Locales

Distribution by Scientific Domains
Distribution within Humanities and Social Sciences


Selected Abstracts


DEFINING STANDARD OF CARE IN THE DEVELOPING WORLD: THE INTERSECTION OF INTERNATIONAL RESEARCH ETHICS AND HEALTH SYSTEMS ANALYSIS

DEVELOPING WORLD BIOETHICS, Issue 2 2005
ADNAN A. HYDER
ABSTRACT In recent years there has been intense debate regarding the level of medical care provided to ,standard care' control groups in clinical trials in developing countries, particularly when the research sponsors come from wealthier countries. The debate revolves around the issue of how to define a standard of medical care in a country in which many people are not receiving the best methods of medical care available in other settings. In this paper, we argue that additional dimensions of the standard of care have been hitherto neglected, namely, the structure and efficiency of the national health system. The health system affects locally available medical care in two important ways: first, the system may be structured to provide different levels of care at different sites with referral mechanisms to direct patients to the appropriate level of care. Second, inefficiencies in this system may influence what care is available in a particular locale. As a result of these two factors locally available care cannot be equated with a national ,standard'. A reasonable approach is to define the national standard of care as the level of care that ought to be delivered under conditions of appropriate and efficient referral in a national system. This standard is the minimum level of care that ought to be provided to a control group. There may be additional moral arguments for higher levels of care in some circumstances. This health system analysis may be helpful to researchers and ethics committees in designing and reviewing research involving standard care control groups in developing country research. [source]


Fashioned Forest Pasts, Occluded Histories?

DEVELOPMENT AND CHANGE, Issue 1 2000
International Environmental Analysis in West African Locales
This article considers how environmental problematics are produced and interpreted, using case material from West Africa's humid forest zone. Examing the experiences of several countries over the long term, it is possible to identify a deforestation discourse produced through national and international institutions. This represents forest and social history in particular ways that structure forest conservation but which obscure the experience and knowledge of resource users. Using fine-grained ethnography to explore how such discourse is experienced and interpreted in a particular locale, the article uncovers problems with ,discourse' perspectives which produce analytical dichotomies which confront state and villager, and scientific and ,local' knowledges. The authors explore the day-to-day encounters between villagers and administrators, and the social and historical experiences which condition these. Instances where the deforestation discourse becomes juxtaposed with villagers' alternative ideas about landscape history prove relatively few and insignificant, while the powerful material effects of the discourse tend to be interpreted locally within other frames. These findings present departures from the ways relations between citizen sciences and expert institutions have been conceived in recent work on the sociology of science and public policy. [source]


Spread and current potential distribution of an alien grass, Eragrostis lehmanniana Nees, in the southwestern USA: comparing historical data and ecological niche models

DIVERSITY AND DISTRIBUTIONS, Issue 5 2006
Heather Schussman
ABSTRACT The potential distribution of alien species in a novel habitat often is difficult to predict because factors limiting species distributions may be unique to the new locale. Eragrostis lehmanniana is a perennial grass purposely introduced from South Africa to Arizona, USA in the 1930s; by the 1980s, it had doubled its extent. Based on environmental characteristics associated with its introduced and native range, researchers believed that E. lehmanniana had reached the limits of its distribution by the early 1990s. We collected data on E. lehmanniana locations from various land management agencies throughout Arizona and western New Mexico and found new records that indicate that E. lehmanniana has continued to spread. Also, we employed two modelling techniques to determine the current potential distribution and to re-investigate several environmental variables related to distribution. Precipitation and temperature regimes similar to those indicated by past research were the most important variables influencing model output. The potential distribution of E. lehmanniana mapped by both models was 71,843 km2 and covers a large portion of southeastern and central Arizona. Logistic regression (LR) predicted a potential distribution of E. lehmanniana more similar to this species current distribution than GARP based on average temperature, precipitation, and grassland species composition and recorded occurrences. Results of a cross-validation assessment and extrinsic testing showed that the LR model performed as well or better than GARP based on sensitivity, specificity, and kappa indices. [source]


Challenging the Gaze: The Subject of Attention and a 1915 Montessori Demonstration Classroom

EDUCATIONAL THEORY, Issue 3 2004
Noah W. Sobe
The child's attention, how this attention is reasoned about, and how attention works as a surface for pedagogical intervention are central to understanding modern schooling. This article examines "attention" as an object of knowledge related to the organization and management of individuals. I address what we might learn about attention by studying one specific Montessori classroom, the glass-walled public demonstration set up at the 1915 San Francisco World's Fair. The pedagogy of attention on display and the spectatorship of the classroom provide an opportunity to rethink how power and subjectivity play in the formation of human attractions. I argue that thinking through Montessori offers important and relevant suggestions for present-day examinations of attention. The 1915 demonstration classroom can help us theorize the relation of attention to normalizing and governmentalizing practices. This specific study of how attention operates in one locale has implications for tactile learning theories and for the analytics of power to be used in studies of attention. [source]


Curling Iron-related Injuries Presenting to U.S. Emergency Departments

ACADEMIC EMERGENCY MEDICINE, Issue 4 2001
Khajista Qazi MD
Abstract. Objective: To describe curling iron-related injuries reported to the National Electronic Injury Surveillance System (NEISS) between January 1, 1992, and December 31, 1996. Methods: The authors retrospectively reviewed data from NEISS, a weighted probability sample of emergency departments (EDs) developed to monitor consumer product-related injuries. The information reported includes patient demographics, injury diagnosis, body part injured, incident locale, patient disposition, and a brief narrative description. The authors reviewed the narrative in the hair care products category and abstracted records indicating the injury was caused by contact with a curling iron. Also analyzed were the design features of commonly available curling irons purchased from national discount department stores. Results: There were an estimated 105,081 hair care product-related injuries in the five-year period, of which 82,151 (78%) involved a curling iron. Seventy percent of injuries were to females. The patient's median age was 8 years (range 1 month to 96 years). The most commonly occurring injury was thermal burns (97%; 79,912/82,151). Ninety-eight percent of the injuries occurred in the home and 99% of the patients were discharged home from the ED. In patients <4 years old, 56% of burns occurred by grabbing or touching, while in those ,10 years the burns occurred by contact while in use. In the older group 69% of burns were of the cornea. Most curling irons use small amounts of power, yet there are no standards for temperature settings or control. The cylinder containing the heating element is mostly exposed, and many irons do not have a power switch. Conclusions: The most common injury resulting from curling irons is thermal burns. The mechanisms and patterns of injury in developmentally distinct age groups suggest that many of these injuries could be prevented by public education and the re-engineering of curling irons. [source]


Yeast diversity sampling on the San Juan Islands reveals no evidence for the spread of the Vancouver Island Cryptococcus gattii outbreak to this locale

FEMS YEAST RESEARCH, Issue 4 2006
James A. Fraser
Abstract Biological diversity has been estimated for various phyla of life, such as insects and mammals, but in the microbe world is has been difficult to determine species richness and abundance. Here we describe a study of species diversity of fungi with a yeast-like colony morphology from the San Juan Islands, a group of islands that lies southeast of Vancouver Island, Canada. Our sampling revealed that the San Juan archipelago biosphere contains a diverse range of such fungi predominantly belonging to the Basidiomycota, particularly of the order Tremellales. One member of this group, Cryptococcus gattii, is the etiological agent of a current and ongoing outbreak of cryptococcosis on nearby Vancouver Island. Our sampling did not, however, reveal this species. While the lack of recovery of C. gattii does not preclude its presence on the San Juan Islands, our results suggest that the Strait of Juan de Fuca may be serving as a geographical barrier to restrict the dispersal of this primary human fungal pathogen into the United States. [source]


Persistence of a biocontrol strain of Phlebiopsis gigantea in conifer stumps and its effects on within-species genetic diversity

FOREST PATHOLOGY, Issue 5 2001
E. J. Vainio
Fungal isolations and genetic fingerprinting were used to determine whether Phlebiopsis gigantea stump treatment against Heterobasidion annosum sl. using a single genotype (Rotstop) would affect the genetic diversity of P. gigantea populations. The survival time of P. gigantea was longer in Norway spruce (Picea abies) stumps compared to Scots pine (Pinus sylvestris) as no isolates were obtained from pine stumps 6 years after treatment, whereas in about half of the spruce stumps the fungus was still present. The usage of Rotstop did not seem to increase the occurrence of the fungus 5 years after the treatment in fresh (1-year-old) untreated stumps within the same forest stands. All the isolates from the 6-year-old treated spruce stumps were identical in genotype with the Rotstop-strain, whereas all isolates from the fresh untreated spruce and pine stumps differed from it. Within the treated pine stand, the biocontrol usage seemed to have caused a slight reduction in genetic markers not related to Rotstop, but there were no statistically significant differences between the marker frequencies and the local natural population. Thus, Rotstop is not likely to cause any immediate threat to the genetic diversity of P. gigantea. Persistance dans les souches de conifères d'un génotype de Phlebiopsis gigantea utilisée en lutte biologique, et effets sur la diversité génétique de l'espèce L'isolement et l'empreinte génétique ont été utilisés pour savoir si le traitement de souches contre Heterobasidion annosum avec un seul génotype de Phlebiopsis gigantea (Rotstop) peut affecter la diversité génétique des populations de P. gigantea. La durée de survie de P. gigantea a été plus longue dans les souches de Picea abies que dans celles de Pinus sylvestris. Chez celles-ci, aucun isolat n'a été obtenu six ans après le traitement alors que chez environ la moitié des souches d'épicéa le champignon était encore présent. Dans les mêmes peuplements, cinq ans après l'application du Rotstop, l'incidence du champignon ne semblait pas avoir augmenté chez les souches fraîches non traitées, âgées de un an. Tous les isolats obtenus à partir des souches traitées six ans auparavant avaient le même génotype que l'isolat du Rotstop, alors que tous ceux issus de souches fraîches non traitées d'épicéa et de pin étaient différents. Chez le peuplement de pins, le traitement biologique semblait avoir causé une légère réduction des marqueurs génétiques non liés au Rotstop, mais leur fréquence n'était pas statistiquement différente de celle de la population naturelle locale. Ainsi, il apparaît peu probable que le Rotstop soit une menace immédiate pour la diversité génétique du P. gigantea. Persistenz eines Phlebiopsis gigantea -Isolates in Koniferenstümpfen und seine Auswirkungen auf die intraspezifische genetische Diversität Mit Isolierungen und genetischem Fingerprinting wurde untersucht, ob eine Stumpfbehandlung mit einem einzelnen Genotyp von Phlebiopsis gigantea (Rotstop) gegen Heterobasidion annosum sl. die genetische Diversität von P. gigantea -Populationen beeinträchtigen könnte. P. giganteaüberlebte auf Stümpfen von Picea abies länger als auf solchen von Pinus sylvestris. Auf Kiefernstümpfen konnte der Pilz sechs Jahre nach der Behandlung nicht mehr nachgewiesen werden, während er auf 50% der Fichtenstümpfe noch vorhanden war. Eine Rotstop-Anwendung 5 Jahre zuvor hatte offenbar keinen Einfluss auf das Vorkommen von P. gigantea in frischen (einjährigen) unbehandelten Stümpfen im gleichen Bestand. Alle Isolate von den sechs Jahre alten behandelten Fichtenstümpfen hatten den gleichen Genotyp wie das Rotstop-Isolat, während alle Isolate von den frischen (unbehandelten) Fichten-und Kiefernstümpfen anderen Genotypen angehörten. In dem behandelten Kiefernbestand war die Frequenz der nicht mit dem Rotstop-Isolat assoziierten genetischen Marker etwas verringert, der Unterschied zur lokalen natürlichen Population war aber statistisch nicht signifikant. Die Anwendung von Rotstop dürfte somit keine kurzfristige Bedrohung der genetischen Diversität von P. gigantea darstellen. [source]


The Modern Girl around the World: A Research Agenda and Preliminary Findings

GENDER & HISTORY, Issue 2 2005
Modern Girl Around the World Research Group
Our research collaboration examines how the Modern Girl emerged as a global phenomenon in the first half of the twentieth century. By wearing provocative fashions and pursuing romantic love, Modern Girls everywhere appeared to disregard the roles of dutiful daughter, wife and mother. We develop the Modern Girl as a heuristic category that allows new insights into forces of globalisation and manifestations of gendered modernity. Through a case study of cosmetics advertising in China, India, South Africa, Germany and the United States, we show that the Modern Girl in each locale was shaped through multidirectional citations of elements from elsewhere, through transnational processes of racialisation and through distinct articulations of nationalism. [source]


Compositional analysis of Yayoi-Heian period ceramics from Okinawa: Examining the potential for provenance study

GEOARCHAEOLOGY: AN INTERNATIONAL JOURNAL, Issue 8 2006
Scott M. Fitzpatrick
In Okinawa, locally produced pottery dates back to the Initial Jomon period (,6500 14C yr B.P.). Later in time, especially during the Early Yayoi-Heian period (,300 B.C.,A.D. 300), ceramic assemblages appear to contain mainland (Japan) Yayoi pottery. A greater number of these sherds present in Okinawa over time coincide with an increasing amount of interaction with mainland Japan, as evidenced by other exchange items. In this preliminary study, the authors analyzed sherds from several Early Yayoi-Heian period deposits from sites in Okinawa using thin-section petrography and laser ablation inductively coupled plasma mass spectrometry (LA-ICP-MS). The objective was to examine the applicability of these techniques for Okinawan ceramic provenance studies, assess intra- and intersite variation in mineralogical and chemical composition, and determine whether some sites exhibited a higher frequency of pottery from one locale versus another that might suggest the importation of pottery from mainland Japan. Results are equivocal, suggesting that the region's geological complexity may inhibit successful provenance study of ceramics using these and possibly other compositional techniques. © 2006 Wiley Periodicals, Inc. [source]


Paleoecology and geochronology of glacial Lake Hind during the Pleistocene,Holocene transition: A context for Folsom surface finds on the Canadian Prairies

GEOARCHAEOLOGY: AN INTERNATIONAL JOURNAL, Issue 6 2003
Matthew Boyd
Stratigraphic and paleoecologic (palynomorph, macrobotanical) data obtained from a cutbank of the Souris River in southwestern Manitoba establish some fundamental parameters of Folsom land-use in association with a proglacial lake on the Canadian Prairies. By dating the regression of glacial Lake Hind, we observed that recorded Folsom sites are restricted to areas of the Hind basin drained shortly before 10,400 yr B.P. This pattern may therefore record the interception of seasonal resources on recently-drained proglacial lake surfaces. Based on paleovegetation reconstructions, we note that these surfaces were rapidly colonized by emergent and aquatic vegetation following regression, generating a viable resource base for Folsom hunter-gatherers. However, low plant productivity and diversity may have greatly limited the extent to which this locale was exploited, in contrast to nonperiglacial regions on the Plains. We also suggest that wetland plant succession during the Pleistocene-Holocene transition was due, at least locally, to climate-forced fluctuations in groundwater levels. © 2003 Wiley Periodicals, Inc. [source]


Early Holocene Paleoindian deposits at Nall Playa, Oklahoma Panhandle, U.S.A.

GEOARCHAEOLOGY: AN INTERNATIONAL JOURNAL, Issue 1 2003
Jason M. LaBelle
Fieldwork conducted at the Nall North locale and the adjacent playa documents buried Paleoindian deposits and a stratigraphic sequence dating back to the late Pleistocene. Cultural debris recovered from the surface of Nall North includes bone, tools, and lithic flake debris. Two buried paleosols at the locale date to the early Holocene and hold high potential for Paleoindian materials. The Baker paleosol, a stabilized surface above the shoreline of the adjacent playa lake, dated between ca. 6870 and 7740 yr B.P., contains a rich cultural component of tools, flakes, and bone, and represents a potential surface for Angostura and Allen/Frederick artifacts. Located below the Baker soil is the Nall soil (dated to ca. 9650 yr B.P.) that probably represents a marsh facies of the playa fill. The Nall soil represents a potential surface for Plainview/Goshen-age artifacts, although excavations thus far have recovered no cultural debris. In the playa adjacent to the Nall North locality, a sequence dating between ca. 12,960 and 5310 yr B.P. documents localized spring flow into the playa during the late Pleistocene, followed by several thousand years of playa muds during the early Holocene, and the eventual drying of the playa in the middle Holocene. © 2003 Wiley Periodicals, Inc. [source]


Sentinel node biopsy and head and neck tumors,Where do we stand today?

HEAD & NECK: JOURNAL FOR THE SCIENCES & SPECIALTIES OF THE HEAD AND NECK, Issue 12 2006
FCAP, Kenneth O. Devaney MD
Abstract Background. Sentinel lymph node sampling may be studied profitably in series of patients with 1 tumor type, such as breast carcinoma, in 1 anatomic locale. The present work analyzes the efficacy of sentinel node sampling in a pathologically diverse group of lesions from an anatomically diverse region such as the head and neck; however, there are risks conflating the findings in different tumors with radically different behaviors, in the process producing muddled data. This report reviews the head and neck experience with sentinel sampling and concludes that certain tumor types that have a known propensity for aggressive behavior are the best candidates for trials employing sentinel node sampling; candidates include many cutaneous melanomas of the head and neck, oropharyngeal squamous carcinomas, and selected thyroid carcinomas. Despite the growing popularity of sentinel node sampling in a variety of regions of the body, however, at this juncture this technique remains an investigational procedure, pending demonstration of a tangible improvement in patient outcome through its use. It is recommended that studies of the efficacy of this technique strive, whenever possible, to segregate results of different tumor types in different head and neck locales from one another so as to produce more focused findings for discrete types of malignancies, and not group together tumor types that may in reality exhibit different biological behaviors. © 2006 Wiley Periodicals, Inc. Head Neck, 2006 [source]


Suspended-sediment sources in an urban watershed, Northeast Branch Anacostia River, Maryland

HYDROLOGICAL PROCESSES, Issue 11 2010
Olivia H. Devereux
Abstract Fine sediment sources were characterized by chemical composition in an urban watershed, the Northeast Branch Anacostia River, which drains to the Chesapeake Bay. Concentrations of 63 elements and two radionuclides were measured in possible land-based sediment sources and suspended sediment collected from the water column at the watershed outlet during storm events. These tracer concentrations were used to determine the relative quantity of suspended sediment contributed by each source. Although this is an urbanized watershed, there was not a distinct urban signature that can be evaluated except for the contributions from road surfaces. We identified the sources of fine sediment by both physiographic province (Piedmont and Coastal Plain) and source locale (streambanks, upland and street residue) by using different sets of elemental tracers. The Piedmont contributed the majority of the fine sediment for seven of the eight measured storms. The streambanks contributed the greatest quantity of fine sediment when evaluated by source locale. Street residue contributed 13% of the total suspended sediment on average and was the source most concentrated in anthropogenically enriched elements. Combining results from the source locale and physiographic province analyses, most fine sediment in the Northeast Branch watershed is derived from streambanks that contain sediment eroded from the Piedmont physiographic province of the watershed. Sediment fingerprinting analyses are most useful when longer term evaluations of sediment erosion and storage are also available from streambank-erosion measurements, sediment budget and other methods. Copyright © 2010 John Wiley & Sons, Ltd. [source]


Local Governance as Government,Business Cooperation in Western Democracies: Analysing Local and Intergovernmental Effects by Multi-Level Comparison

INTERNATIONAL JOURNAL OF URBAN AND REGIONAL RESEARCH, Issue 3 2008
CLEMENTE J. NAVARRO YÁÑEZ
Abstract The internationalization of economics and politics has forced local governments to develop new context-appropriate strategies; these strategies, characterized by a greater degree of interaction with non-governmental key actors and with the business world in particular, have been termed local or urban governance. This article is intended to illustrate the impact of three factors , local leadership, local political arenas and intergovernmental relationships , on the formation of cooperative networks between local governments and business organizations as one of the basic types of urban governance model. To achieve this, a comparative multi-level analysis presenting the CEO's perpective on such issues was conducted. The results show how local and intergovernmental opportunity costs and leadership are the factors that largely determine the degree of collaboration between local government and business. Résumé L'internationalisation de l'économie et de la politique a forcé les gouvernements locaux àélaborer de nouvelles stratégies en fonction des contextes ; caractérisées par une interaction plus forte avec des acteurs-clés non gouvernementaux et avec le monde de l'entreprise en particulier, ces stratégies ont reçu l'appellation de gouvernance locale ou urbaine. L'impact de trois facteurs , autorité locale, arènes politiques locales et relations intergouvernementales , sur la formation des réseaux de coopération entre gouvernements locaux et entreprises est présenté comme l'un des types essentiels de modèle de gouvernance urbaine. Pour ce faire, une analyse comparative multi-niveaux a été menée sur la vision des directions générales d'entreprises concernant ces questions. Les résultats montrent la manière dont les autorités et les coûts d'opportunité locaux et intergouvernementaux déterminent en grande partie le degré de collaboration entre les gouvernements locaux et le monde des affaires. [source]


Mumbai's Development Mafias: Globalization, Organized Crime and Land Development

INTERNATIONAL JOURNAL OF URBAN AND REGIONAL RESEARCH, Issue 1 2008
LIZA WEINSTEIN
Abstract For over a decade, researchers have analyzed the effects of liberalization and globalization on urban development, considering the local political implications of shifts at the national and global scales. Taking the case of Mumbai, this article examines how the past 15 years of political reforms in India have reshaped property markets and the politics of land development. Among the newly empowered actors, local criminal syndicates, often with global connections, have seized political opportunities created by these shifts to gain influence over land development. The rise of Mumbai's organized criminal activity in the 1950s was closely linked to India's macroeconomic policies, with strict regulation of imports fuelling the growth of black market smuggling. Liberalization and deregulation since the early 1990s have diminished demand for smuggled consumer goods and criminal syndicates have since diversified their operations. With skyrocketing real estate prices in the 1990s, bolstered by global land speculation, the mafia began investing in property development. Supported by an illicit nexus of politicians, bureaucrats and the police, the mafia has emerged as a central figure in Mumbai's land development politics. The article examines the structural shifts that facilitated the criminalization of land development and the implications of mafia involvement in local politics. Résumé Depuis plus d'une décennie, les chercheurs ont analysé les effets de la libéralisation et de la mondialisation sur l'aménagement urbain en étudiant les implications politiques locales de transformations effectuées à l'échelle nationale et planétaire. Prenant le cas de Mumbai, cet article examine comment les réformes politiques des quinze dernières années en Inde ont reconfiguré les marchés immobiliers et les politiques d'aménagement foncier. Parmi les nouveaux acteurs, les syndicats du crime locaux, opérant souvent dans des réseaux internationaux, ont saisi les occasions politiques créées par ces changements pour gagner en influence sur l'aménagement foncier. A Mumbai, l'activité accrue du crime organisé dans les années 1950 était étroitement liée aux politiques macroéconomiques de l'Inde, une réglementation stricte des importations alimentant l'essor de la contrebande sur le marché noir. Depuis le début des années 1990, libéralisation et déréglementation ont réduit la demande pour les biens de consommation de contrebande, poussant les syndicats du crime à diversifier leurs opérations. Face à la montée en flèche des prix de l'immobilier dans les années 1990, aidée par la spéculation foncière mondiale, la mafia a investi dans la promotion immobilière. Soutenue par un réseau illégal de politiciens, bureaucrates et policiers, elle est donc devenue un personnage central des politiques d'urbanisme à Mumbai. L'article étudie les transformations structurelles qui ont facilité la criminalisation du secteur foncier, et les implications de la présence de la mafia dans la politique locale. [source]


The Interface of Globalization and Peripheral Land in the Cities of the South: Implications for Urban Governance and Local Economic Development

INTERNATIONAL JOURNAL OF URBAN AND REGIONAL RESEARCH, Issue 2 2007
RAMIN KEIVANI
Abstract This essay examines the impact of globalization on land peripheral to large cities of the south. It identifies such land as providing major arenas for contested claims between the requirements of international firms and those of local inhabitants and businesses, entailing both threats and opportunities in terms of local economic development. Much depends on the urban governance and institutional processes surrounding the use and allocation of land that are themselves directly influenced by the globalization process. In many cities national, state or provincial governments have set up special parastatal organizations with substantial funding and significant decision-making powers over infrastructure development and land use to facilitate the rebirth of their cities as havens for international investment. In the process local municipalities and the local population are often excluded from the decision-making process, while being left to cope with the aftermath and maintenance of the grand projects. The essay identifies weaknesses in elite governance models usually centred at the state or national levels, and asks if a better alternative may be a local government-led ,inclusive leadership' model capable of clear leadership, greater coordination of different governance layers and inclusion of local actors. Résumé Cet essai étudie l'impact de la mondialisation sur les terrains situés à la périphérie des grandes villes du Sud. Il identifie ces terrains comme des scènes majeures de contradiction entre les besoins des multinationales et les revendications des entreprises et habitants locaux, ce qui créent à la fois menaces et opportunités en termes d'expansion économique locale. Le résultat dépend largement des processus institutionnels et de gouvernance urbaine qui entourent l'utilisation et l'affectation des terrains, processus eux-mêmes directement influencés par la mondialisation. Dans de nombreuses villes, les organes de gouvernement nationaux, étatiques ou provinciaux ont créé des entités para-étatiques spécialisées, dotées de fonds et de pouvoirs décisionnels considérables en matière d'aménagement des infrastructures et d'occupation des sols, afin de réinstaurer leur ville en terre d'accueil de l'investissement international. Or, les municipalités et populations locales sont souvent exclues du processus de décision alors qu'on les laisse assumer les conséquences et la maintenance des grands projets. L'article repère les faiblesses des modèles de gouvernance par les élites, généralement centrés aux niveaux de l'Etat ou de la nation, et se demande si un modèle de ,leadership inclusif' sous la houlette du gouvernement ne serait pas une meilleure alternative, permettant un leadership clair, une meilleure coordination des différentes strates de gouvernance et l'intégration des acteurs locaux. [source]


Cultural Districts, Property Rights and Sustainable Economic Growth

INTERNATIONAL JOURNAL OF URBAN AND REGIONAL RESEARCH, Issue 1 2002
Walter Santagata
The purpose of this article is to analyse the economic properties as well as the institutions governing the start-up and evolution of cultural districts. The first part of the article reviews the relationships between culture, viewed as an idiosyncratic good, and the theory of industrial districts. The second part comprises a critical discussion of four models of cultural districts: the industrial cultural district (mainly based on positive externalities, localized culture and traditions in ,arts and crafts'); the institutional cultural district (chiefly relying on the assignment of property rights); the museums cultural district (based on network externalities and the search for optimal size); and the metropolitan cultural district (based on communication technologies, performing arts and electronic trade). The assignment of intellectual property rights to local idiosyncratic cultural goods seems to be the most significant way to differentiate among cultural districts. The final section discusses a possible convergence of all district models towards the institutional district, based on the creation of a system of property rights as a means to protect localized production. Cet article tente d'analyser les propriétés économiques et les institutions qui régissent la création et l'évolution de districts culturels. La première partie étudie les relations entre la culture , vue comme un bien idiosyncrasique , et la théorie des districts industriels. La deuxième partie est un débat critique sur quatre modèles de districts culturels: le district culturel industriel (basé essentiellement sur des externalités positives, des cultures et traditions artisanales locales), le district culturel institutionnel (s'appuyant principalement sur l'attribution de droits de propriété), le district culturel des musées (fondé sur des effets d'entraînement en réseau et la recherche d'une taille optimale), et le district culturel métropolitain (basé sur les technologies de communication, des représentations artistiques et le commerce électronique). L'attribution de droits de propriété intellectuelle sur des biens culturels idiosyncrasiques locaux semble être la meilleure manière de différencier les districts culturels. La dernière partie de l'article examine une convergence possible de tous les modèles de district vers le district institutionnel, en s'appuyant sur la création d'un système de droits de propriété comme moyen de protection d'une production locale. [source]


Cultural production, place and politics on the South Bank of the Thames

INTERNATIONAL JOURNAL OF URBAN AND REGIONAL RESEARCH, Issue 1 2000
Peter Newman
The past decade has seen an increasing interest in the cultural economies of cities by public bodies keen to address issues of urban decline. This article documents recent developments on the South Bank of the Thames in central London where cultural investments appear to be clustered and where attempts have been made to give spatial and policy coherence to a range of new development projects. The local authority promotes the South Bank as London's new cultural quarter. However, this strategy is an opportunist and image-based response to dominant property speculation interests. The management of cultural production in this part of London reveals limits to local coalition building and the limited influence of local strategies on the development process. The article questions whether the cultural quarter is an appropriate scale for managing the development of cultural industries as a motor for economic development in particular. Depuis une dizaine d'années, les autorités publiques qui s'occupent du déclin urbain s'intéressent de plus en plus à la dimension économique de la culture dans les villes. Cet article présente ce qui s'est passé sur la rive sud de la Tamise au centre de Londres où une tentative a été faite pour donner une cohérence spatiale à une série de nouveaux projets. L'autorité locale vend la South Bank comme un nouveau centre culturel. Cependant, cette stratégie constitue une réponse opportuniste en termes d'image aux intérêts immobiliers spéculatifs dominants. La gestion de la production culturelle dans ce quartier de Londres révèle les limites de la construction de la coalition locale et l'influence limitée des stratégies locales dans les processus de développement. Les auteurs de l'article se demandent si le quartier culturel est une échelle appropriée pour la gestion du développement des industries culturelles comme centre moteur du développement économique en particulier. [source]


International Labour Migrants' Return to Meiji-era Yamaguchi and Hiroshima: Economic and Social Effects

INTERNATIONAL MIGRATION, Issue 3 2008
Jonathan Dresner
International labour migration from Meiji era (1868,1912) Japan was intensely concentrated: over 60 per cent of the 29,000 participants in the government-managed Hawai'i emigration programme (kan'yaku imin, 1885,1894) came from seven coastal counties around the Hiroshima-Yamaguchi prefectural border in southwest Japan. Almost half of the emigrants became long-term settlers instead of returning to their hometowns, but this paper examines what happened to returning emigrants and to their home communities. Since the migration was primarily economic in nature, the effect of migrant earnings was carefully monitored and is frequently cited by scholars. Surveys showed high rates of debt repayment and savings, and improved living conditions, but investment and entrepreneurship were limited. High-emigration regions rarely became economic centers of any importance. Less carefully studied are non-economic effects, partially because the labour programme was structured to minimize contact with Hawaiian or Caucasian culture, and thus returnees had little cultural experience to transfer to their hometowns. Local officials in Yamaguchi seemed proud of the lack of social change. Even long-term sojourners, who returned due to family needs after a decade or more overseas, exhibited no readjustment difficulties. Returnees, particularly in Yamaguchi, sometimes moved on to Japanese colonial territories, creating multilateral and complex relationships with overseas communities. This sojourning migration, like contemporary analogs, was a powerful form of poverty relief in the midst of dislocating globalization, but did not produce a rise in entrepreneurship or a Westernization of local culture. Because this sojourning migration was structurally similar to our modern-day patterns, it provides evidence of the longevity of those patterns and the possible long-term effects, and raises questions about our expectations for migration policy. Retour des travailleurs migrants internationaux de l'ère Meiji à Yamaguchi et Hiroshima: effets économiques et sociaux Au Japon, la migration internationale de main-d',uvre de l'ère Meiji (1868,1912) a été très concentrée: plus de soixante pour cent des 29 000 participants au programme gouvernemental d'émigration à destination d'Hawaï (kan'yaku imin, 1885-1894) venaient de sept régions côtières proches de la limite entre les préfectures d'Hiroshima et de Yamaguchi dans le Sud-Ouest du Japon. Sachant que la moitié des émigrants sont devenus des résidents de longue durée et ne sont pas rentrés dans leur communauté d'origine, le présent document s'intéresse à ceux qui ont fait le choix inverse. Etant donné que cette migration était principalement de nature économique, les effets des gains des migrants ont étéétudiés avec attention et sont souvent cités par les chercheurs. Si des enquêtes ont révélé des taux importants de remboursement de dettes et d'épargne, ainsi qu'un niveau de vie en hausse, les investissements et la création d'entreprises, en revanche, sont restés limités. On a rarement vu des régions à fort taux d'émigration devenir des centres économiques d'importance. Les effets non économiques ont été moins étudiés, en partie parce que ce programme de main-d',uvre était structuré de façon à réduire le plus possible les contacts avec la culture hawaïenne ou caucasienne, ce qui fait que les rapatriés n'avaient guère d'acquis culturels exogènes à transmettre. Les responsables locaux de Yamaguchi semblaient d'ailleurs se réjouir de l'absence de changements sociaux. Même les résidents de longue durée, qui étaient rentrés pour raisons familiales au bout d'au moins une décennie à l'étranger, ne montraient aucune difficultéà se réadapter. Les rapatriés, en particulier à Yamaguchi, ont parfois déménagé vers les territoires coloniaux japonais, créant des relations multilatérales complexes avec les communautés de l'outre-mer. Cette migration temporaire, comme les mouvements analogues à la même époque, était une formidable façon de réduire la pauvreté dans un contexte de bouleversement mondial, mais elle n'a pas renforcé l'esprit d'entreprise ni conduit à une occidentalisation de la culture locale. Comme cette migration temporaire était structurellement semblable à nos modèles contemporains, elle témoigne de la longue durée de vie de ces modèles et de leurs effets possibles à long terme, et soulève des questions quant à nos attentes en matière de politique migratoire. Retorno a los trabajadores migrantes internacionales a la era Meiji en Yamaguchi e Hiroshima: Efectos socioeconómicos La migración laboral internacional en la era Meiji del Japón (1868,1912) era sumamente concentrada: más del 60 por ciento de los 29.000 participantes en el programa de emigración Hawai'i (kan'yaku imin, 1885-1894) administrado por el Gobierno, provenía de varios condados costeros en torno a la frontera prefectural entre Hiroshima-Yamaguchi en el sudeste del Japón. Casi la mitad de los emigrantes residía en albergues semipermanentes y no retornaban a sus lugares de origen. Ahora bien, en este artículo se examina lo ocurrido con los migrantes que retornaron y con las comunidades de retorno. Habida cuenta que la migración era mayormente de carácter económico, el efecto de los ingresos de los migrantes se siguió de cerca y, frecuentemente, ha sido citado por los estudiosos en la materia. Las encuestas demuestran elevadas tasas de reembolso de deudas y de ahorro, así como un mejoramiento de las condiciones de vida, pero también apuntan a limitadas inversiones o empresas. Las regiones de alta emigración rara vez se convirtieron en centros de importancia económica. No se ha estudiado en detalle los efectos extra económicos, en parte porque el programa de migración laboral estaba estructurado para minimizar el contacto con la cultura hawaiana o caucasiana, por lo cual las personas que retornaban tenían poca experiencia cultural que aportar a sus lugares de origen. Los funcionarios locales en Yamaguchi se enorgullecían de la falta de intercambio social. Incluso aquéllos residentes de larga duración que retornaron debido a cuestiones familiares tras una década o más en ultramar, no presentaron ninguna dificultad en readaptarse. Las personas que retornaron, particularmente a Yamaguchi, se desplazaron a veces a territorios coloniales japoneses, estableciendo complejas relaciones multilaterales con comunidades en ultramar. La migración de carácter permanente, al igual que sus análogos contemporáneos, era un sólido medio de aliviar la pobreza en medio de una globalización perturbadora, pero no dio lugar a un incremento empresarial o a una occidentalización de la cultura local. La similitud estructural de la migración de larga duración con nuestros patrones de hoy en día, aporta pruebas de la longevidad de los mismos, de los posibles efectos a largo plazo de dichos patrones y plantea una serie de preguntas sobre las expectativas en cuanto a las políticas migratorias. [source]


Disclosure Control of Business Microdata: A Density-Based Approach

INTERNATIONAL STATISTICAL REVIEW, Issue 2 2009
Daniela Ichim
Summary For continuous key variables, a measure of the individual risk of disclosure is proposed. This risk measure, the local outlier factor, estimates the density around a unit. A selective masking method based on the nearest-neighbour principle and microaggregation is also introduced. Some results of an application to the Italian sample of the Community Innovation Survey are presented. Résumé Pour les clefs d'identification continues, une mesure du risque individuel de réidentification est proposée. Cette mesure, le facteur de donnée aberrante locale, estime la densité autour d'une unité. Une méthode de protection sélective, basée sur le principe des plus proches unités et sur la micro-agrégation, est également introduite. Des résultats de l'application à l'anonymisation de fichier de données individuelles provenant de l'échantillon italien de l'enquête « Community Innovation » sont presentés. [source]


Cordia millenii: on the risk of local extinction?

AFRICAN JOURNAL OF ECOLOGY, Issue 3 2009
Fred Babweteera
Abstract Selective logging of valuable tropical timber trees is a conservation concern because it threatens the long-term sustainability of forests. However, there is insufficient information regarding the postlogging recovery of harvested species. Here, I assessed the seed dispersal patterns, recruitment and abundance of Cordia millenii, a valuable timber tree in two Ugandan tropical rain forests that have been subjected to varying disturbance regimes. The aim was to determine the vulnerability of Cordia in these forests. The rate of seed dispersal was lower in the heavily disturbed Mabira Forest compared with the less disturbed Budongo Forest. Frugivores in Mabira were small-bodied individuals that spat seeds beneath fruiting trees, whereas 90% of the fruit in Budongo was consumed by large-bodied chimpanzees that disperse seeds over long distances. Juveniles of Cordia were not found in the closed forest, although they were found in forest gaps in Budongo but not Mabira. Mature tree density was higher in Budongo compared with Mabira. Lack of effective seed dispersal coupled with the inability of seedlings of Cordia to establish under closed canopy account for the arrested recruitment in Mabira. Enrichment planting in felling gaps is necessary to avoid local extinction of Cordia in forests without large vertebrates. Résumé L'abattage sélectif des espèces précieuses d'arbres tropicaux inquiète le milieu de la conservation parce qu'il menace la durabilité des forêts à long terme. Cependant, il n'y a pas assez d'informations au sujet de la restauration des espèces prélevées après l'abattage. Ici, j'ai évalué les schémas de dispersion des semences, le recrutement et l'abondance de Cordia millenii, une espèce d'arbre prisée, dans deux forêts tropicales pluviales d'Ouganda qui ont été soumises à des régimes de perturbation variables. Le but était de déterminer la vulnérabilité de Cordia dans ces forêts. Le taux de dispersion des graines était plus faible dans la forêt très perturbée de Mabira que dans la forêt de Budongo, moins dérangée. Les frugivores de Mabira étaient des individus de petite taille qui recrachaient les graines sous les arbres producteurs des fruits alors que 90% des fruits de Budongo étaient consommés par des chimpanzés qui peuvent disperser les semences sur le longues distances. On n'a pas trouvé de juvénile de Cordia dans la forêt fermée; on en trouvait dans des clairières dans la forêt de Budongo, mais pas dans celle de Mabira. La densité des arbres matures était plus haute à Budongo qu'à Mabira. Le manque de dispersion efficace des graines, coupléà l'incapacité des semences de Cordia de s'établir sous une canopée fermée, intervient dans l'arrêt du recrutement à Mabira. Il est nécessaire de pratiquer un enrichissement des plantations dans les clairières déboisées pour éviter l'extinction locale des Cordia dans les forêts qui n'abritent pas de grands vertébrés. [source]


The presence of local and circulating autoreactive B cells in patients with advanced periodontitis

JOURNAL OF CLINICAL PERIODONTOLOGY, Issue 4 2002
Tord Berglundh
Abstract Aim: The aim of the present investigation was to study the local (gingival) and systemic occurrence of autoreactive B cells (CD5+CD19 positive) in subjects with a high or low susceptibility to periodontitis. Material and Methods: 2 groups of subjects (Group A and B) susceptible to periodontitis were included. Group A consisted of 22 adult patients (7 females and 15 males, aged 24,66 years) with advanced and generalized chronic periodontitis and group B comprised 7 children (4 girls and 3 boys aged 9,13 years) with localized aggressive periodontitis. 26 periodontally healthy subjects, Group C (aged 23,80 years, mean 49.6±16.3), were also recruited. Assessment of clinical and radiographical characteristics of periodontal disease was performed. Gingival biopsies and peripheral blood samples were obtained and prepared for immunohistochemical analysis. Blood samples only were obtained from the periodontally healthy subjects (group C). Results: The proportion of autoreactive B cells (CD5+CD19 positive) of peripheral blood lymphocytes was about 6 times higher in group A and 4 times higher in group B than in the samples from the control subjects (group C). About 40,50% of the B cells in the peripheral blood of the periodontitis susceptible individuals expressed markers for autoreactive features while less than 15% of the circulating B cells in the subjects of group C exhibited such markers. The periodontitis lesion in the adult periodontitis patients contained a substantial number of B cells out of which about 30% demonstrated autoreactive features. Conclusion: It is suggested that both circulating and local B cells in periodontitis susceptible individuals have a higher propensity to autoreactive properties than B cells of patients with a low susceptibility to periodontitis. Zusammenfassung Zielsetzungen: Untersuchung des lokalen (in der Gingiva) und systemischen Vorkommens autoreaktiver B-Zellen (CD5 und CD19 positiv) bei Individuen mit hoher und niedriger Anfälligkeit für Parodontitis. Material und Methoden: 2 Gruppen von Personen, die anfällig für Parodontitis waren, nahmen an der Studie teil: Gruppe A: 22 erwachsenen Patienten (im Alter von 24,66 Jahren; 7 weiblich) mit fortgeschrittener generalisierter chronischer Parodontitis; Gruppe B: 7 Kinder (9,13 Jahre; 4 Mädchen) mit lokalisierter aggressiver Parodontitis. Zusätzlich wurden 26 parodontal gesunde Personen (23,80 Jahre) untersucht. Klinische und röntgenologische parodontale Parameter wurden erhoben. In den Gruppen A und B, wurden Gingivabiopsien und periphere Blutproben, in Gruppe C nur Blutproben entnommen. Ergebnisse: Der Anteil autoreaktiver B-Zellen an den Lymphozyten im peripheren Blut war etwa 6 mal höher in gruppe A und 4 mal höher in Gruppe B als in Proben der Kontrollgruppe (Gruppe C). Etwa 40,50% der B-Zellen im peripheren Blut der für Parodontitis anfälligen Patienten exprimierten Marker für autoreaktive Eigenschaften während weniger als 15% der zirkulierenden B-Zellen der Individuen aus Gruppe C solche Marker aufwiesen. Die parodontalen Läsionen der erwachsenen Parodontitispatienten enthielten eine hohe Zahl von B-Zellen, von denen etwa 30% autoreaktive Eigenschaften aufwiesen. Schlussfolgerungen: Sowhol lokale als auch zirkulierende B-Zellen von für Parodontitis anfälligen Patienten zeigen mit größerer Häufigkeit autoreaktive Eigenschaften als die B-Zellen von Patienten mit geringer Parodontitisanfälligkeit. Résumé But: Le but de cette recherche était d'étudier la présence locale (gingivale) et systémique de cellules B auto réactives (CD5+CD19 positives) chez des sujets présentant une forte ou une faible susceptibilitéà la parodontite. Matériaux et méthodes: 2 groupes de sujet (A et B) susceptible à la parodontite furent inclus. Le groupe A était constitué de 22 patients adultes (7 femmes et 15 hommes âgés de 24 a 66 ans) présentant une parodontite chronique avancée et généralisée et le groupe B était constitué de 7 enfants (4 filles et 3 garçons ages de 9 à 13 ans) présentant une pardontite agressive localisée. 26 sujets sains d'un point de vue parodontal (groupe C, âgés de 23 à 80 ans, age moyen 49.6±16.3) furent également recrutés. L'observation des caractéristiques cliniques et radiographiques de la maladie parodontale fut réalisée. Des biopsies gingivales et des échantillons sanguins furent prélevées et préparées pour des analyses immunohistochemiques. Seuls des prélèvements sanguins furent pris sur le groupe des patients sains. Résultats: La proportion de cellules B auto réactives (CD5+CD19 positives) des lymphocytes du sang périphérique était 6× plus élevée dans le groupe A et 4× plus élevée dans le groupe B que chez les sujets contrôles du groupe C. Environ 40 a 50% des cellules B du sang périphérique des individus susceptibles à la parodontite exprimaient des marqueurs pour des caractéristiques auto réactives alors que moins de 15% des cellules B circulantes des sujets du groupe C présentaient de tels marqueurs. La lésion parodontale de patients atteints de parodontite de l'adulte contenait un nombre substantiel de cellule B parmi lesquels environ 30% présentaient des caractéristiques auto réactives. Conclusions: Cela suggère que les cellules B locales et circulantes des individus susceptibles à la maladie parodontale aient une puls grande propension aux propriétés auto réactives que les cellules B des patients ayant une susceptibilité faible à la parodontite. [source]


Demographic aspects of sympatric Praomys jacksoni and P. stella in a tropical lowland forest in Kakamega, Kenya

AFRICAN JOURNAL OF ECOLOGY, Issue 2 2004
Catherine W. Waweru
Abstract Populations of coexisting tropical forest rodents Praomys jacksoni and P. (Hylomyscus) stella were investigated to test whether lower relative densities in regenerating forest compared with mature forest were because of poor health and/or reduced chances for females to breed. Relative frequencies, litter size, mass, length of embryos, presence or absence of ecto- and/ or endoparasites, and liver condition were recorded and analysed. Higher numbers of either species occurred in the mature compared with regenerating forest. Mottled livers and endoparasites were associated with heavier rodents; litter size related positively to mass of pregnant females in both species. Litter size, embryo size, sex ratios, liver condition, and infestation of ecto- and endoparasites were independent of forest and species. Apparently, reduced female density in regenerating forest had no breeding cost on individual females occurring there. Résumé Les populations de rongeurs coexistants en forêt tropicale Praomys jacksoni et P. (Hylomyscus) stella ont étéétudiées pour vérifier si les densités relatives, plus faibles dans les forêts en voie de régénération que dans les forêts mâtures, étaient dues à une moins bonne santé et/ou à de plus faibles chances de se reproduire pour les femelles. On a noté et analysé les fréquences relatives, la taille des portées, le poids, la taille des embryons, la présence ou l'absence d'ecto- et/ou d'endoparasites et l'état du foie. On a constaté des nombres plus importants des deux espèces dans les forêts mâtures que dans les forêts en voie de règénération. Des foies tachetés et des endoparasites étaient associés à des rongeurs plus lourds; la taille des portées était positivement liée au poids des femelles pleines dans les deux espèces. La taille de la portée, le poids des petits, le sex-ratio, l'état du foie et l,infestation par des ecto- et endoparasites étaient indépendants de la forêt et de l'espèce. Apparemment, la densité réduite des femelles dans la forêt en voie de régénération n'avait aucun impact sur la reproduction locale des femelles prises individuellement. [source]


Prevalence and Severity of Dental Caries in Adolescents Aged 12 and 15 Living in Communities with Various Fluoride Concentrations

JOURNAL OF PUBLIC HEALTH DENTISTRY, Issue 1 2007
América Patricia Pontigo-Loyola DrO
Abstract Objectives: To determine the experience, prevalence, and severity of dental caries in adolescents naturally exposed to various fluoride concentrations. Methods: A cross-sectional census was conducted on 1,538 adolescents aged 12 and 15 years living at high altitude above sea level (>2,000 m or >6,560 ft) in above-optimal fluoridated communities (levels ranging from 1.38 to 3.07 ppm) of Hidalgo, Mexico. Sociodemographic and socioeconomic data were collected using questionnaires. Two previously trained and standardized examiners performed the dental exams. Results: Caries prevalence was 48.6 percent and mean of decay, missing, and filling teeth (DMFT) for the whole population was 1.15 ± 1.17. In terms of severity, 9.6 percent of the adolescents had DMFT , 4, and 1.7 percent had ,7. The significant caries index (SiC) was 2.41 in the group of 12-year-olds, and 3.46 in the 15-year-olds. Higher experience and prevalence were observed in girls, in children with dental visit in the past year, those in the wealthiest socioeconomic status (SES) (quartiles 2, 3, and 4), those whose locale of residence is in San Marcos and Tula Centro, and in fluorosis-free children and those with moderate/severe fluorosis. In an analysis of caries severity (DMFT , 4), both adolescents with very mild/mild and moderate/severe dental fluorosis have higher caries severity. Conclusions: The results indicated that caries experience, prevalence, and severity as well as SiC index among 12- and 15-year-old adolescents were relatively low. Sociodemographic and socioeconomic variables commonly associated with dental caries were also observed in Mexican adolescents. Unlike other studies, we found that caries increased with higher SES. Fluoride exposure (measured through fluorosis presence) does not appear to be reducing the caries prevalence (DMFT > 0) or caries severity (DMFT , 4) in these high-altitude communities. [source]


The importance of local-scale openness within regions dominated by closed woodland,

JOURNAL OF QUATERNARY SCIENCE, Issue 6 2007
Ralph Fyfe
Abstract New and existing pollen data from Wales, UK, are used to assess the level of landscape openness at the regional and local scale. At the regional scale, the existing pollen data support the high-forest model of vegetation structure by 6000 cal. yr. BC prior to any palynological signal for anthropogenic impact in the region. New data from two sites in southwest Wales follow the general regional pattern of early to middle Holocene vegetation succession, but are striking owing to maintenance of high non-arboreal pollen percentages (NAPs) throughout the mid-Holocene. It is argued that these NAPs indicate that a significant degree of openness can be found at the local level (and beyond the confines of the peat-forming site) within regions characterised by closed woodland. It is possible that woodland development in these areas may have been suppressed by reduced drainage, although the role of grazing animals in maintenance of clearings cannot be assessed. Implications for this local degree of openness are discussed, in particular the significance of vegetation heterogeneity at the local scale for the construction of place or locale for prehistoric communities. Copyright © 2006 John Wiley & Sons, Ltd. [source]


FOLLOWING THE SIGNS: APPLYING URBAN REGIME ANALYSIS TO A UK CASE STUDY

JOURNAL OF URBAN AFFAIRS, Issue 5 2007
NANCY HOLMAN
ABSTRACT:,As the debate continues regarding the applicability of urban regime analysis in a UK context, three aspects stand out as highly significant: the target for analysis, the mode of scrutiny, and the context of local governing arrangements with its implications for interdependence as an impetus for co-operation. This article will examine urban regime analysis and the move from government to governance in order to answer why and how the private, voluntary and public sectors might be inclined to collaborate in regimes. In addition, the regime analysis will provide the parameters for examination whilst the issue of governance will afford context for local governing arrangements. Although some issues require slight reframing to reflect the UK context, the article will follow a rigorous framework for examination utilizing the full weight of regime analysis as articulated by Stone such that it could not be accused of "concept stretching." Far from it: Through the examination of an informal partnership, a coalition of actors from the public, private, and voluntary sectors that has been in existence for more than 13 years, the article focuses, specifically, on the long-term, less visible aspects of local governance. As such, it is able to demonstrate how economic and political change can have a tangible effect on the manifestation of interdependence as an impetus for co-operation, not only for this specific locale but also for other cities facing similar challenges. [source]


Cross-Cultural Perspectives on Physician and Lay Models of the Common Cold

MEDICAL ANTHROPOLOGY QUARTERLY, Issue 2 2008
Roberta D. Baer
We compare physicians and laypeople within and across cultures, focusing on simi-larities and differences across samples, to determine whether cultural differences or lay,professional differences have a greater effect on explanatory models of the common cold. Data on explanatory models for the common cold were collected from physicians and laypeople in South Texas and Guadalajara, Mexico. Structured interview materials were developed on the basis of open-ended interviews with samples of lay informants at each locale. A structured questionnaire was used to collect information from each sample on causes, symptoms, and treatments for the common cold. Consensus analysis was used to estimate the cultural beliefs for each sample. Instead of systematic differences between samples based on nationality or level of professional training, all four samples largely shared a single-explanatory model of the common cold, with some differences on subthemes, such as the role of hot and cold forces in the etiology of the common cold. An evaluation of our findings indicates that, although there has been conjecture about whether cultural or lay,professional differences are of greater importance in understanding variation in explanatory models of disease and illness, systematic data collected on community and professional beliefs indicate that such differences may be a function of the specific illness. Further generalizations about lay,professional differences need to be based on detailed data for a variety of illnesses, to discern patterns that may be present. Finally, a systematic approach indicates that agreement across individual explanatory models is sufficient to allow for a community-level explanatory model of the common cold. [source]


The Mythologeme of Siberia

ORBIS LITERARUM, Issue 6 2006
On the Concept of a Siberian Motif in Russian Literature
This article is deals with the literary image of Siberia in nineteenth- and twentieth-century Russian literature. Siberia became more than just a locale in both Russian literature and in the public consciousness: it became a particular concept, a complex idea. Traditionally associated with severe weather, long dark winters and later the proverbial place of penal servitudes, Siberia as a topos began to be unconsciously interpreted as the mythological "land of the dead." The author analyzes a wide range of examples from texts by Ryleev, Pushkin, Nekrasov, Dostoevsky, Tolstoy, Chekhov, Erofeev and others, and illustrates that by placing their characters in Siberia, Russian writers follow the old archetypal plot of initiation. Surviving in Siberia is hence interpreted as coming back from the dead , a social, psychological or emotional rebirth. [source]


Flow experiences and image making: An online chat-room ethnography

PSYCHOLOGY & MARKETING, Issue 10 2004
Aviv Shoham
Chat rooms are a relatively new phenomenon. They provide a unique experiential locale, much like a community. They have become a popular replacement for oft-diminishing communities of yore. Qualitatively building on three overarching themes, chat rooms are put at the nexus of three diverse theoretical themes: community, flow experiences, and image management,the latter two being explored in this article. Chat rooms provide flow-like experiences to participants and allow chatters to manage and enhance their images. Given that chatters are highly involved and frequent visitors to their online community (specific chat rooms), they provide a unique opportunity to study this relatively new phenomenon, which has far-reaching, multidisciplinary implications. © 2004 Wiley Periodicals, Inc. [source]


History and culture in a provincial centre: a universal chronicle from Renaissance Rimini

RENAISSANCE STUDIES, Issue 2 2005
Daniel Bornstein
The Cronaca universale of Gaspare Broglio is well known to local historians, who have long used it as a precious source of information about the Malatesta of Rimini and their political adventures. This essay reads it instead for clues to the cultural formation and intellectual interests of its author. In what he read and what he chose to include in his chronicle, this Sienese-born chronicler in the service of a lord of the Romagna displayed an eclectic interest in both classical and chivalric subjects, interests that he shared with his Malatesta masters and the Po valley nobility to which they belonged. Broglio's cultural formation and tastes were broadly characteristic of a class, not narrowly typical of a locale. Like others of his class, Broglio circulated widely in the service of a variety of masters. This circulation loosened any attachment he, and others of his class, might have had to a particular place, while fostering a sense of belonging to a supra-local cadre of people of similar background, experience, duties, and skills. Thus, his training and outlook may fairly be taken as typical of an entire group of people: that cadre of moderately well-educated members of the lesser nobility who served the princes of Italy in military, diplomatic, and administrative capacities and whose most distinguished representative, born right about the time Broglio left off writing his chronicle, was Baldassare Castiglione. [source]