Journal articles: 'Western Group of Forces' – Grafiati (2024)

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Author: Grafiati

Published: 4 June 2021

Last updated: 12 February 2022

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1

Franck,ThomasM. "Is Personal Freedom a Western Value?" American Journal of International Law 91, no.4 (October 1997): 593–627. http://dx.doi.org/10.2307/2998096.

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No one must be disturbed because of his opinions, even in religious matters, provided their expression does not trouble the public order established by law.Declaration of the Rights of Man and of the Citizen, 1789Various forces and tendencies contending in the world of ideas bear directly on the identity of each person. The nation, the tribe, the state, the “ethnie” or sociocultural group, international institutions, and several nongovernmental transnational actors, including the great religions—all contend for adherents. Two things stand out in this cacophony: first, that individuals, nowadays, may have more than one affiliation; and, second, that affiliative choices increasingly can be made by individuals acting autonomously.

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Byman, Daniel. "Understanding the Islamic State—A Review Essay." International Security 40, no.4 (April 2016): 127–65. http://dx.doi.org/10.1162/isec_r_00235.

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This article reviews several recent books on the Islamic State in order to understand its goals, motivations, strategy, and vulnerabilities. It argues that the Islamic State's ideology is powerful but also highly instrumental, offering the group legitimacy and recruiting appeal. Raison d'etat often dominates its decisionmaking. The Islamic State's strength is largely a consequence of the policies and weaknesses of its state adversaries. In addition, the group has many weaknesses of its own, notably its brutality, reliance on foreign fighters, and investment in a state as well as its tendency to seek out new enemies. The threat the Islamic State poses is most severe at the local and regional levels. The danger of terrorism to the West is real but mitigated by the Islamic State's continued prioritization of the Muslim world and the heightened focus of Western security forces on the terrorist threat. A high-quality military force could easily defeat Islamic State fighters, but there is no desire to deploy large numbers of Western ground troops, and local forces have repeatedly shown many weaknesses. In the end, containing the Islamic State and making modest rollback efforts may be the best local outcomes.

3

Fuchs-Schündeln, Nicola. "Hours Worked Across the World: Facts and Driving Forces." National Institute Economic Review 247 (February 2019): R3—R9. http://dx.doi.org/10.1177/002795011924700110.

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I summarise new facts on hours worked differences across countries and their driving forces. The facts are derived from a comprehensive analysis of micro data sets. First, hours worked are substantially higher in poor than in rich countries. Second, lower hours worked in Europe than in the US can partly be explained by differences in vacation weeks and partly by differences in the demographic structure. Moreover, employment rates tend to be higher and weekly hours worked lower in Western Europe and Scandinavia than in the US, with the opposite being true in Eastern and Southern Europe. Last, among core-aged individuals, married women form the group that exhibits the largest differences in hours worked across countries. International differences in taxation, and especially in the tax treatment of married couples, are an important driver of these differences.

4

Jones,W.Bryan. "Malocclusion and Facial Types in a Group of Saudi Arabian Patients Referred for Orthodontic Treatment: A Preliminary Study." British Journal of Orthodontics 14, no.3 (July 1987): 143–46. http://dx.doi.org/10.1179/bjo.14.3.143.

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Dental malocclusion is present in all societies but its prevalence varies. There is a need to identify the occlusal problems, their incidence and the need for treatment so that appropriate manpower arrangements may be made. In this initial survey, patients attending the orthodontic clinic at the Riyadh Armed Forces Hospital were examined for occlusal relationship, crowding, and facial type. There are indications amongst Saudi Arabian patients of a tendency for bimaxillary proclination and a greater proportion of Class III malocclusion, than in Western communities. The need for a comprehensive survey is identified.

5

Qollkaj, Fatmir. "Frustacionit and Crime in Contemporary Society - Case Study the Western Balkan." European Journal of Social Sciences Education and Research 3, no.1 (April30, 2015): 142. http://dx.doi.org/10.26417/ejser.v3i1.p142-144.

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When we talk about society, in particular in terms of developing its sociological us always remains good impression when talking to a healthy society and developed, however long history of social development gives us to understand that the development of society is also followed by numerous pathological phenomenon, deviant and criminal. This phenomenon, as the development of regression contradictions are development testified as a driving force of society, not just the dialectical point of view worldly but also from the standpoint of Merton Dyrkemit of other thinkers of the twentieth century. Criminality as a result of the promoters, different forces the drive has been the phenomenon of early and ongoing follow-up of human society, caused in most of the time the frustrations such as individual and collective. Starting from the individual, then the family, group and to greater social organization, frustrations are manifest modalities of development as controversial complex, multidimensional social. Changes occurring in contemporary society in the late twentieth century terms as in terms development economic, technical and technological followed with profound changes in the political, legal and cultural.These changes greatly influenced the lives of states social training, companies involved in this global development where ragging result of increased individual and collective result of which is also the growing crime in intensity and modalities manifest.

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Pyszczynski, Tom, Zachary Rothschild, and Abdolhossein Abdollahi. "Terrorism, Violence, and Hope for Peace." Current Directions in Psychological Science 17, no.5 (October 2008): 318–22. http://dx.doi.org/10.1111/j.1467-8721.2008.00598.x.

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Terror management theory (TMT) is used to explore psychological forces that act to promote or discourage support for terrorism and violent counterterrorist policies. According to TMT, domination, humiliation, and perceived injustice threaten the self-esteem and cultural worldviews that protect people from death-related anxiety; the result may be hostility and violence directed against the threatening out-group as a way of defusing this threat. We review research documenting the role of terror management processes in promoting and discouraging support for terrorism and violent counterterrorist policies and discuss the implications of this research. The studies we review suggest that the same psychological forces that promote support for terrorist violence also promote support for aggressive counterterrorist policies and that these forces can be redirected to encourage support for more peaceful solutions on both sides of the current conflict between Islamic radical groups and Western nations.

7

Godson, Linda. "Vowel Production in the Speech of Western Armenian Heritage Speakers." Heritage Language Journal 2, no.1 (August30, 2004): 45–70. http://dx.doi.org/10.46538/hlj.2.1.3.

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This study investigates whether the age at which English becomes dominant for Western Armenian bilinguals in the United States affects their vowel production in Western Armenian. Participating in the study were ten Western-Armenian bilinguals who learned English before age 8, ten bilinguals who did not learn English until adulthood, and one Western Armenian monolingual. Vowel production was measured using recordings from oral reading of a list of sentences. Results showed that English affects the Western Armenian vowel system but only for those vowels that are already close to English. This bifurcation of vowel behavior indicates that a single across-the-board principle that governs the influence of a dominant language on a minority language is too general. Other forces such as universal tendencies, normal diachronic change, and sociolinguistic pressures must be considered. In addition, even though the influence of English was stronger for those exposed to English as children than for those exposed as adults, the latter group showed significant changes in the direction of English. This means that the effects of the dominant language extend over a lifetime.

8

Aupers, Stef. "The Revenge of the Machines: On Modernity, Digital Technology and Animism." Asian Journal of Social Science 30, no.2 (2002): 199–220. http://dx.doi.org/10.1163/156853102320405816.

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The classical assumption that scientific and technological progress are the main driving forces behind, what Weber called, the 'disenchantment of the western world', is basic knowledge in contemporary sociology. In this paper, however, it is argued that the implementation of digital technology also stimulates the religious, or more specific, animistic imagination. A qualitative analysis of Wired magazine (1993-2000) shows that various computer specialists, who are 'supposed' to be the pioneers of a rational, secular and disenchanted society, can be seen as 'technoanimists'. They consider our new technological surroundings as an intelligent, autonomous force and express feelings of humility. Exemplary for this phenomenon is a group of ICTexperts who refer to themselves as 'technopagans'. Paradoxically, the explanation for this unforeseen development of 're-enchantment' can be found in progress in the technological fields of Artificial Intelligence and Artificial Life. More generally, the ongoing process of rationalization seems to provide a good explanation for the contemporary emergence of technoanimism.

9

Zachara, Małgorzata. "To vote or not to vote? The political orientations of Millennials in a comparative perspective." Society and Economy 42, no.3 (September 2020): 229–44. http://dx.doi.org/10.1556/204.2020.00016.

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AbstractThis article concentrates on the transformative potential of the Millennial generation within the framework of the political landscapes of the United States, several European countries and Russia. Generational experiences frame the context for the comparative examination of the democratic order and the perspectives for democratic transition. In Western countries, the group is a potentially powerful political force, yet its members do not pursue traditional forms of civic engagement – they are sceptical about institutional forms of participation and have little trust in public authority. Embedded in a youth-marginalization discourse, the public identities of the Millennials are seen rather as a manifestation of the failures of democratic representation, rather than as forms of agency seeking new ways of political expression. The orientations of this distinct group also present a puzzle when the future of authoritarian regimes is discussed: Millennials’ openness to political change is often questioned, despite the prominent role they play in the rise of the opposition forces that gained influence during Vladimir Putin’s third term. Nevertheless, in both contexts, the ongoing generational shift has become an increasingly important area for social-scientific investigation and it is being directly related to broader arguments about the nature of political change.

10

Krasnov, Vladislav. "Pamyat: A Force for Change?" Nationalities Papers 19, no.2 (1991): 167–82. http://dx.doi.org/10.1080/00905999108408197.

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Since May 1987 when the Russian nationalist group Pamyat sponsored a number of demonstrations in Moscow, it has been roundly condemned in both the Soviet and Western media for its self-declared anti-Zionism and alleged antisemitism. This rare unanimity of usually opposite views should warrant a pause for sound skepticism and thoughtful analysis. Strangely enough, while Western reaction to Pamyat has been long on condemnation, it remains short on analysis and on understanding of both Pamyat and its condemnation in the Soviet press.

Acharya, Pitambar, and Benjamin Welsh. "Early and Forced Child Marriages in Rural Western Nepal." Journal of Underrepresented & Minority Progress 1, no.1 (December1, 2017): 95–110. http://dx.doi.org/10.32674/jump.v1i1.38.

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After reviewing the state of early and forced child marriage (ECM) globally and nationally within Nepal, this research assessed the determinants, consequences and preventive measures of ECM in rural municipalities in Nepal today. This mixed method surveyed 167 households taking 15 % sample from the clusters of three wards of Badhaiyatal Rural Municipality in Bardiya and Dullu Municipality in Dailekh of Western Nepal. Besides household survey, six Focus Group Discussions (FGDs), 16 Key Informant's Interviews (KIIs), and 12 In-depth-Interviews (IDIs) were also conducted. There was the prevalence of ECM in 94% of the total sampled households. Majority (64%) of the marriages had taken place at the age of 15-19 years. Besides, about 23% of the marriage had occurred at 10-14 years. Average age at marriage was 16.5 years. Lack of awareness, self-elopement, misuse of social media, and parents’ perception of daughters as burden were some contributing factors of ECM. Unsafe sexual behavior, unwanted pregnancy and its risk to unsafe abortion, maternal and child mortality, deprivation of education and self- dependence and violence were some effects of ECM. Recommendations to address ECM and curb its negative effects are presented.

12

Blanton, Hart, and Charlene Christie. "Deviance Regulation: A Theory of Action and Identity." Review of General Psychology 7, no.2 (June 2003): 115–49. http://dx.doi.org/10.1037/1089-2680.7.2.115.

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The authors propose a behavioral decision theory relevant to the maintenance of desirable identities. The theory, termed deviance regulation theory (DRT), predicts that actions translate into meaningful identities to the extent that they cause the individual to deviate from reference group norms. This straightforward proposition is used to predict the patterning of behavior across a wide array of social contexts. The authors present evidence that predictions generalize across Eastern and Western cultures and to both personal and collective identities. Finally, they show how DRT alters current theoretical assumptions about social motives and social and cultural influence, and they illustrate how it can help explain the structure of both informal and formal social forces.

13

Haggart,JamesW., and PeterD.Ward. "New Nanaimo Group ammonites (Cretaceous, Santonian–Campanian) from British Columbia and Washington State." Journal of Paleontology 63, no.2 (March 1989): 218–27. http://dx.doi.org/10.1017/s0022336000019247.

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The ammonite species Puzosia (Mesopuzosia) densicostata Matsumoto, Kitchinites (Neopuzosia) japonicus Spath, Anapachydiscus cf. A. nelchinensis Jones, Menuites cf. M. menu (Forbes), Submortoniceras chicoense (Trask), and Baculites cf. B. boulei Collignon are described from Santonian–Campanian strata of western Canada and northwestern United States. Stratigraphic occurrences and ranges of the species are summarized and those taxa important for correlation with other areas in the north Pacific region are noted.

14

Kinne, Lance. "The benefits of exile: the case of FLAM." Journal of Modern African Studies 39, no.4 (December 2001): 597–621. http://dx.doi.org/10.1017/s0022278x0100372x.

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When contemplating a return to their country of origin, exiled political opposition groups in Africa must consider the viability of their political reintegration. These considerations, in turn, must be carefully balanced against the benefits derived from life in exile. Using the exiled Mauritanian political opposition group Les Forces de Libération Africaine de Mauritanie (FLAM) as a case study, this essay attempts to identify the benefits of exile, which, in the case of FLAM, outweigh the uncertain benefits of domestic political reintegration. FLAM's presence abroad has facilitated the organisation's membership recruitment and retention and temporarily provided a base for military incursions. More importantly, FLAM's exile status has enhanced its international standing, liberated it from domestic constraints and provided it greater access to Western media and policy-makers.

15

Bertram,LaurieK. "“Eskimo” Immigrants and Colonial Soldiers: Icelandic Immigrants and the North-West Resistance, 1885." Canadian Historical Review 102, s1 (June 2021): s309—s338. http://dx.doi.org/10.3138/chr-102-s1-022.

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How did marginalized and racialized ethnic immigrants transform themselves into active, armed colonial agents in nineteenth-century Western Canada? Approximately twenty Icelanders enlisted to fight Louis Riel’s forces during the North-West Resistance in 1885, just ten years following the arrival of Icelandic immigrants in present-day Manitoba. Forty more reportedly enlisted in an Icelandic-Canadian battalion to enforce the government’s victory in the fall. This public, armed stance of a group of Icelanders against Indigenous forces in 1885 is somewhat unexpected, since most Icelanders were relatively recent arrivals in the West and, in Winnipeg, members of the largely unskilled urban working class. Moreover, they were widely rumoured among Winnipeggers to be from a “blubber-eating race” and of “Eskimo” extraction; community accounts testify to the discrimination numerous early Icelanders faced in the city. These factors initially make Icelanders unexpected colonialists, particularly since nineteenth-century ethnic immigration and colonial suppression so often appear as separate processes in Canadian historiography. Indeed, this scholarship is characterized by an enduring belief that Western Canadian colonialism was a distinctly Anglo sin. Ethnic immigrants often appear in scholarly and popular histories as sharing a history of marginalization with Indigenous people that prevented migrants from taking part in colonial displacement. Proceeding from the neglected history of Icelandic enlistment in 1885 and new developments in Icelandic historiography, this article argues that rather than negating ethnic participation in Indigenous suppression, ethnic marginality and the class tensions it created could actually fuel participation in colonial campaigns, which promised immigrants upward mobility, access to state support, and land.

16

Sabirov, Askadula, Konstantin Sokolovskiy, Egor Gromov, and Lilia Sabirova. "Changes in the Understanding of Religious and Cultural Components of Human Capital." Journal of Ethnic and Cultural Studies 8, no.2 (February16, 2021): 55. http://dx.doi.org/10.29333/ejecs/637.

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This research identified structural differences between the religious and cultural components of human capital in Western and Russian intellectual traditions and created a specific holistic structural conceptual framework based on which further research can be carried out, or decisions can be made about determining human capital for scientific and public policy purposes. Experts selected research texts for examination, and their structural-semantic analysis was used as a research method. A group of 32 authoritative Russian university experts was formed to select the most significant and influential studies of Western scholars on human capital and changes in the attitude towards assessing its religious and cultural components. The selected works were analyzed to determine common concepts for which semantic relationships were established. As a result, a structural diagram of Western research's main ideas concerning the religious and cultural components of human capital was created. Among the totality of basic ideas that define the Western paradigm, there is a generally negative assessment of religiosity as a component of psychology that influences productive forces; a high level of religiosity is rarely correlated with economic prosperity and is not necessarily associated with high levels of morality or health. The novelty of the study is due to the fact that so far no attempts have been made to highlight the most important features of the Western paradigm of understanding the role of a religious or cultural component in the development of human capital and to apply it to determine the differences and possible strategies for the development of the individual economy (in our example, the Russian one). The paper also analyzed the essence of the contradiction between Western and Russian concepts of human capital. This study could serve as a foundation for further developing a strategy for identifying and using human potential to determine public policy for cultural and economic development.

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Yashlavskii,A. "Extremist Groups in the Syrian Civil War: New Actors & New Threats." World Economy and International Relations, no.10 (2014): 93–104. http://dx.doi.org/10.20542/0131-2227-2014-10-93-104.

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Since 2012 one can speak about a real civil war in Syria with participation of different political forces. Extremist Islamist jihadist groups like “Front al-Nusra” and “Islamic State of Iraq and Levant” (ISIL) play very active role among them. Relations between ruling elites and Islamists have been very complex in Syria during the past decades. On the one hand, Syrian Alawite regime is secular and nationalist. On the other hand, official Damascus used to be one of the sponsors of the militant Islamist anti-Israeli and anti-Western groups in the Middle East. Besides, Syria is a close ally of Islamic Republic of Iran and Lebanese Shi'ite Hizbullah. From our point of view, the union between Assad's Syria and Islamist groups was rather tactical than strategic one. Syria always played very important role for Sunni Islam, e.g., “the Land of Sham” had a big importance in eschatological beliefs of Sunni Muslims as a place of the final battle between Believers and Dajjal (Anti-Christ). Many foreign Islamist militant involved in Syrian War are inspired by this belief. Additionally, although a big majority of Syrians are Sunni, a dominance of Alawite sect in the political and social and economic life of the country disaffects of many Syrians with an escalation of Syrian conflict. Islamization of “Syrian revolution” is connected with cruel oppression of opposition by Assad's forces and powerless position of the West. At the same time, islamisation is a common feature of the Arab Spring. Arab Spring extremist Islamists have appeared along with relatively moderate Islamist and secular pro-Western groups. Foreign militant Jihadists play an important role in radicalisation of Islamist factor in the conflict. While Shi'ite groups (like pro-Iranian Hizbullah) regards Syria as a crucial part of Shi'ite belt from Mediterranean to Iran, Sunni extremists are not going to lose ground in the face of Shiite 'heretics'. The involvement of Arab Wahhabi monarchies (Saudi Arabia and Qatar) in the current turbulence must be also noted. ISIL is now the key actor of Syrian civil war. It is active not only in Syria but also in Iraq, the homeland of the organization. Initially, this Sunni militant group was closely connected to Al Qaeda. Now the relationships between them are rather tense because of ISIL’s efforts to overmaster another Jihadist group, “Front al Nusra”. The strategic aim of the ISIL is an establishment of an Islamic State (in Iraq and later in Syria) and the restoration of Caliphate. The tactics of the ISIL include guerrilla warfare and cruel terrorist attacks against military and civil people. In Syria ISIL fights against Assad's forces as armed opposition (both secular and Islamist) for control over territories and power. “Front al Nusra” (Front of Support of the Land of Sham People, FN) is genetically connected to ISIL. In terms of ideology there are no divergences between two groups, but they are rivals when it concerns the issues of popular support and political influence. Some Syrian people consider FN as a local group in contrast to foreign militants dominated ISIL. Activities of Jihadist groups is a real danger not only for Syria, but for the whole region and even worldwide.

18

Hanks, Reuel. "The Islamic Factor in Nationalism and Nation-Building in Uzbekistan: Causative Agent or Inhibitor?" Nationalities Papers 22, no.2 (1994): 309–23. http://dx.doi.org/10.1080/00905999408408329.

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Nationalism became the bane of the Soviet empire. The disintegration of the USSR due to nationalistic forces has occurred with a swiftness that few, if any, Western Sovietologists anticipated. The four Central Asian states, with high rates of population growth and a strategic location at the crossroads of Europe, the Middle East and South Asia, now acquire a new significance. Of these Uzbekistan, with a population of twenty million, seventy percent of whom belong to the titular national group, looms largest in terms of demographic and economic potential. The population of Uzbekistan is almost twice as large as the other nascent Central Asian nations combined, and despite severe ecological damage, produces almost two thirds of the cotton in the region, along with natural gas, gold and other minerals.

19

Theriault,HenryC. "Reparations for Genocide: Group Harm and the Limits of Liberal Individualism." International Criminal Law Review 14, no.2 (March13, 2014): 441–69. http://dx.doi.org/10.1163/15718123-01401015.

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In recent years, there has been a handful of lawsuits billed as attempts to gain reparations for the Armenian Genocide. These suits, however, have concerned only ancillary wrongs done to individuals, not the culpable harm done to the Armenian group as a whole through genocide. As such, these suits do not actually pursue reparations for the Armenian Genocide. Not only do awarded or negotiated reparations not function to address the damage done by the Armenian Genocide as a force of group destruction – a force whose consequences remain debilitating today politically, economically, culturally, and socially – but the basis of the cases is not the genocide. In fact, misrepresented as genocide reparations cases, they displace genuine reparation claims. The focus on individual suits and exclusion of genuine group reparations are a function of the limits of the Western liberal individual intellectual and political system that grounds international law. Only through fundamental changes in the guiding assumptions of that system will adequate, that is, true group reparations become viable.

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Kenneth, Rono Kiplangat, and Christopher Omusula. "Youth Radicalization in Africa: A Comparative Analysis of Radicalized Groups." Scholedge International Journal of Multidisciplinary & Allied Studies ISSN 2394-336X 3, no.9 (November26, 2016): 185. http://dx.doi.org/10.19085/journal.sijmas030902.

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A lot of efforts are being exerted by world’s governments and other stakeholders to achieve higher rates of Accessibility to Education. Militia groups the world over have recruited and radicalized the potential school going children into their militant outfits to either fight in battlefields, or use them as spies or suicide bombers denying them opportunities of accessing education that would have been very valuable in their development. These groups abduct torture and kill victims, cause untold sufferings of their captives. In Africa, BokoHaramu in Nigeria opposes modern formal education and hinders the youth from accessing benefits associated with formal education they kidnap students from schools, women from market places, rape and force them into marriages. Mungiki in Kenya has caused school enrolment in central Kenya to drop. Their forced initiations into the groups, doctrines and practice or threat of Female Genital Mutilations, the taking of drugs and the insecurity caused by the sect members are the major challenges the Kenyan Nation is facing as a threat to realization of the objectives of vision 2030 in its former Central Province. The groups, in their teachings, associate formal education with neo-colonialism or western imperialism. Al-Shabab enforces its own harsh interpretation of sharia law, prohibiting various types of entertainment, such as movies and music, the sale of khat, smoking, the shaving of beards, and many other “un-Islamic” activities. This paper examines historical and Philosophical backgrounds of some of the militia groups in Africa such as Al-Shabab in Somalia, Boko Haram in Nigeria and Mungiki in Kenya. Highlighting modes of recruitment, radicalization and how school aged youths are utilized by militia groups. The paper argues that use of strategies such as military force in Nigeria on Boko Haram has failed to bear any fruits. It suggests that skewed distribution of national educational funds could be an impetus to forces of radicalization of youth. Therefore, this paper suggests strategies that can be used to counter the recruitment and radicalization of youths in an effort to improve Educational Access and Equity in Africa.

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Sundin, Jan. "Culture, Class, and Infant Mortality during the Swedish Mortality Transition, 1750-1850." Social Science History 19, no.1 (1995): 117–45. http://dx.doi.org/10.1017/s0145553200017247.

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Until recently material factors had usually been regarded as the most important forces behind the great mortality decline in Western Europe during the last two centuries. Today, the discussion among historical demographers is much more diversified. Greater consideration is given to other factors than was previously. Predominant in several recent summaries is the argument that there was not one single cause of the mortality decline everywhere and in every age group (Brändstrom 1993; Health Transition Review 1991: 1-2; Mercer 1990; Schofield, et al., 1991; Sundin 1992a). One factor which has gained recognition especially in urban areas is the efforts by local and national agencies to improve hygienic conditions (Riley 1987). Cultural determinants of health have also received increased attention both in articles and monographs, especially in relation to mortality among infants and children (Johansson 1991; Preston and Haines 1991).

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Lyne, Isaac, Chanrith Ngin, and Emmanuel Santoyo-Rio. "Understanding social enterprise, social entrepreneurship and the social economy in rural Cambodia." Journal of Enterprising Communities: People and Places in the Global Economy 12, no.3 (July9, 2018): 278–98. http://dx.doi.org/10.1108/jec-11-2016-0041.

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PurposeThis paper critically assesses Western views on the social economy in contrast to everyday realities in a low-income country, and challenges ethnocentric epistemologies in the discourse of social enterprise and social entrepreneurship that is prevalent in international development. It charts the changing trajectory of the social economy and different influences.Design/methodology/approachQualitative data is used to explore views of members of social enterprises in Northern Cambodia. Three enterprises with different characteristics were selected. Semi-structured interviews and a group discussion took place in each case, exploring motivation, values, empowerment, participation, equity, innovation and risk appetite.FindingsThe important roles social enterprises play in rural community development are sometimes at odds with the reasoning of Western development agencies. The social economy in Cambodia is undergoing change with the advancement of capitalist market forces. This suits formal businesses but could exacerbate the exclusion of various community actors.Research limitations/implicationsThree case studies are in close proximity in Northern Cambodia, and the situated dynamics may not transfer well to other contexts. Some limitations are offset by the selection of different types of social enterprises.Practical implicationsThe study gives insights of value to the designers of programmes or projects to support social enterprise who work within international development agencies and non-government organisations. For academics, it offers critical insight into assumptions about social enterprise that emanate from Western management literature.Originality/valueThis paper meets the need for close-up inter-disciplinary work on social enterprise development in under-represented contexts.

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Chen, Yingjie, RobertC.Serfass, ShannonM.Mackey-Bojack, KarenL.Kelly, JackL.Titus, and FredS.Apple. "Cardiac troponin T alterations in myocardium and serum of rats after stressful, prolonged intense exercise." Journal of Applied Physiology 88, no.5 (May1, 2000): 1749–55. http://dx.doi.org/10.1152/jappl.2000.88.5.1749.

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The goal of this study was to determine whether the stress of forced exercise would result in injury to the myocardium. Male rats with 8% of body weight attached to the tail were forced to swim 3.5 h (3.5S), forced to swim 5 h (5S), or pretrained for 8 days and then forced to swim 5 h (T5S). Rats were killed immediately after they swam (0 h PS) and at 3 h (3 h PS), 24 h (24 h PS), and 48 h after they swam (48 h PS). Tissue hom*ogenates of the left ventricle were analyzed by Western blot analysis for cardiac troponin T (cTnT). Serum cTnT was quantified by immunoassay. Results indicated that, in the 3.5S, 5S, and T5S groups, serum cTnT was significantly ( P < 0.01) increased at 0 and 3 h PS. The 5S group demonstrated a greater increase in serum cTnT than the 3.5S group ( P < 0.01) and the T5S group ( P < 0.01) at 0 h PS. Western blot analysis indicated significant decreases ( P < 0.01) in myocardial cTnT in the 5S group only at 0 h PS ( P < 0.01) and 3 h PS ( P < 0.05). Histological evidence of localized myocyte damage demonstrated by interstitial inflammatory infiltrates consisting of neutrophils, lymphocytes, and histiocytes, as well as vesicular nuclei-enlarged chromatin patterns, was observed in left ventricle specimens from the 5S group at 24 and 48 h PS. Our findings demonstrate that stressful, forced exercise induces alterations in myocardial cTnT and that training before exercise attenuates the exercise-induced heart damage.

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Szvircsev Tresch, TIBOR. "CHALLENGES IN RECRUITMENT AND RETENTION IS THERE A SOLUTION?" CONTEMPORARY MILITARY CHALLENGES, VOLUME 2018, ISSUE 20/2 (June15, 2018): 19–21. http://dx.doi.org/10.33179/bsv.99.svi.11.cmc.20.2.02.

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The recruitment and retention of well-qualified military personnel are essential for any armed forces. This is even more true because most armed forces in Europe have shifted from a conscript-based to an all-volunteer format. Based on presentations and discussions during the 14th ERGOMAS Conference in Athens, Greece, June 26-30, 2017, this special publication of Contemporary Military Challenges focuses on the challenges of recruiting and retaining interested young people in the armed forces. In the ERGOMAS Working Group “Recruitment and Retention”, chaired by Tibor Szvircsev Tresch, 20 papers from different researchers were presented. In the five conference sessions on this issue, we had interesting discussions on various related topics. Session 1 dealt with the subject of minorities in the armed forces, and especially how they can be integrated and how they can participate in the system. In the next session, recruitment and retention in the reserve forces stood as the theme of the presentations. Politics and the military: mutual influence and the effect on military personnel was the topic of session 3, and session 4 analysed the motivational factors and reasons for attrition. The last session focused attention on recruitment and retention strategies. From these five sessions we were able to choose five presentations from all of these topics to adapt as journal articles. In the five articles offered in this journal, recruitment and retention are broadly discussed in historical terms and also based on the most recent research results. In military sociology research has generally addressed the recruitment of volunteers into the active force, but the reserve components and the conscription system should also be reviewed in detail. This special issue also analyzes reserve forces and conscription systems with regard to recruitment and retention. In the past not much attention has been paid to the topic of recruitment and retention in Europe. This was also true during the time of the Cold War for the conscript-based armed forces; the recruitment of new personnel was guaranteed by the conscript system. The advantages of this system were that the conscripted young men (in Europe only men were obliged to enter the armed forces; for women this was on a volunteer basis, and in some countries it was even forbidden for women to join the armed forces, or they could join only in auxiliary positions) could be socialized during their military service and also convinced that a professional military position could be a career for them. In other words, through the conscript system the armed forces were able to win new personnel who could imagine staying in the armed forces as long-term employees. One consequence of this was that the armed forces did not have to recruit new personnel on the free job market. The ‘in-house’ recruiting system provided by conscription was in most cases sufficient to catch enough personnel and – very importantly – well-qualified staff. But with the end of the Cold War and new missions, armed forces had to cover new tasks. These new tasks also required, on the one hand, personnel who were able and willing to stay abroad for a longer time, and on the other hand, new skills to cope with the new circ*mstances in the missions abroad. With the conflicts in the 1990s such as the Gulf War, the Somali Civil War with the United Missions UNOSMO I and II, the Bosnian War and the Kosovo War with the involvement of NATO, Western European armed forces had huge problems sending qualified personnel to these crises. Paradoxically the European armed forces were at that time much bigger in the number of soldiers than they are today, but in almost every country it was forbidden to send conscripted soldiers on missions abroad. Therefore the situation was that after the end of the Cold War these armed forces were not fit for the new tasks. Through the experience gained within these missions, a process of multi-nationalization and professionalization took place in the European armed forces. Multi-nationalization meant that it was more important for many states to join alliances, especially NATO. In a multi-national framework the aspect of greater interoperability between different armed forces was given heed. This led to more professional structures. This structural change is strongly reflected in the number of armed forces that have suspended conscription. In 1990, just four out of 26 European countries had an all-volunteer force, i.e. no conscription system. Today, most European states have switched to an all-volunteer format for their armed forces. This situation has altered the manning system. The flow of newly conscripted recruits disappeared, and personnel had to be found on the free market. At the same time as the armed forces were changing from conscript-based mass armies to leaner all-volunteer forces, civil society was engaged in a process of changing values. Traditional values such as obedience, discipline, and subordination became less significant for young people, and values such as autonomy and self-determination were esteemed much more. Some reasons for this were urbanization, an increasing level of education, and greater differentiation and specialization in the working environment. This led to a discrepancy between civil values that focus on the individual, and military values, which refer to the group dimension. At the moment the consequences of this process can be seen in the difficulty recruiting military personnel in sufficient quantity and quality. Questions related to human resources have become existential for armed forces; not only filling positions in the armed forces, but also adapting them to the new missions in a multicultural environment requires the urgent efforts of human resources development. Attention is now directed towards widening the recruitment pool. Women and young people with a migrant background should complement the traditional recruitment profile of a young, white male. Or in other words, the new recruiting targets must be on an equal footing with the old traditional recruitment basis. With that in mind the European armed forces must alter their recruitment outlook so that they will be attractive to these new target groups. The papers and research presented in this journal may help to broaden the understanding of this new recruitment and retention process. Have a good read!

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Roda, Jessica. "Re-Making Kinship. From Community to Family." Thème 24, no.2 (July12, 2018): 97–120. http://dx.doi.org/10.7202/1050503ar.

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The Sephardic Jews living in France, who use Judeo-Spanish as their heritage language, are an assimilated diasporic group that has witnessed war, assimilation and marginalization. With the increase in genealogical research in Western Society, many Sephardim have experienced a process of revitalization of memory through kin relations with people of similar descent. This complex revitalization takes form within the structure of a community cultural centre which acts as a place for re-making kinship thanks to the emotional experience of sharing a specific musical heritage. This phenomenon forces us to examine the tension between « traditional » kinship systems — embodied in the matrilineal bloodline in the case of halakhic Jewish identity — and symbolic kinship anchored in the idea of a « chosen family », to rethink kinship as a mixture between biology and culture, as well as to reconsider current anthropological debates on religion thought beyond the strict religious practices.

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Önder, Murat, Hazan Güler Sarı, and Emrah Ayhan. "Questioning the Compass of the Western Media: Early Perceptions of the July 15 Coup Attempt in Turkey." Insight Turkey 23, Summer 2021 (September20, 2021): 157–80. http://dx.doi.org/10.25253/99.2021233.9.

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This study investigates how the Western media reacted immediately after the July 15, 2016 coup attempt in Turkey, in which a group of armed forces loyal to FETÖ aimed to overthrow Turkey’s democratically elected government. To this end, 91 news reports and articles in ten newspapers from the U.S., the UK, Germany, and France, dating from July 15 to July 18, 2016, were analyzed. Based on content analysis, the early perceptions of the Western media were categorized by sentiment as positive, neutral, or negative in terms of their tone, feeling, and emotion regarding the coup attempt. The findings show that only 42 publications were neutral only reporting the news, while 44 publications were positive about the coup attempt favoring the junta and failing to support the democratically elected government. On the other hand, only five publications expressed negative opinions about the coup attempt by showing strong support for democracy and expressing anti-coup views. Frequency analysis also shows that the most commonly used keywords and phrases in the news and articles were Erdoğan’s authoritarianism (58 times), the polarization of society (32 times), Erdoğan’s oppression (28 times), Erdoğan dividing the country (16 times), and the instability of Erdoğan’s regime/dictatorship (15 times). Overall, the analysis shows that journalists are not free of bias; most of them missed or neglected the damaging consequences of the coup attempt on Turkish democracy and society due to their negative perceptions about the incumbent government.

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Henriksen,N. "Completion of field work for the 1:500 000 mapping and regional geological studies in central and western North Greenland." Rapport Grønlands Geologiske Undersøgelse 130 (December31, 1986): 9–17. http://dx.doi.org/10.34194/rapggu.v130.7935.

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Field activities comprising the second, and final season of the systematic field mapping programme in central and western North Greenland were carried out from June to August 1985. The field investigations were concluded for the 1:500000 map sheet of the area between J. P. Koch Fjord (c. 400 W), in the east, and north-easternmost Washington Land (65°W) in the west; the southern boundary of the map sheet is 81°N (fig. 1). General geological investigations forrned an integral part of the mapping programme. A special source rock project, financed by the Danish Ministry of Energy, was fully integrated with the mapping programme (Christiansen et al., this report). As in 1984 a tent base camp in south-eastern Warming Land served as an operation centre for the expedition. Two chartered Jet Ranger helicopters and a Twin Otter aircraft were based here, and served the expedition groups with transport facilities throughout the season. Mobilisation and demobilisation of the expedition from Denmark were carried out with help from the Royal Danish Air Force, who airlifted the expedition to and from the Canadian Forces Station (CFS) Alert in north-east Ellesmere Island, Canada. Personnel, equipment and fuel were flown into the base camp from Alert with the Twin Otter. The expedition group numbered 40, comprising 12 two-man geological parties, a fourman drilling team and 12 supporting personnel, including aircraft crew members. As in 1984, the operation area extended about 500 km from east to west, and 150-200 km from south to north. The 12 geological teams and the drilling team utilised about 130 camp sites. At the end of the 1985 season, the temporary huts and tents at base camp were dismantled and, together with all the equipment, were taken back to Denmark. Fuel depots and equipment in other parts of the working area, which is part of the North and East Greenland National Park, were also removed.

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BUBB, ALEXANDER. "Class, Cotton, and ‘Woddaries’: A Scandinavian railway contractor in Western India, 1860–69." Modern Asian Studies 51, no.5 (July13, 2017): 1369–93. http://dx.doi.org/10.1017/s0026749x16000251.

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AbstractThis article makes use of a recently unearthed archive in Sweden, complemented by research in the India Office Records and Maharashtra State Archives, to explore the business networks of the small-scale railway contractor in 1860s Bombay Presidency. The argument centres on the career of one individual, comparing him with several contemporaries. In contrast to their civilian colleagues, freebooting engineers have been a somewhat understudied group. Sometimes lacking formal technical training, and without an official position in colonial India, they were distrusted as profiteering, even corrupt, opportunists. This article will present them instead as a diverse professional class, incorporating Parsis alongside various European nationalities, who became specialists in local milieux, sourcing timber and stone at the lowest prices and retaining the loyalty of itinerant labourers. It will propose that the 1860s cotton boom in western India provided them with a short-lived window of opportunity in which to flourish, and to diversify into a variety of speculative enterprises including cotton trading, land reclamation, and explosives. The accidents and bridge collapses of the 1867 monsoon, and subsequent public outcry, will be identified as a watershed after which that window of opportunity begins to shut. The article's concluding section analyses the contractors’ relationship with their labour force and its intermediary representatives, and strategies for defusing strikes. Ultimately, small independent contractors were agents of modernity not formally affiliated with the imperial project, and forced to bargain with merchants and strikers without official backing. Theirs is a record of complex negotiations at the local level, carried out in the immediate post-Mutiny settlement.

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Bansal, Shivani, Ankit Paliwal, Virender Verma, and Jaba Chauhan. "A study on prevalence of metabolic syndrome in general population in Western Uttar Pradesh, India." International Journal of Research in Medical Sciences 5, no.6 (May27, 2017): 2641. http://dx.doi.org/10.18203/2320-6012.ijrms20172462.

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Background: A global transition in the disease pattern has been observed, where the relative impact of infectious disease is decreasing while chronic disease like cardiovascular disease and diabetes are increasingly dominating the disease pattern. Metabolic syndrome (MetS) is a complex web of metabolic factors that are associated with a 2-fold increased risk of CVD and 5-fold risk of diabetes.Methods: A total of 350 patients were included and a cross sectional study was conducted to identify metabolic syndrome prevalence and to evaluate risk factor for development of metabolic syndrome.Results: 48% of participants were male and 52% were female our results showed a BMI of 22.11±3.57 in male and 22.16±2.82 in females. The overall prevalence of overweight was 31%. This study also showed significantly higher rate of metabolic syndrome in older age group i.e. 9.38% in age group of 30-39 years and 26.98% in 60-70 age group. Proportionally more subjects with MetS (74%) have sedentary life style as compared to those without MetS (54%).Conclusions: The prevalence of Metabolic syndrome varies among ethnic groups. Indians are at high risk for ASCVD and their predisposition. The high prevalence of overweight and obesity was one of the major driving force in the development of MetS.

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Agarwal, Dhiraj, RichardA.Parker, Hilary Pinnock, Sudipto Roy, Deesha Ghorpade, Sundeep Salvi, Parag Khatavkar, and Sanjay Juvekar. "Normal spirometry predictive values for the Western Indian adult population." European Respiratory Journal 56, no.3 (May4, 2020): 1902129. http://dx.doi.org/10.1183/13993003.02129-2019.

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Interpretation of spirometry involves comparing lung function parameters with predicted values to determine the presence/severity of the disease. The Global Lung Function Initiative (GLI) derived reference equations for healthy individuals aged 3–95 years from multiple populations but highlighted India as a “particular group” for whom further data are needed. We aimed to derive predictive equations for spirometry in a rural Western Indian adult population.We used spirometry data previously collected (2008–2012) from 1258 healthy adults (aged 18 years and over) by the Vadu Health and Demographic Surveillance System. We constructed sex-stratified prediction equations for forced expiratory volume in 1 s (FEV1), forced vital capacity (FVC), and FEV1/FVC using the Generalised Additive Model for Location, Scale and Shape (GAMLSS) method to derive the best fitting model of each outcome as a function of age and height.When compared with GLI Ethnicity Codes 1 (White Caucasian) and 5 (Other/Mixed), the Western Indian adult population appears to have lower lung volumes on average, though the FEV1/FVC ratio is comparable. Both age and height were predictive of mean FEV1 and FVC; and for females, the variability of response was also dependent on age. FEV1/FVC appears to have a very strong age effect, highlighting the limitations of using a fixed 0.7 cut-off value.The use of GLI normal values may result in overdiagnosis of lung disease in this population. We recommend that the values and equations generated from this study should be used by physicians in their routine practice for diagnosing disease and its severity in adults from the Western Indian population.

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Sauer, Stephanie. "The Accidental Archives of the Royal Chicano Air Force." Boom 2, no.4 (2012): 118–25. http://dx.doi.org/10.1525/boom.2012.2.4.118.

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This excerpt offers a collection of the myth and truth—often indistinguishable—behind The Royal Chicano Air Force, an artist collective that played a key role in the Chicano civil rights movement. Playing with ideas about the preservation of history and its perceived truth, the archives – a series of original artist books - blend Pre-Columbian and Western record-keeping practices with running historical references to make real the ongoing mythologizing of the group, and to offer alternative readings of California history and public space.

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O'Neill, Kelli. "Landscope: Fire The Force Of Life." Pacific Conservation Biology 6, no.3 (2000): 275. http://dx.doi.org/10.1071/pc00275a.

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The use of fire in Western Australia to manage forest ecosystems is contentious. There is huge disagreement between scientists, the environmental movement and members of the general public over the effects of prescribed burning. Some believe that the Australian flora and fauna has adapted to fire over time and needs it for their continued survival. Others perceive prescribed burning as damaging to biota. A final group of people thinks we should be applying the precautionary principle to prescribed burning. This disagreement is present due to the slim knowledge we have on fire and its management. No one really knows, how, when or if we should use prescribed burning.

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MacDonnell, Vanessa. "The Reductionism of Global Models of Constitutional Rights." Law & Ethics of Human Rights 12, no.1 (June26, 2018): 73–101. http://dx.doi.org/10.1515/lehr-2018-0006.

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Abstract In this Article I argue that the reductionism of global models of constitutional rights is problematic. Despite how they are labelled, these theories are typically modelled on the domestic constitutional law of an exclusive group of Western countries. The criteria for selecting these countries are not usually clearly or satisfactorily articulated. They then go on to present a simplistic version of the domestic constitutional law of the countries they are describing. The combined effect of these analytic moves raises questions about what is lost in the process, and in particular, whether these frameworks allow for adequate recognition of the claims of those seeking – and achieving – social change within a constitutional democracy. Drawing on insights from critical legal studies, and in particular scholars who seek the decolonization of constitutional law, I argue that the utility of global theories of constitutional rights depends on their ability to recognize and give voice to the forces of social change. Otherwise, they risk being descriptively inaccurate and even damaging to the broader causes they seek to advance.

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Xue, Jun, Jun Zhang, Li Li, and Ping Zang. "Computed Tomography Images under Iterative Reconstruction Algorithm in Analysis of the Efficacy of Honey-Fried Herba Ephedrae along with Western Medicine on Acute Exacerbation Chronic Obstructive Pulmonary Disease." Scientific Programming 2021 (August24, 2021): 1–9. http://dx.doi.org/10.1155/2021/8734187.

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To explore the application value of the reconstruction algorithm based on an iterative algorithm in the analysis of CT image and analyze the therapeutic effect of honey-fried Herba Ephedrae combined with Western medicine on acute exacerbation chronic obstructive pulmonary disease (AECOPD), a total of 96 AECOPD patients admitted to our hospital from January 2018 to December 2019 were selected as research subjects. According to a different treatment method, the subjects were divided into a control group (Ctrl group, conventional therapy) and an observation group (OG, conventional therapy + honey-fried Herba Ephedrae), with 48 in each group. The CT image algorithm was established based on the iterative algorithm, and the CT dose indexes of the reconstruction algorithm and the Filtered Back Projection (FBP) algorithm under the same conditions were compared ( P < 0.05 ). After using CT to confirm the diagnosis of the subjects, the difference in indicators of forced expiratory volume in one second (FEV1), forced expiratory volume in one second to forced vital capacity ratio (FEV1%), and forced vital capacity (FVC), inflammatory factors of serum interleukin-8 (IL-8), serum interleukin-10 (IL-10), and tumor necrosis factor (TNF-α), the bronchial wall area, and the total treatment efficiency before and after different treatment was analyzed. The results suggested that the Computed Tomography Dose Index (CTDI) of iterative reconstruction (IR) algorithm when scanning different parts was higher than that of the FBP algorithm. The pulmonary function indexes and the expression of IL-8 and TNF-α in the OG were higher than those in the Ctrl group ( P < 0.05 ); the bronchial wall area, bronchial wall area percentage, and IL-10 expression in the OG were all lower than those in the Ctrl group ( P < 0.05 ). The effectiveness and improvement rates of the Ctrl group were 47.92% and 25%, respectively, significantly lower than those in the OG group, 56.25% and 31.25% ( P < 0.05 ), and the total efficiency of the observation group was 87.5%, which was significantly higher than that in the Ctrl group (72.92%) ( P < 0.05 ). In conclusion, based on the iterative algorithm, a CT reconstruction algorithm with better noise reduction performance was established, and the use of honey-fried Herba Ephedrae combined with Western medicine can improve the effective rate of treatment.

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Jang, Jun-Kyu, Dae-Won Kim, Seong-Gon Kim, and Tae-Woo Kim. "Inhibitory Effects of 4-Hexylresorcinol on Root Resorption Induced by Orthodontic Tooth Movement." Applied Sciences 10, no.18 (September10, 2020): 6313. http://dx.doi.org/10.3390/app10186313.

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Root resorption during orthodontic tooth movement (OTM) is caused by an imbalance between the bone turnover rate and applied mechanical stress. The administration of 4-hexylresorcinol (4HR) increases the bone turnover rate and factors associated with bone formation. Thus, 4HR may show protective activity against root resorption during orthodontic tooth movement (OTM). A total of 40 rats (male: 20; female: 20) were included in this study, and the mandibular first molar was subjected to excessive orthodontic force. The experimental group (n = 20) received 12.8 mg/kg of 4HR every 2 weeks. The controls (n = 20) received a solvent without 4HR. Both groups had the same sex distribution. On Day 28 after the initiation of OTM, all the animals were sacrificed for micro-computed tomography analysis, Western blot analysis, and immunohistochemistry. The ratios of the root length and root volume to the total volume were significantly higher in the experimental group compared to those in the control group (p < 0.05). The expression levels of OPG, RANKL, alkaline phosphatase, and Runx2 in the experimental group according to Western blotting were significantly higher in the experimental group compared to those in the control group (p < 0.05). Their expression was mainly found in the periodontal ligament area. In conclusion, the administration of 4HR decreased the root resorption caused by OTM and increased the expression levels of OPG, RANKL, alkaline phosphatase, and Runx2.

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O'Connor,MichaelH., Mike McFarlane, James Fisher, Donald MacRae, and Ted Lefroy. "The Avon River Basin in 2050: scenario planning in the Western Australian Wheatbelt." Australian Journal of Agricultural Research 56, no.6 (2005): 563. http://dx.doi.org/10.1071/ar04195.

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Scenario planning was used to identify issues and drivers of change that are relevant to community efforts to improve regional prospects in the Western Australian Wheatbelt. The region, some 20 million hectares in area, is under pressure to respond to a variety of environmental (salinity, erosion, acidification, biodiversity decline), economic (declining agricultural terms of trade), and social forces (rural decline, isolation). Regional strategic plans have been increasingly seen as the means of achieving sustainability in the face of these challenges, but until recently typically had single-activity outlook and timeframes of up to a decade into the future. Systematic futures-based research has been used in various regions to avoid reliance on business-as-usual as the default strategy, and to identify opportunities and challenges not presently apparent. The Avon River Basin, the central region of the Wheatbelt, was selected as the geographic focus of the project, and the time horizon was set at 2050. The project was developed by a group of 50 stakeholders from the basin, with expertise and strategic interests across a wide range of economic, social, and environmental themes. Through a series of workshops the stakeholders identified critical issues and their attendant drivers, then documented relevant past trends. Four regional scenarios, Saline Growth, Grain and Drain, Landcare Bounty, and Harmony with Prosperity, were developed based on positive and negative combinations of 2 clusters of uncertain and important drivers: environmental change and access to new markets. Common opportunities, threats, and critical success factors for the Avon River Basin region out to 2050 were also identified. We also found that the stakeholders have a tendency to strive for positive outcomes despite negative initial conditions. This resulted in 4 scenarios that were superficially similar due to the regional scale of analysis and the continuation of agricultural industries as significant shapers of economy, society, and environment. However, each scenario represents profoundly different outcomes for the residents and communities of the Avon River Basin in 2050. The triple-bottom line outcomes for the Avon River Basin in 2050 were estimated to be in the range 4.9–9.7 Mt of wheat (currently 4.0), 46 000–66 000 people (currently 43 000), and 10–30% of farmland salinised (currently 6). The application of these results to other regions in Australia is discussed.

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Efrati, Noga. "THE EFFENDIYYA: WHERE HAVE ALL THE WOMEN GONE?" International Journal of Middle East Studies 43, no.2 (April8, 2011): 375–77. http://dx.doi.org/10.1017/s0020743811000122.

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In his “Note about the Term Effendiyya in the History of the Middle East” (International Journal of Middle East Studies 41 [2009]: 535–39), Michael Eppel clarifies his own use of effendiyya in an article he wrote for IJMES in 1998. In the 1998 article, Eppel emphasized the value of studying the effendiyya, or what he called the “Westernized middle stratum,” and its dominance in political life to better understand Hashimite Iraq (1921–58). Members of this group, he argued, benefited from modern education and donned Western dress. They were young state employees (officials, teachers, health workers, engineers, and, later, military officers) who adopted Arab nationalism and Pan-Arab ideology as a means to cope with their socioeconomic and political discontent. From the 1930s, Eppel noted, the effendiyya created the radical political atmosphere that lent backing to the “militant-authoritarian trends” that led to the pro-German Rashid ʿAli coup and the war with Britain in 1941. After World War II, they joined with other nationalist forces to lead the 1948 Wathba (uprising) against prolonging the Anglo–Iraqi treaty. In 1958, the army officers among them overthrew the monarchy. This “middle stratum” differed from the Western concept of the “new middle class,” and the indigenous Arabic term effendiyya, as employed by Eppel, endeavored to grasp the essence of this difference. It reflected a common experience that was the result of its members’ similar education, culture, and concerns rather than their economic status, social origins, and type of employment.

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Ganegama, Pasan. "Navigating the next Industrial revolution: Future Work Force analysis based on Western Australian narrative." International Journal of Management, Entrepreneurship, Social Science and Humanities 2, no.2 (December25, 2019): 88–100. http://dx.doi.org/10.31098/ijmesh.v2i2.18.

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The study adopts a Focus group discussion than the more dominant quantitative data in studying Western Australian Business landscape and it’s local and global disrupters, repellents and extractors are exhaustively and critically analyzed. In order to ascertain needed competencies to navigate the next industrial revolution, current practices of government and non-government initiatives can be Juxtaposed to rowing and rafting phenomena. The current global strategic HR perspective should be focused, fast and flexible but the Australian Government and most corporate conglomerates view are it should be Safe, Slow and Strict. People make sense of their world where human actions are based upon the person's interpretation of events, societal meanings, intentions and beliefs (Gill and Johnson 20101; Denzin and Lincoln, 20052). The Australian public’s belief in navigating the next industrial revolution and the effect of Government policy-making is analyzed critically in this paper. The following two questions being answered with practical disparity and in the end, adjusted accordingly to make sense to the layman terms. First “Why we need to reimagine Human Resource Management perspective?” was unveiled. Secondly, the key features of future Human Resource Management were questioned. Thirdly what should the Australian corporates and Governments do differently to assimilate our workforce to reap benefits from the next industrial revolution is discussed. Finally championing the change using the right blend of leadership style and scale of change discussed in length to add clarity to the perspective.

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MODIC, Špela, Primož ŽIGON, Aleš KOLMANIČ, Tone GODEŠA, and Jaka RAZINGER. "Effectiveness of different control measures against western corn rootworm larvae Diabrotica virgifera virgifera LeConte, 1868." Acta agriculturae Slovenica 111, no.1 (April8, 2018): 161. http://dx.doi.org/10.14720/aas.2018.111.1.15.

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<p>The Western Corn Rootworm (WCR), <em>Diabrotica virgifera virgifera</em> LeConte, 1868, [Coleoptera, Chrysomelidae], whose larvae cause damage to maize roots, is an important economic insect pest in America and Europe. Its larvae are usually controlled by granular soil insecticides or insecticide-treated seeds. Biological control options, such as entomopathogenic nematodes (EPN) have played an important role as an alternative for synthetic chemical insecticides. Therefore, for the WCR larvae control we compared the effectiveness of inundative biological control on the basis of EPN <em>Heterorhabditis bacteriophora</em> Poinar, 1976 (Rhabditida: Heterorhabditidae); (commercial product Dianem<sup>®</sup>) and the conventional insecticides Force 1.5 g (active substance tefluthrin) from the group of synthetic pyrethriods and Sonido (active substance thiacloprid) from the group of neonicotinoids. Field experiments were carried out at geographically different locations under different population pressure of the insect pest in a), Bučečovci (Prlekija; Eastern Slovenia) and b), Šmartno (Gorenjska: northern Slovenia). The differences between the treatments were very similar at both locations; although the population of WCR in Gorenjska was approximately 5-fold lower than in Prlekija. The highest number of WCR beetles was caught in the negative control, followed by the product Sonido, Force and Dianem<sup>®</sup>, in decreasing order. Statistical analysis showed that only in the treatment where EPN were used, significantly less WCR was caught than in the control. The results of the WCR larvae control in maize using <em>Heterorhabditis bacteriophora</em> are comparable to published literature. However, the weather conditions in the 2016 trial were very favorable for the development and survival of EPN in the soil.</p>

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Orekhovsky,PetrA. "F. Von Hayek: Invention of the Enemy and Modern Neoliberalism." Journal of Economic Regulation 11, no.4 (December25, 2020): 022–29. http://dx.doi.org/10.17835/2078-5429.2020.11.4.022-029.

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The paper considers the evolution of the category “political” in the development of economic theory of the XVIII – XX centuries. It demonstrates the departure of economic science from ideological assessments characteristic for the antagonistic relations of early capitalism. In the 1940s – 1950s F. von Hayek reintroduces the concept of “enemy” into economic researches, which is met with strong rejection by the Western establishment, which is under the influence of Keynesianism. F. von Hayek is one of the founders of neoliberalism, within the framework of which an antagonistic confrontation between the “blind forces of the market” and the “dictatorship of a group of people” is being constructed. Thus, a dilemma is imposed, which does not provide an opportunity to understand the mechanisms of market design. Von Hayek is making great efforts to create a transatlantic network of neoliberal organizations based on the Mont Pelerin Society. Long work leads to the fact that in the 1970s. neoliberalism is becoming the ideology - hegemon. At present, the political category retains its significance in economic science. Ideological constructs such as human capital, private money, diffused knowledge, despite their utopianism, continue to transform reality

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Orekhovsky,PetrA. "F. Von Hayek: Invention of the Enemy and Modern Neoliberalism." Journal of Economic Regulation 11, no.4 (December25, 2020): 022–29. http://dx.doi.org/10.17835/2078-5429.2020.11.4.022-029.

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The paper considers the evolution of the category “political” in the development of economic theory of the XVIII – XX centuries. It demonstrates the departure of economic science from ideological assessments characteristic for the antagonistic relations of early capitalism. In the 1940s – 1950s F. von Hayek reintroduces the concept of “enemy” into economic researches, which is met with strong rejection by the Western establishment, which is under the influence of Keynesianism. F. von Hayek is one of the founders of neoliberalism, within the framework of which an antagonistic confrontation between the “blind forces of the market” and the “dictatorship of a group of people” is being constructed. Thus, a dilemma is imposed, which does not provide an opportunity to understand the mechanisms of market design. Von Hayek is making great efforts to create a transatlantic network of neoliberal organizations based on the Mont Pelerin Society. Long work leads to the fact that in the 1970s. neoliberalism is becoming the ideology - hegemon. At present, the political category retains its significance in economic science. Ideological constructs such as human capital, private money, diffused knowledge, despite their utopianism, continue to transform reality

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Kuo, Hung-Chi, Chih-Pei Chang, Yi-Ting Yang, and Hau-Jang Jiang. "Western North Pacific Typhoons with Concentric Eyewalls." Monthly Weather Review 137, no.11 (November1, 2009): 3758–70. http://dx.doi.org/10.1175/2009mwr2850.1.

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Abstract This study examines the intensity change and moat dynamics of typhoons with concentric eyewalls using passive microwave data and best-track data in the western North Pacific between 1997 and 2006. Of the 225 typhoons examined, 55 typhoons and 62 cases with concentric eyewalls have been identified. The data indicate that approximately 57% of category 4 and 72% of category 5 typhoons possessed concentric eyewalls at some point during their lifetime. While major typhoons are most likely to form concentric eyewalls, the formation of the concentric structure may not be necessarily at the lifetime maximum intensity. Approximately one-third of concentric eyewall cases are formed at the time of maximum intensity. The moat is known to be heavily influenced by the subsidence forced by the two eyewalls. Rozoff et al. proposed that the rapid filamentation dynamics may also contribute to the organization of the moat. This paper examines the possibility of rapid filamentation dynamics by devising a filamentation moat width parameter. This parameter can be computed from the best-track typhoon intensity and the passive microwave satellite-estimated inner eyewall radius for each typhoon with concentric eyewalls. The filamentation moat width explains 40% of the variance of the satellite-observed moat width in the group with concentric eyewall formation intensity greater than 130 kt. The typhoon intensity time series in both the concentric and nonconcentric composites are studied. The time series of intensity is classified according to the 24-h intensity change before and after the concentric eyewalls formation. The averaged concentric eyewall formation latitudes in the groups with negative intensity change before concentric eyewall formation are at higher latitudes than that of the positive intensity change groups. Intensity of the concentric typhoons tends to peak at the time of secondary eyewall formation, but the standard model of intensification followed by weakening is valid for only half of the cases. Approximately 74% of the cases intensify 24 h before secondary eyewall formation and approximately 72% of the cases weaken 24 h after formation. The concentric composites have a much slower intensification rate 12 h before the peak intensity (time of concentric formation) than that of the nonconcentric composites. For categories 4 and 5, the peak intensity of the concentric typhoons is comparable to that of the nonconcentric typhoons. However, 60 h before reaching the peak the concentric composites are 25% more intense than the nonconcentric composites. So a key feature of concentric eyewall formation appears to be the maintenance of a relatively high intensity for a longer duration, rather than a rapid intensification process that can reach a higher intensity.

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Qurni, Muhammad Owais, Hassan Tariq, Hiba Tahir, Hafeez Ud Din, Hamza Mansur, and Maria Nadeem. "FREQUENCY OF PEDIATRIC BRAIN TUMORS IN TERTIARY CARE INSTITUTE OF PAKISTAN AND COMPARISON WITH INTERNATIONAL DATA." PAFMJ 71, no.3 (June30, 2021): 989–92. http://dx.doi.org/10.51253/pafmj.v71i3.5479.

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Objective: To analyze the histological spectrum of pediatric brain tumors (PBT) in Pakistani population and to compare the results with international data. Study Design: Retrospective observational study. Place and Duration of Study: Armed Forces Institute of Pathology, Rawalpindi, from Jan 2015 and Dec 2019. Methodology: This data was analyzed using the latest World Health Organization (WHO) classification of Tumors of Central Nervous System 2016. The cases were divided in 5 categories according to age (0-2, 3-5, 6-8, 9-11 & 12-14 years). Results: A total of 43 cases were included in the study. Of these cases, 26 (60.46%) were male and 17 (39.5%) were female. Male to female ratio was 1.5-1. The 6-8 year age group had the highest number of tumors while 0-2 year age group had the least. Mean age of diagnosis was 7.6 years. Ependymoma wasthe most common morphological type with 12 cases (28%) followed by pilocytic astrocytoma, diffuse glioma with 10 cases each (23%) and medulloblastoma with 9 cases (21%). Least common tumor subtype was Ewing sarcoma. Ependymoma were mostly of grade 3 (64%), pilocytic astrocytoma and medulloblastoma were of grade 1 and grade 4 respectively by definition, and diffuse gliomas were mainly of grade 2 (57%) type. Conclusion: Ependymoma and pilocytic astrocytomaare the most frequent types of pediatric brain tumors in our region which follows the same trend as mentioned in western and regional literature.

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Diaw, Yacine, Christine Tollon-Cordet, Alain Charcosset, StéphaneD.Nicolas, Delphine Madur, Joëlle Ronfort, Jacques David, and Brigitte Gouesnard. "Genetic diversity of maize landraces from the South-West of France." PLOS ONE 16, no.2 (February1, 2021): e0238334. http://dx.doi.org/10.1371/journal.pone.0238334.

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From the 17th century until the arrival of hybrids in 1960s, maize landraces were cultivated in the South-West of France (SWF), a traditional region for maize cultivation. A set of landraces were collected in this area between the 1950s and 1980s and were then conservedex situin a germplam collection. Previous studies using molecular markers on approx. twenty landraces from this region suggested that they belonged to a Pyrenees-Galicia Flint genetic group and originated from hybridizations between Caribbean and Northern Flint germplasms introduced to Europe. In this study, we assessed the structure and genetic diversity of 194 SWF maize landraces to better elucidate their origin, using a 50K SNP array and a bulk DNA approach. We identified two weakly differentiated genetic groups, one in the Western part and the other in the Eastern part of the studied region. We highlighted the existence of a longitudinal gradient along the SWF area that was probably maintained through the interplay between genetic drifts and restricted gene flows. The contact zone between the two groups observed near the Garonne valley may be the result of these evolutionnary forces. We found in landraces from the East part of the region significant cases of admixture between landraces from the Northern Flint group and landraces from either the Caribbean, Andean or Italian groups. We then assumed that SWF landraces had a multiple origin with a predonderance of Northern Flint germplasm for the two SWF groups, notably for the East part.

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Falola, Toyin. "‘My Friend the Shylock’: Money-Lenders and their Clients in South-Western Nigeria." Journal of African History 34, no.3 (November 1993): 403–23. http://dx.doi.org/10.1017/s0021853700033739.

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As older ways of raising credit declined or were re-defined, the acquiring of loans from a specialized group of money-lenders flourished in colonial Western Nigeria. Money-lenders charged exorbitant interest and insisted on loan repayment at a fixed date. Borrowing from the modern banking system, the money-lenders prepared legal documents and required surety. Debt recovery was generally painful to defaulters; they were humiliated, harassed, and had their property confiscated. The practice generated many conflicts. The debtor was generally unhappy, especially if the money was used for consumption. Lenders cheated with high interest rates and other charges and promoted for their own ends indiscriminate lending to poor and vulnerable people. To minimize conflicts and protect debtors, the colonial administration decided to regulate the trade with ordinances, especially the Moneylenders' Ordinance of 1938 which set limits to interest and forced lenders to obtain licences. In general, lenders subverted the ordinance, creditors and debtors became more cunning as documents were falsified to protect lenders, and those who needed money continued to accept harsh terms.

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AYANGIL, RUHI. "Western Notation in Turkish Music." Journal of the Royal Asiatic Society 18, no.4 (October 2008): 401–47. http://dx.doi.org/10.1017/s1356186308008651.

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The adoption of western notation (which is an example of graphic notation) as the “official system” in Turkey dates from after 1828. Sultan Mahmud II (reigned 1808–1839) abolished the Janissary force in 1826 and with it the musical unit of that army, it was a band for wind and percussion instruments (Mehterhâne-i Hümâyûn). He then organised his new army on western lines and thus introduced an institution of western origin, the military band, as the musical unit of his modern army. This new institution, which was European in its music system, instruments, repertoire and first and foremost its methods of education, was formed under the name Muzika-i Hümâyûn (the royal military band). Professional musicians were invited from Europe to participate and, with the foundation of Muzika-i Hümâyûn in 1827, the most far-reaching change in Turkish musical history took place. It was an outstanding manifestation of westernisation which necessarily made a deep impact on both the Turkish makam (modal) music system and the existence and the behaviour of the musicians who produced and performed it. The domination of makam music and its masters in court circles and their claim to be the sole and absolute system of taste was undermined, although the appreciation and respect of certain sultans and bureaucrats continued on a personal level. From that date on, a duality, an East-West dichotomy (the effects of which can still be seen), overtook the cultural sphere of which music was a part. Within this dichotomy, tonal polyphonic music of the West began to make its influence felt at least as much as, if not more than, makam based Turkish music both within the state framework and in the society at large. These dual concepts were referred to as Alla Turca and Alla Franga. While Alla Franga (alafranga in common parlance) came to symbolise modernity, change and the new life style, Alla Turca (alaturka in common parlance) became a manifestation of being archaic and conservative and of having a blind commitment to tradition and an under-developed taste (even no taste at all). Within this series of dichotomies, which took hold of every area of life (from literature to fashion also, eating habits, systems of beliefs, and education as well as government) makam based Turkish music received a large share of “cultural negation” with the judgement that it did not even have a decent notation system. It became marginalised and restricted to a narrow social group deeply and passionately devoted to it. Even during this process, makam music developed a dynamic of self-protection against “cultural negation” with its composers, theorists, publishers, performers and listening public. Makam music composers and performers learnt western notation, they wrote pieces down and deciphered music from that notation; a system of education based on modern methods developed while still preserving meşk (the traditional oral teaching method of Turkish music). These efforts were driven by the ‘ideal’ of transforming makam music, which was claimed to be archaic due to its monodic structure, into a polyphonic music. The musicians who knew western notation (such as Melekzet Efendi, Leon [Hancıyan] Efendi, etc.) were paid great amounts of money in order to record the works of the old masters in western notation and compile them, along with new compositions, into extensive note-collections (such as Muzika-i Hümâyûn Kumandanı [the commander of the royal military band] Necîp Paşa Collection and the Pertev Paşa Collection, etc.). Works were also published in note editions (such as Mâlûmat [literally meaning knowledge], Müntehâbât [literally meaning selections], Ûdî [lute-player] Arşak editions, etc.). Moreover, educational guides devoted to teaching makam theory and solmisation (such as Tanbûrî Cemîl Bey's Rehber-i Mûsikî [The Music Guide], Muallim [teacher] İsmail Hakkı Bey's Mahzen-i Esrâr-ı Mûsikî [The Cellar of the Secrets of Music], Muallim Kâzım Bey's Mûsikî Nazariyâtı [Music Theory], etc.) and the first methods for learning the instruments of makam music (such as Ûdî Salâhî Bey's Ud metodu [Lute Method], Seyyid Abdülkaadir Bey's Usûl-i Ta'lîm-i Keman [Method for Practising Violin, etc.], modelled on their European counterparts, were beginning to be published.

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Belete, Fasika Gedif. "State-Actor-Society Relations: The Challenges of Development Practices of Hydropower Project in North Western Ethiopia." RUDN Journal of Public Administration 6, no.2 (February28, 2020): 121–32. http://dx.doi.org/10.22363/2312-8313-2019-6-2-121-132.

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This article examines the effects of state-society relations for the development of hydropower programs in the North Western Ethiopia. The Beles valley is one of the major development corridor recognized in the country of which attempts were made to harness hydropower in the mid 1980s. In this valley, hydropower development program was initiated to enhance sustainable national economy through power production. However, this public investment has been facing challenges shortly after the commencement of the project. Methodologically, the paper is based on qualitative method conducted in cross sectional manner in the Beles upper valley, North Western Ethiopia. Data were collected through interviews, focus group discussions and consultation of secondary documents. The data were analyzed through thematic and content analysis. The major challenge of the hydropower development practice in the Beles valley was associated with state-actor relations. There was security dynamics by the move violence between the state force and insurgent armed group. The situation was further complicated by the society’s negative perception to the project attempted to be implemented in the upper stream by government. Related to these, low linkage between the Beles valley rural communities to the nearby administration and regional economy has also impacted the development of Beles hydroelectric projects. The article shows that how the state, actors and society relations affected the development projects attempted in mid 1980s for implementation in the Beles valley.

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Tanner,HaroldM. "Big Army Groups, Standardization, and Assaulting Fortified Positions: Chinese “Ways of War” and the Transition from Guerrilla to Conventional War in China’s Northeast, 1945-1948." Journal of Chinese Military History 1, no.2 (2012): 105–38. http://dx.doi.org/10.1163/22127453-12341234.

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Abstract Western military historians often describe the Chinese “way of war” as emphasizing a gradualist military strategy, tending to avoid battle except when victory was assured, and preferring to use subterfuge, maneuver, or psychological means to defeat the enemy without actually fighting. The roots of this understanding of the Chinese way of war lie in selective readings of Sunzi’s Art of War and Mao Zedong’s writings on guerrilla warfare. The record of Chinese Communist operations in China’s Northeast (Manchuria) from 1945 through 1948 instead suggests a Chinese approach to war that is characterized not only by close attention to strategy and maneuver, but also by a preference for offensive operations leading to the ultimate destruction of the enemy in battles of annihilation. In the Northeast theater of China’s civil war we also see that the Communist forces had to go through a process of transformation before they were able to carry out large-scale maneuvers, deploy overwhelming firepower, and conduct large-scale operations or campaigns of annihilation. In order to gain victory, the Chinese Communist forces in the Northeast under Lin Biao’s command had to make the transition from guerrilla to conventional warfare, including the ability to attack cities. This transformation was achieved through a combination of factors: critical assessment of battlefield performance, incorporation of new weapons and equipment, and techniques of staff work. This suggests that any workable understanding of Chinese ways of war must go beyond cultural determinism to take account of the Chinese military’s flexibility and capacity for learning.

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Kim, Bo Ra, Dong-Ho Ha, Jong Kuk Kim, and Young Hee Kim. "Comparison of MR findings of acute traumatic peripheral nerve injury and acute compressive neuropathy in a rat model." PLOS ONE 15, no.11 (November19, 2020): e0240911. http://dx.doi.org/10.1371/journal.pone.0240911.

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Purpose The treatment strategy is different for acute traumatic peripheral nerve injury and acute compressive neuropathy. This study aimed to compare magnetic resonance imaging (MRI) features of acute traumatic peripheral nerve injury and acute compressive neuropathy in a rat model. Materials and methods Twenty female Sprague-Dawley rats were divided into two groups. In the crush injury group (n = 10), the unilateral sciatic nerve was crushed using forceps to represent acute traumatic peripheral nerve injury. In the compression injury group (n = 10), the unilateral sciatic nerve was ligated using silk to represent acute compressive neuropathy. The MRI of eight rats from each group were acquired on postoperative days 3 and 10. Fat-suppressed T2-weighted images were acquired. Changes in the injured nerve were divided into three grades. A Fisher’s exact test was used to compare the changes in the nerves of the two groups. Histological staining and a western blot analysis were performed on one rat in each group on day 3. Neurofilament, myelin basic protein (MBP), and p75NTR staining were performed. Expression of neurofilament, MBP, p75NTR, and c-jun was evaluated by western blot analysis. Results MR neurography revealed substantial nerve changes in the compression injury group compared with the crush injury group at two-time points (p = 0.001 on day 3, p = 0.026 on day 10). The histopathological analysis indicated the destruction of the axon and myelin, mainly at the injury site and the distal portion of the injury in the crush injury group. It was prominent in the proximal portion, the injury site, and the distal portion of the injury in the compression injury group. The degree of axonal and myelin destruction was more pronounced in the compression injury group than in the crush injury group. Conclusion MR neurography showed prominent and long-segmental changes associated with the injured nerve in acute compressive neuropathy compared with acute traumatic peripheral nerve injury.

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Poe, Marshall. "The Military Revolution, Administrative Development, and Cultural Change in Early Modern Russia." Journal of Early Modern History 2, no.3 (1998): 247–73. http://dx.doi.org/10.1163/157006598x00207.

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AbstractAmong Western historians it is generally agreed that the "military revolution" spurred bureaucratization, and that bureaucracy in turn caused social and cultural change. This essay examines the links between military reform, administrative development, and cultural change in the Muscovite context. It argues that the "Europeanizing" military reforms of the mid-sixteenth to the mid-seventeenth century indeed had a significant impact on both Russian government and culture, at least among the service elite. In the era of Ivan III (1462-1505), the Muscovite court was a moderately-sized gathering of unlettered warriors who, together with a small group of scribes, managed a considerable principality in northeastern Rus'. A bit more than a century later the court was a much more complex entity comprising a well-stratified political elite, a system of functionally differentiated chancelleries, and a large network of gunpowder military forces. Behind this transformation were successive waves of military reform, waves which brought with them well-elaborated literate administration. The coming of literate administration to the governing class-the court elite, chancellery personnel, and higher gentry-had four effects: integration on an imperial level; increased status and functional differentiation; a slow movement from mechanical to organic solidarity; and, finally, the impersonalization of social identity.

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