items: An Examination Across Applicants and Incumbents

    INTERNATIONAL JOURNAL OF SELECTION AND ASSESSMENT, Issue 4 2006
    Crystal M. Harold
    This study examines the influence of item verifiability (non-verifiable vs. verifiable), context (applicant vs. incumbent), and keying procedure on biodata mean test scores and validity. Concurrent and predictive validation studies were conducted using a sample of 425 call center incumbents and a sample of 410 call center applicants. Although applicants did not obtain significantly higher mean biodata scores, results provide support for the hypothesis that the non-verifiable biodata composite would be less valid in the applicant context, while the verifiable biodata composite would be equally valid across both the applicant and incumbent contexts. The same pattern of results was obtained using both item- and option-keying procedures. Implications for research and practice are discussed. [source]


    Using cost-analysis techniques to measure the value of nurse practitioner care

    INTERNATIONAL NURSING REVIEW, Issue 4 2002
    D. Vincent PhD
    Abstract Nurse practitioners are in a unique position to deliver high-quality care to a variety of populations and are being utilized in many countries worldwide. Although certain aspects of the nurse practitioner role may differ from country to country, limited financial support and competition for access to patients make it incumbent on nurse practitioners to document the cost-effectiveness of their care. Cost analysis, a business tool that can be used by any practitioner in any health care system, was used to examine business practices of an academic-based nurse-managed centre. In order for this tool to be effective, nurse practitioners must become comfortable with using cost-analysis techniques in their practices. Linking outcome data with cost data was found to be one method for explicating the value of nurse practitioner practice. Nurse practitioners must also recognize that they are competing with primary-care physician practices and other primary health-care practices. It is vital for nurse practitioners to document both the quality and the costs of their care in order to compete with physicians and other health care providers, in order to influence policy and other health-care decision makers. [source]


    Auditing in the Presence of Outside Sources of Information

    JOURNAL OF ACCOUNTING RESEARCH, Issue 3 2001
    Mark Bagnoli
    We examine how an auditor's ability to terminate a multi-period client relationship provides the auditor with a real option whose value depends on the nature of informational asymmetry between the incumbent and other potential auditors. In particular, we isolate conditions under which the auditor's private and public sources of information behave as complements rather than substitutes. In such circumstances, increasing the likelihood of publicly provided information induces the auditor to expend more (rather than less)resources in private information gathering activities. [source]


    Incumbency and R&D Incentives: Licensing the Gale of Creative Destruction

    JOURNAL OF ECONOMICS & MANAGEMENT STRATEGY, Issue 4 2000
    Joshua S. Cans
    This paper analyzes the relationship between incumbency and R&D incentives in the context of a model of technological competition in which technologically successful entrants are able to license their innovation to (or be acquired by) an incumbent. That such a sale should take place is natural, since postinnovation monopoly profits are greater than the sum of duopoly profits. We identify three key findings about how innovative activity is shaped by licensing. First, since an incumbent's threat to engage in imitative R&D during negotiations increases its bargaining power, there is a purely strategic incentive for incumbents to develop an R&D capability. Second, incumbents research more intensively than entrants as long as (and only if) their willingness to pay for the innovation exceeds that of the entrant, a condition that depends critically on the expected licensing fee. Third, when the expected licensing fee is sufficiently low, the incumbent considers entrant R&D a strategic substitute for in-house research. This prediction about the market for ideas stands in contrast to predictions of strategic complementarity in patent races where licensing is not allowed. [source]


    Pricing Access to a Monopoly Input

    JOURNAL OF PUBLIC ECONOMIC THEORY, Issue 4 2004
    David S. Sibley
    What price should downstream entrants pay a vertically integrated incumbent monopoly for use of its assets? Courts, legislators, and regulators have at times mandated that incumbent monopolies lease assets required for the production of a retail service to entrants in efforts to increase the competitiveness of retail markets. This paper compares two rules for pricing such monopoly inputs: marginal cost pricing (MCP) and generalized efficient component pricing rule (GECPR). The GECPR is not a fixed price, but is a rule that determines the input price to be paid by the entrant from the entrant's retail price. Comparing the retail market equilibrium under MCP and GECPR, the GECPR leads to lower equilibrium retail prices. If the incumbent is less efficient than the entrant, the GECPR also leads to lower production costs than does the MCP rule. If the incumbent is more efficient than the entrant, however, conditions may exist in which MCP leads to lower production costs than does the GECPR. The analysis is carried out assuming either Bertrand competition, quantity competition, or monopolistic competition between the incumbent and entrant in the downstream market. [source]


    Optimal pricing strategy for foreign market entry: a game theoretic approach

    MANAGERIAL AND DECISION ECONOMICS, Issue 8 2006
    Young-Han Kim
    Given that pricing plays an important role in a company's international competitive strategy, researchers have long argued the need for theory building in the area of international pricing. This study develops an optimal pricing strategy for foreign market entry using a game theoretic framework. The proposed model assumes two firms, a local incumbent and a foreign entrant, competing in a market. Consumers know the quality of the incumbent's offering, but do not know how it compares to that of the foreign entrant's. Based on these assumptions, and using the theory of inference making, we propose an upward price distortion by the entrant firm as an optimal entry strategy under incomplete information. The paper presents a game theoretic derivation to establish that the game has a unique intuitive separating equilibrium where the entrant firm stands to gain by engaging in upward price distortion to signal high quality to consumers. Copyright © 2006 John Wiley & Sons, Ltd. [source]


    Choosing the partners in the licensing alliance

    MANAGERIAL AND DECISION ECONOMICS, Issue 4 2006
    Soo Jeoung Sohn
    I consider a situation in which the incumbent strategically adopts the licensing alliance, facing potential entrants. The queue of entrants consists of two firms, the ,strong' entrant and the ,weak' entrant, who differ in their productivities. The incumbent sets a licensing fee and offers it to the entrants. Each entrant decides whether or not to buy the licensing alliance. After the set of the licensing alliance is determined, they engage in the Cournot competition. I examine the optimal licensing fee, and show that the optimal licensing fee is to charge a discriminatory royalty to each licensee. I also examine the licensing policy on the partner(s): To whom should the licensor license its technology? By comparing the equilibrium expected payoffs for the licensor, I show that licensing to both entrants would be preferred to licensing to a single entrant. But, if the licensor faces the problem on choosing the partner, he prefers the licensing of the weak entrant to the strong entrant. Copyright © 2006 John Wiley & Sons, Ltd. [source]


    Programme and policy issues related to promoting positive early nutritional influences to prevent obesity, diabetes and cardiovascular disease in later life: a developing countries view,

    MATERNAL & CHILD NUTRITION, Issue 3 2005
    Noel W. Solomons MD
    Abstract Public health policy differs from programme insofar as the former is the expression of goals at a higher decision-making level (international, regional, national or provincial) and the latter involves the execution of intervention measures at the community or individual level. It has recently become fashionable to speak of ,evidence-based' policy. There is now ample evidence to suggest that early nutritional influences on chronic disease risk in later life are contributing to the acceleration of the overall worldwide epidemic of obesity and non-transmissible diseases. In developing countries, in which 80% of the world's population resides, the opportunities for preventive policy must be balanced against needs, cost and effectiveness considerations and the intrinsic limitations of policy execution. Not everyone in the population is at risk of suffering from any given negative condition of interest, nor will everyone at risk benefit from any given intervention. Hence, decisions must be made between universal or targeted policies, seeking maximal cost-efficiency, but without sowing the seeds of either discrimination or stigmatization with a non-universal application of benefits. Moreover, although large segments of the covered population may benefit from a public health measure, it may produce adverse and harmful effects on another segment. It is ethically incumbent on policy makers to minimize unintended consequences of public health measures. With respect to the particular case of mothers, fetuses and infants and long-term health, only a limited number of processes are amenable to intervention measures that could be codified in policy and executed as programmes. [source]


    Electronic Communication Training: Reconciling Gaps Created by the Virtual Office

    PERFORMANCE IMPROVEMENT QUARTERLY, Issue 1 2001
    Jackie L. Jankovich Hartman
    ABSTRACT The virtual organization is one result of the rapid advances of technology. These advances, however, bring about setbacks when communicating electronically,primarily a loss of face-to-face interaction. Yet interpersonal skills are still deemed one of the most desirable communication skills in today's workplace. A gap analysis of the traditional versus the virtual office reveals that voids exist when communicating solely electronically. Electronic communication training is essential in order to eliminate these voids and lessen the chance for unclear messages, enhance "faceless" interactions, and avoid communication overload. Therefore, it is incumbent upon educators and trainers to augment development programs with electronic communication training in order for employees to be prepared for the challenges of the virtual office. [source]


    Cue Voting: Which Women Vote for Women Senate Candidates?

    POLITICS & POLICY, Issue 2 2003
    Stephen J. Stambough
    This article explores the effects of candidate gender on individual voting behavior. We investigate whether female candidates attract support from female voters based on their gender. Our research centers around three areas. First, we discuss cue theory and how it applies to gender studies. Second, we investigate the 19 Senate elections from 1988-92 in which one of the major party candidates was a female. Finally, we examine the potential impact of partisanship and seat status,whether an incumbent ran or whether there was an open seat,on voting for female candidates. We find that seat status is important and that gender cue voting is a factor only among Republican voters, especially male Republicans. [source]


    Polls and Elections: Opinion Formation, Polarization, and Presidential Reelection

    PRESIDENTIAL STUDIES QUARTERLY, Issue 3 2009
    BARRY C. BURDEN
    The authors examine the dynamics of public opinion formation and change around a sitting president and their implications for reelection contests. Because of the biases inherent in information processing and the information environment, two distinct, but simultaneous, effects of citizen learning during a presidential term are expected. For those with prior opinions of the president, learning contributes to more polarized evaluations of the president. For those initially uncertain about the president, learning contributes to opinion formation about the president. Because the gap in uncertainty generally favors the incumbent over a lesser-known challenger, races with an incumbent presidential candidate are typically marked, perhaps paradoxically, by both a polarization of public opinion and an incumbency advantage. [source]


    The Rising Power of the Modern Vice Presidency

    PRESIDENTIAL STUDIES QUARTERLY, Issue 3 2008
    JOEL K. GOLDSTEIN
    Long a pilloried office, the vice presidency has become a significant government institution especially since the service of Walter F. Mondale (1977,81). Mondale and President Jimmy Carter elevated the office to a position of ongoing significance through a carefully designed and executed effort that required the confluence of a number of factors. Mondale's service provided his successors a more robust institution with new resources, enhanced expectations, and a successful model for vice presidential service. Subsequent vice presidents have benefited from Mondale's legacy but have exercised the office in different ways depending, to some degree, on the way in which the factors that shaped Mondale's term have played out for each new incumbent. [source]


    Trusting souls: A segmentation of the voting public

    PSYCHOLOGY & MARKETING, Issue 12 2002
    Leon G. Schiffman
    When a 30-year decline in the American voters' trust of political office holders and the election process is contrasted to their enduring trust of the democratic form of government, there is strong confirmation of the need to take a multidimensional approach in measuring political trust. To this end, a segmentation scheme based on two well-established political trust measures (i.e., incumbent-based trust and regime-based trust) is proposed. In particular how two specific trust segments differ in terms of the time they spend on various political and election-related activities is examined. Among other things, the findings reveal that the dual-trusting segment (i.e., those who were both regime and incumbent trusting) were substantially more likely than the regime-only trusting segment (i.e., those who were regime trusting and incumbent untrusting) to watch television debates or speeches and have informal discussions with friends and co-workers on topics related to the election. There were no meaningful differences between the two segments when it came to giving or raising funds, or campaigning for a candidate or political party. However, when it came to voting-related decision making, the results suggest that dual-trusting individuals were significantly more likely to spend more than a little time considering how they were going to vote for President, U.S. Senate, and on particular political issues. The article ends with suggestions for future research, as well as some thoughts on how politicians and their advisers might more fully embrace the relational marketing paradigm, especially as it pertains to the connection between elected officials and the voting public. © 2002 John Wiley & Sons, Inc. [source]


    Codex final definition of dietary fibre: issues of implementation

    QUALITY ASSURANCE & SAFETY OF CROPS & FOOD, Issue 4 2009
    Joanne R. Lupton
    Abstract Introduction At its 30th session in South Africa in November 2008, the Codex Committee on Nutrition and Foods for Special Dietary Uses (CCNFSDU) agreed on a definition of dietary fibre. Although many aspects of what can be called "dietary fibre" were resolved, the application of this definition raises additional issues in need of resolution. Objectives The goal of this paper is to discuss the major areas at issue in implementing the new Codex definition of dietary fibre: (1) the footnote that individual countries can decide whether they accept oligosaccharides with a degree of polymerization (DP) from 3 to 9 (included) as being fibre; and 2) guidance on which physiological effects are beneficial. Less critical but still important is the issue of animal sources of fibre not requiring proof of a beneficial physiological effect; and the effect of processing on fibre. Results and conclusion Unless all countries accept (or do not accept) that carbohydrate polymers with 3,9 monomeric units are dietary fibre, there will be two, rather than one definition. Again, if each country has its own criteria as to the physiological benefits of fibre and how to verify those benefits there will be as many "definitions" of fibre as there are effects accepted by all the member states. Given the importance to consumers, food companies, researchers, and regulatory agencies in having one definition, it is incumbent on all of us in the field to work toward that end. [source]


    District Complexity as an Advantage in Congressional Elections

    AMERICAN JOURNAL OF POLITICAL SCIENCE, Issue 4 2009
    Michael J. Ensley
    Scholars of congressional elections have argued that an increase in constituent diversity increases the level of electoral competition. Following models of boundedly rational candidates, we argue that there is strong reason to believe that the opposite is true. As the complexity of the electoral landscape increases, challengers will have a more difficult time locating an optimal platform when facing an experienced incumbent. Using data from the 2000 National Annenberg Election Study, we construct a novel measure of district complexity for U.S. House districts and test whether the entry of quality challengers and the incumbent's share of the two-party vote are affected by the complexity of the electoral landscape. We find strong support for the hypothesis that complexity benefits incumbents for both indicators of electoral competition, which stands in contrast to most of the existing literature on diversity and incumbent performance. [source]