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The central questions addressed in this Element are: How has protest politics changed over time, especially but not exclusively in the most recent times. And what are the implications and consequences of these transformations? In this vein, the Element identifies a number of processes of change as outlined in the literature, going from the expansion of the repertoires of contention to the normalization of protest and of the protesters, and the shifting scale of contention to more individual-level processes such as the individualization and digitalization of protest. The Element's aim is to provide a critical discussion of scholarship on the transformation of protest politics and social movement activism.
The dominant mode instability in hypersonic boundary-layer transition is the so-called second-mode instability, which has a peculiar nature strongly coupled with thermoacoustic phenomena. In linear stability theory, the unstable wave is associated with one of the two eigenvalues that originate from the acoustic branches, referred to as slow and fast modes. Interestingly, the unstable mode (slow or fast) reaches its maximum amplification as the other mode (fast or slow) attains a minimum. The phase velocity of the two modes is then very close, and this phenomenon is called synchronization. The aim of the present study is to unravel the physical mechanism that explains the second-mode growth. To that aim, second-order nonlinear equations are written for the disturbances given by linear stability. In this framework, entropy, kinetic energy and temperature energy budgets are obtained up to second order. The budgets are scrutinized for various Mach numbers and for adiabatic and cold-wall thermal conditions. Perturbation entropy budgets clearly show the process is a reversible one. An energy exchange between kinetic energy and temperature energy of the weakly nonlinear modes is driven by pressure–dilatation terms. As underlined in previous studies, the unstable mode experiences an alternate heating and cooling near the wall, which is shown to be a rather nonlinear process. The change in fluctuating thermal energy in the form of a dilatational wave is sustained by pumping disturbance kinetic energy through the pressure–dilatation term, the direction of the conversion being driven by the relative phase between pressure and dilatation. This process is similar for the slow and fast modes, the unstable mode being amplified and the other being damped. No change in the process has been noted at the location of the synchronization, suggesting that the modes have the same nature but evolve independently.
Julianne Grasso (JG): We are reviewing the book The Legend of Zelda: Ocarina of Time by Tim Summers. I’m being joined by Hyeonjin Park and Ariel Grez and we’ll start with our introductions real fast. So, Ariel, take it away.
The present study characterized heterogeneity in the cognitive profiles of monolingual and bilingual Latino older adults enrolled in the HABS-HD.
Methods:
A total of 859 cognitively unimpaired older adults completed neuropsychological testing. Raw scores for cognitive tests were converted to z-scores adjusted for age, education, sex, and language of testing. A latent profile analysis (LPA) was conducted for monolingual and bilingual speaker groups. A series of 2–5 class solutions were examined, and the optimal model was selected based on fit indices, posterior probabilities, proportion of sample sizes, and pattern of scores. Identified classes were compared on sociodemographic, psychosocial, and health characteristics.
Results:
For the monolingual group (n = 365), a 3-class solution was optimal; this consisted of a Low Average Memory group with low average verbal memory performances on the SEVLT Total Learning and Delayed Recall trials, as well as an Average Cognition group and a High Average Cognition group. For the bilingual group (n = 494), a 3-class solution was observed to be optimal; this consisted of a Low Average Memory group, with low average verbal memory performances on the learning and delayed recall trials of Logical Memory; a Low Average Executive group, where performance on Trails A and B and Digit Substitution were the lowest; and a High Average Cognition group, where performance was generally in the high average range across most cognitive measures.
Conclusions:
Cognitive class solutions differed across monolingual and bilingual groups and illustrate the need to better understand cognitive variability in linguistically diverse samples of Latino older adults.
To measure the effects of health-related food taxes on the environmental impact of consumer food purchases in a virtual supermarket.
Design:
This is a secondary analysis of data from a randomised controlled trial in which participants were randomly assigned to a control condition with regular food prices (n 152), an experimental condition with a sugar-sweetened beverage (SSB) tax (n 131) or an experimental condition with a nutrient profiling tax based on Nutri-Score (n 112). Participants were instructed to undertake their typical weekly grocery shopping for their households. Primary outcome measures were three environmental impact indicators: greenhouse gas (GHG) emissions, land use and blue water use per household per week. Data were analysed using linear regression analyses.
Setting:
Three-dimensional virtual supermarket.
Participants:
Dutch adults (≥ 18 years) who were responsible for grocery shopping in their household (n 395).
Results:
GHG emissions (–7·6 kg CO2-eq; 95 % CI –12·7, –2·5) and land use (–3·9 m2/year; 95 % CI –7·7, –0·2) were lower for the food purchases of participants in the nutrient profiling tax condition than for those in the control condition. Blue water use was not affected by the nutrient profiling tax. Moreover, the SSB tax had no significant effect on any of the environmental impact indicators.
Conclusions:
A nutrient profiling tax based on Nutri-Score reduced the environmental impact of consumer food purchases. An SSB tax did not affect the environmental impact in this study.
Mutualism between ants and honeydew-producing hemipterans is a highly successful evolutionary innovation that attains the status of ecological keystone across many terrestrial ecosystems, involving a multitude of actors through direct or cascading effects. In these relationships, ants often protect their hemipteran partners against their arthropod natural enemies, sometimes interfering with the biological control of pest species. However, the dynamics of these interactions are highly variable based on the specific identity of all the actors involved, and baseline data remain scarce. We performed a field experiment exposing colonies of the walnut aphid Panaphis juglandis attended by five European ant species (Camponotus piceus, Ca. vagus, Crematogaster scutellaris, Dolichoderus quadripunctatus, Lasius emarginatus) to a native and an exotic lady beetle (Adalia bipunctata and Harmonia axyridis), documenting the behavioural interactions between these insects and the performance of ants in the protection of the aphids. Our results reveal a significant behavioural diversity among the ant species involved, with D. quadripunctatus and L. emarginatus being the most aggressive and having the best performance as aphid defenders, and Ca. piceus being least effective and often fleeing away. Cr. scutellaris displayed a rare rescue behaviour attempting to pull away the aphids that the lady beetles grabbed. On the other hand, behavioural responses to A. bipunctata and H. axyridis were similar. Further investigations are needed to understand the eco-ethological implications of these differences, while a better understanding of ant behavioural diversity may help refine biological control strategies.
This essay analyses Salvemini's major works on Fascism, namely The Fascist Dictatorship in Italy (1927), Mussolini Diplomate (1932) and Under the Axe of Fascism (1936). The focus of this analysis is twofold: to explore both Salvemini's methodology and the events leading to the publication of these works. In The Fascist Dictatorship in Italy, Salvemini examines the origins and the rise of Mussolini's movement, highlighting the complicity of the monarchy, the army, and industrial magnates. In Mussolini Diplomate, he analyses Fascist foreign policy from 1922 to 1932, in which Salvemini is unable to identify a consistent strategy, but only a propagandistic approach aiming to foster diplomatic relations. In Under the Axe of Fascism, Salvemini dissects Fascist economics, debunking the idea that the corporate state was an original and equitable compromise in the conflict between capital and labour, as was being portrayed abroad. An analysis of these three volumes brings into focus some noteworthy aspects of Salvemini's so-called ‘historiographical workshop’, which have hitherto been overlooked by historians (such as his adept use of sources and his endeavour to combine social sciences and economics), as well as underscoring his ability to forge cultural and intellectual networks, an essential element for undertaking such a complex task.
Organoids and specifically human cerebral organoids (HCOs) are one of the most relevant novelties in the field of biomedical research. Grown either from embryonic or induced pluripotent stem cells, HCOs can be used as in vitro three-dimensional models, mimicking the developmental process and organization of the developing human brain. Based on that, and despite their current limitations, it cannot be assumed that they will never at any stage of development manifest some rudimentary form of consciousness. In the absence of behavioral indicators of consciousness, the theoretical neurobiology of consciousness being applied to unresponsive brain-injured patients can be considered with respect to HCOs. In clinical neurology, it is difficult to discern a capacity for consciousness in unresponsive brain-injured patients who provide no behavioral indicators of consciousness. In such scenarios, a validated neurobiological theory of consciousness, which tells us what the neural mechanisms of consciousness are, could be used to identify a capacity for consciousness. Like the unresponsive patients that provide a diagnostic difficulty for neurologists, HCOs provide no behavioral indicators of consciousness. Therefore, this article discusses how three prominent neurobiological theories of consciousness apply to human cerebral organoids. From the perspective of the Temporal Circuit Hypothesis, the Global Neuronal Workspace Theory, and the Integrated Information Theory, we discuss what neuronal structures and functions might indicate that cerebral organoids have a neurobiological capacity to be conscious.
In this work, the development of two-dimensional current sheets with respect to tearing modes, in collisionless plasmas with a strong guide field, is analysed. During their nonlinear evolution, these thin current sheets can become unstable to the formation of plasmoids, which allows the magnetic reconnection process to reach high reconnection rates. We carry out a detailed study of the effect of a finite $\beta _e$, which also implies finite electron Larmor radius effects, on the collisionless plasmoid instability. This study is conducted through a comparison of gyrofluid and gyrokinetic simulations. The comparison shows in general a good capability of the gyrofluid models in predicting the plasmoid instability observed with gyrokinetic simulations. We show that the effects of $\beta _e$ promotes the plasmoid growth. The effect of the closure applied during the derivation of the gyrofluid model is also studied through the comparison among the variations of the different contributions to the total energy.
Bilingualism is thought to confer advantages in executive functioning, thereby contributing to cognitive reserve and a later age of dementia symptom onset. While the relation between bilingualism and age of onset has been explored in Alzheimer's dementia, there are few studies examining bilingualism as a contributor to cognitive reserve in frontotemporal dementia (FTD). In line with previous findings, we hypothesized that bilinguals with behavioral variant FTD would be older at symptom onset compared to monolinguals, but that no such effect would be found in patients with nonfluent/agrammatic variant primary progressive aphasia (PPA) or semantic variant PPA. Contrary to our hypothesis, we found no significant difference in age at symptom onset between monolingual and bilingual speakers within any of the FTD variants, and there were no notable differences on neuropsychological measures. Overall, our results do not support a protective effect of bilingualism in patients with FTD-spectrum disease in a U.S. based cohort.
In June 2021, Missouri passed the “Second Amendment Preservation Act” (SAPA). Though SAPA passed easily and had gubernatorial support, many Missouri law enforcement agencies, including the Missouri Sheriff’s Association, oppose it. Missing from this policy conversation, and deserving of analysis, is the voice of Missouri citizens. Using qualitative interview data and survey data, we explored what if anything Missouri gun owners knew about SAPA and what they perceived its effects would be on gun-related murders, suicides, gun thefts, and mass shootings. Most Missouri gun owners had not heard about SAPA and were ambivalent about its potential effect on gun safety outcomes. Our findings also indicate that respondents’ attitudes toward SAPA and the impact of such policy on safety is driven by gun ownership (i.e., primary versus living in a household with firearms), partisan identification, and attitudes toward government firearm regulation.
The cautious conversion of the kings of Ḥimyar to monotheism in the fourth century CE was influenced by the beliefs of a local Jewish community. This chapter clarifies the relationship between South Arabian Jews and Jewish sympathizers and offers an interpretative framework for the monotheism of fourth- and fifth-century Ḥimyar, which contextualizes the choice of South Arabia’s elites to become Jewish sympathizers. The process of conversion to monotheism also shares features with the first stage of Christianity in Aksūm and the Graeco-Roman world, as well as the henotheism of pre-Islamic North Arabia. It argues that the Ḥimyarite kings’ cautious conversion follows a broad Late Antique trend which aimed to ease the transition for their subjects and/or to assume a neutral position towards the developments of the surrounding empires. In the brand-new kingdom of Ḥimyar, the cult of a single, institutionalized and translocal deity provided a strong mechanism for establishing identities that were reshaped in a wider syncretistic framework through a sociopolitical exploitation of cults characteristic of the broader late antique world.
The concluding chapter pulls the various strands together and answers one final question: what made the Arabian milieu capable of producing Scripture of such universal appeal as the Qur’ān?
Having previously investigated the political and religious milieux of the north and the south of the Arabian Peninsula, this chapter sheds some light on the history of the Ḥijāz at the time of the rise of Islam. It aims to answer the following questions: what factors made the Ḥijāz a favourable environment for the emergence of a third scriptural monotheism? What was the religious context of sixth- and seventh-century Ḥijāz? What picture emerges from a comparative reading of the epigraphical and literary sources? The chapter discusses the polytheistic milieu of pre-Islamic Arabia immediately after the introduction. This discussion includes an analysis of the Qurʾānic passages which mention pagan idols, and argues the case for the existence of a henotheist Ḥijāz at the end of the sixth century. In the third section, an overview of the scriptural communities documented in the Ḥijāz is given. These scriptural groups heavily influenced and shaped the rise of Islam, as evident from even a superficial reading of the Qur’ān. Finally, section four analyses Muḥammad’s prophetic career.