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In an aside to his audience after narrating the revolt of the Theruingi and the slaughter of the Roman army under Lupicinus in AD 376, the ’lonely’ historian Ammianus Marcellinus asks the indulgence of his readers on a particularly difficult matter ... The rather poignant parenthesis is consistent with the view that Ammianus presents elsewhere in his history of a public at Rome concerned only with the trivial biographies of emperors and caring more for the details of the private lives of the imperial household than with the grand sweep of res gestae. The last antique historian is indeed a great one, and he may even have been as isolated as is sometimes suggested.
We characterize the epimorphisms in homotopy type theory (HoTT) as the fiberwise acyclic maps and develop a type-theoretic treatment of acyclic maps and types in the context of synthetic homotopy theory as developed in univalent foundations. We present examples and applications in group theory, such as the acyclicity of the Higman group, through the identification of groups with 0-connected, pointed 1-types. Many of our results are formalized as part of the agda-unimath library.
Drawing on primary sources and moving beyond traditional diplomatic history, this chapter approaches the Belgrade Conference of non-aligned states in an original way, informed by methods of cultural history of diplomacy. A black and white photograph showing presidents Sukarno of Indonesia and Tito of Yugoslavia, hosts of the 1955 Bandung and 1961 Belgrade Conference (events that defined the non-alignment), respectively, serves as a departure point for analysis. Essentially, the chapter asks, What can the image, created by a Yugoslav news agency photographer on the eve of the conference, tell us beyond ‘obvious’? The photograph shows the two statesmen in an open-roofed car in front of the Yugoslav parliament building, the conference venue; the motorcade is secured by uniformed guards on motorcycles, and is observed by citizens, standing still in the background. It allows us to imagine the conference as a piece of diplomatic theatre, with actors, stage, audience, and security. And it urges us to zoom out further to explore the context in which the event captured by the photographic lens took place.
Appreciating that films can influence audiences’ political imaginations and expectations, this chapter looks at first lady characters in feature length presidential movies released during the Clinton, Bush, and Obama administrations. Hillary Clinton, Laura Bush, and Michelle Obama were all politically active, setting new standards as presidential advisors, campaign fundraisers, and policy advocates. Presidential movies partially reflected this change, though historic gender constraints on women characters endured. These movies set an affirming wife-husband relationship as a prerequisite for first ladies to exercise political influence. Still, the films presented those relationships as alliances between politically knowledgeable and engaged individuals. That depiction was not extended to first ladies’ interactions with other decision-makers, which were rare and seldom successful. As a result, while presidential movies present their audiences with politically knowledgeable first ladies, these films do not yet encourage ticket holders to recognize these women as actually exercising political influence.
This chapter discusses the implications of the inclusion of emission allowances within the scope of EU capital markets legislation, and its interrelations with other relevant sources of EU law, namely the Emissions Trading Schemes and REMIT. The process leading to the comprehensive treatment of emission allowances by EU capital markets legislation began with MiFID I and reached its peak with MiFID II, that includes EUAs within the definition of financial instruments. This inclusion also implies that EUAs are subject to the provisions of the Market Abuse Regulation. This phenomenon raises several issues, first and foremost those that concern coordination between different legal texts. It also raises the question as to whether capital markets legislation is indeed capable of supporting the ultimate goal that the entire regulation of EUAs pursues, that is, the reduction of emissions. Whereby there is still insufficient empirical evidence as to whether this is effectively the case, EU legislation seems to believe in an assumption that would need to be better verified overtime.
Non-invasive brain stimulation (NIBS) is a powerful and typically painless technique to stimulate the human brain. Repetitive transcranial magnetic stimulation (rTMS) and transcranial direct current stimulation (tDCS) with different stimulus modes and parameters are well used patterns of NIBS. Long-term potentiation or long-term depression (LTP and LTD)-like effects can be induced by NIBS. NIBS with practical interventional protocols produces various forms of cortical plasticity and its application has promise for PD treatment. Many clinical trials have shown that rTMS and tDCS with established guidelines are safe, and the interventional protocols using these techniques produce modest therapeutic effects in the patients. Multiple sessions using combinations of different patterns of NIBS and with other therapeutic methods may be more effective for the patient than a single type of intervention. Disease-modifying therapies with long-term effects and development of treatment with benefit beyond conventional therapy in clinical practice using NIBS in PD are theoretically possible and deserve further physiologic studies and clinical trials with large sample size.
The translation of bedside experience to pedagogical content presents a unique challenge for the field of bioethics. The contributions are multidisciplinary, the practices are heterogeneous, and the work product is characteristically nuanced. While academic bioethics education programs have proliferated, developing content and pedagogy sufficient to teach clinical ethics effectively remains a longstanding challenge. The authors identify three reasons why progress towards this goal has been slow. First, there is a lack of robust, empirical knowledge for education focused on praxis. Second, the methods employed in academic education tend to focus on traditional didactic approaches rather than engendering competency through interaction and practice—the principle means by which clinical ethicists work. Third, the data practitioners have captured has not been presented in a medium educators and students can most meaningfully interact with.
In this paper, the authors describe a novel pedagogical tool: the Armstrong Clinical Ethics Coding System (ACECS) and interactive visual analytics dashboard. Together, these components comprise an educational platform that utilizes the empirical data collected by the institution’s ethics service. The tool offers four advantages. First, it aids with the identification of ethical issues that present during a consultation at that specific institution or medical unit by making use of a lingua franca comprehensible to both ethicists and non-ethicists. Second, content is centered on issue frequency, type, and relation to other issues. Iterating through cases, requestors, or hospital units allows one to understand cases typologically and through metanarratives that reveal relationships and subtle patterns. Third, the use of interactive data visualizations and data storytelling aids comprehension and retention. Fourth, the process of using the system necessitates understanding the manifold ways each case can be understood, accommodating a wide range of perspectives and ethical lenses, enhancing case analysis and self-reflection conducive to life-long learning.
This chapter discusses the integration of sustainability risks and factors into insurance regulation. According to the European Commission, sustainability considerations should be placed at the heart of the financial system. In its Action Plan, the European Commission announced its intention to clarify the integration of sustainability in so-called fiduciary duties in sectoral legislation. The objective of the European Commission is to direct financial and capital flows to green investment and to avoid stranded assets, which could be facilitated if sustainability is more clearly integrated in such duties of financial undertakings. This chapter describes the wide range and variety of developments in this area, which reflects some of the unique characteristics of the insurance sector, and which provides opportunities to contribute to the EC’s sustainability agenda. This contribution is not limited to the provision of considerable financial contributions to the sustainable investment agenda, which is closely related to the fiduciary duties of insurers and the application of the prudent person principle, but relate as well as to other elements of the sustainability agenda and resilience of the European economy, for which the insurance and reinsurance sector is well positioned to provide a meaningful support, for instance by addressing the protection gap.
Full of allusions and images derived from the Garden of Eden, dreams of Daniel, and schematics of Ezekiel’s temple, and populated with rebooted characters like Balaam and Jezebel, this concluding chapter addresses the question of whether an overarching narrative arc can be discerned in the Bible’s final book.
Conservation is a fundamental feature of true ruin-mindedness, but the early attempts to preserve the ruins of Rome were unsuccessful until the tourism of the eighteenth century made it clear that there was an economic benefit to the preservation and attractive presentation of the city’s ruins. Once this was appreciated, care for the preservation of the ruins from further damage and decay became an issue. Towards the end of that century, soil and rubble were removed from the bases of a number of the more significant ruins, and steps were taken to isolate them so as to protect them from harm, an innovative measure. Rome took the lead in guarding the heritage of its built environment. But since no one had ever tried to protect a building out of doors before, novel means of preservation and even of conservation and rebuilding were devised to ensure that the ruins looked their best for visitors and for posterity. Further projects of excavation were undertaken by the French and the Kingdom of Italy in the nineteenth century, and in the twentieth century the ruins were furbished up for propaganda purposes by the Fascist regime.
Clinical diagnosis of movement disorders can be challenging, especially in the early stages of the disease. Therapy and prognosis of the disorders differ markedly, and early diagnosis is desirable. Structural imaging and complementary nuclear imaging can detect characteristic changes in diseases and present an objective, reproducible opportunity to confirm the suspected diagnosis, sometimes before the disease reaches its clinical full-blown stage. Differential diagnoses may also be excluded. After an introduction of the imaging methods, we present structural changes of a typical Parkinson syndrome as seen in sporadic Parkinson’s disease and some familial mono-/oligo-/polygenic and intermediate genetic variants, such as the "swallow tail sign." Characteristic features of atypical parkinsonian syndromes (MSA, PSP, CBD and vascular parkinsonism) are also presented and extended to include nuclear medicine aspects. Imaging features are classified in terms of their importance for diagnosis and differential diagnosis. Image examples are given to illustrate the features and the most important features and differential diagnoses are summarized and presented in tables.
This chapter deals with the pharmacotherapy of motor clinical hallmarks in Parkinson’s disease (PD), plus other PD and/or its intervention-related signs and symptoms. The treatment of PD-related non-dopaminergic symptoms such as mainly autonomic, neuropsychiatric and sleep–wake disorders are extensively dealt with in other chapters, so the pharmacotherapy of these disorders are only be discussed briefly. Autonomic non-motor fluctuations comprise cardiovascular (orthostatic hypotension), urogenital (detrusor over- and underactivity-related problems, e.g., urgency, frequency, nocturia, hesitation and straining), and gastrointestinal manifestations (sialorrhea, dysphagia, delayed gastric emptying, constipation). Depression and (mild) cognitive impairment are the most important mainly direct PD-related neuropsychiatric disorders, whereas impulse control disorders, as well as dementia and psychosis, are frequently seen as dopaminomimetic adverse events. Sleep–wake disorders with parasomnias are also characteristic non-motor symptoms in PD. The tailored pharmacologic strategies in these non-dopaminergic symptoms are discussed in detail.
Affluent citizens commonly record higher election turnout than less affluent citizens. Yet, the causal effect of affluence on voter turnout remains poorly understood. In this article, we rely on Norwegian administrative data to estimate the impact of random, exogenous shocks in (unearned) income on individual-level voter turnout. Exploiting the random timing and size of lottery wins for identification, our main findings suggest that a lottery windfall in the years just before an election boosts individuals’ turnout probability by 1.6 to 1.9 percentage points. Crucially, these point estimates reflect only a small share of turnout differences observed across the income distribution. Hence, our findings strongly suggest that most of the commonly observed positive income-turnout associations do not reflect a causal relationship.
What is the aesthetic status of these interactions? I am tempted to answer: that is it, aesthetic. The answer to a further question, ’whose aesthetic?’, is implicit in my opening argument. The aesthetic must be dynamic, representing ’not a having and a resting, but a growing and a becoming’, as Matthew Arnold phrased the human ideal. It must accord with newly recognised possibilities of literature – of any literature – and equally with those long recognised. Above all, if it hopes to illuminate the particular literature in hand, it must be supported by that literature, must not supplant it.
Chapter 6 looks at how sectoral networks propelled the Anti-Extradition Movement. By focusing on religious groups, legal professionals, and medical practitioners, we demonstrate how social identities informed protesters what roles to take up during a spontaneous movement, and how these sectoral networks provided expertise and resources to facilitate the movement’s organizing efforts.
Chapter 7 examines how secondary school action groups, established by students in their respective schools, played a crucial role in mobilizing teenagers against the extradition bill by tapping into and leveraging their latent social capital. Utilizing Instagram as a platform, these groups facilitated connections among students within and across schools, often by capitalizing on their schools’ identities and leveraging various sources of social capital tied to those identities. This enabled loose and fragmented social networks can be mobilized in social movements, provided that they can activate their latent social capital.