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This chapter examines the conceptualization and measurement of contact phenomena in the context of bilingualism across various languages. The goal of the chapter is to account for various phonetic contact phenomena in sociolinguistic analysis, as well as providing context for elaborating on quantitative methodologies in sociophonetic contact linguistics. More specifically, the chapter provides a detailed account of global phenomena in modern natural speech contexts, as well as an up-to-date examination of quantitative methods in the field of sociolinguistics. The first section provides a background of theoretical concepts important to the understanding of sociophonetic contact in the formation of sound systems. The following sections focus on several key social factors that play a major part in the sociolinguistic approach to bilingual phonetics and phonology, including language dominance and age of acquisition at the segmental and the suprasegmental levels, as well as topics of language attitudes and perception, and typical quantitative methods used in sociolinguistics.
The increased international legislation emphasising children's participation agenda heightened the need for high-quality research in early childhood. Listening to young children asserts their participation, agency and voices in research, an approach commonly associated with qualitative research methods. This Element provides a novel perspective to listening to children's voices by focusing on research methods in early childhood studies that are broadly categorised as quantitative, qualitative, and mixed methods. Locating these research methods from a children's rights perspective, this Element is based on values that young children have the right to be involved in research irrespective of culture and context. Each section discusses how the different methodologies and approaches used in early childhood research align with the principles of children's participation and agency, as well as their right to express their views on matters that affect them. The Element concludes with a roadmap for future early childhood research and its ethical dissemination.
We study how an intervention combining youth intergroup contact and sports affects intergroup relations in the context of an active conflict. We first conduct a randomized controlled trial (RCT) of one-year program exposure in Israel. To track effects of a multiyear exposure, we then use machine-learning techniques to fuse the RCT with the observational data gathered on multiyear participants. This analytical approach can help overcome frequent limitations of RCTs, such as modest sample sizes and short observation periods. Our evidence cannot affirm a one-year effect on outgroup regard and ingroup regulation, although we estimate benefits of multiyear exposure among Jewish-Israeli youth, particularly boys. We discuss implications for interventions in contexts of active conflict and group status asymmetry.
This chapter introduces the reader to the problem of policy prioritisation and why quantitative/computational analytic frameworks are much needed. We explain the various academic- and policy-oriented motivations for developing the Policy Priority Inference research programme. We apply this computational framework in the study of the SDGs and the feasibility of the 2030 Agenda of sustainable development.
High-quality data are necessary for drawing valid research conclusions, yet errors can occur during data collection and processing. These errors can compromise the validity and generalizability of findings. To achieve high data quality, one must approach data collection and management anticipating the errors that can occur and establishing procedures to address errors. This chapter presents best practices for data cleaning to minimize errors during data collection and to identify and address errors in the resulting data sets. Data cleaning begins during the early stages of study design, when data quality procedures are set in place. During data collection, the focus is on preventing errors. When entering, managing, and analyzing data, it is important to be vigilant in identifying and reconciling errors. During manuscript development, reporting, and presentation of results, all data cleaning steps taken should be documented and reported. With these steps, we can ensure the validity, reliability, and representative nature of the results of our research.
This study provides a new perspective on the determinants of the spread of voluntary corporate social responsibility (CSR) adoption by incorporating the potential role of its adoption by industry competitors. We find supportive evidence that firms make CSR adoption decisions in response to competitive pressure as well as institutional mimetic pressures. Based on an event history analysis of longitudinal data from a sample of 711 Korean publicly traded firms over a 12-year period, our findings suggest that the CSR behavior of competitors is positively associated with a focal firm's earlier adoption of CSR, leading to the diffusion of CSR across firms. Specifically, this study shows that the pure rivalry-driven pressure from non-leader competitors has a stronger positive relationship with earlier CSR adoption. The results also indicate that a firm's CSR adoption decision is accelerated by competitive rivalry as well as social pressures arising from institutional mimetic isomorphism.
Edited by
Bruce Campbell, Clim-Eat, Global Center on Adaptation, University of Copenhagen,Philip Thornton, Clim-Eat, International Livestock Research Institute,Ana Maria Loboguerrero, CGIAR Research Program on Climate Change, Agriculture and Food Security and Bioversity International,Dhanush Dinesh, Clim-Eat,Andreea Nowak, Bioversity International
The agricultural research for development (AR4D) domain is becoming increasingly complex, and theory of change (ToC) approaches can provide critical guidance through the maze of transformation concerning engagement, partnership, and research. Most of the major benefits that accrue through the use of ToCs relate to internal learning within project teams. Finding the balance between applying a ToC that is both useful and time- and resource-smart is challenging and may need iteration to get right. Quantitative impact assessment methods must be blended with qualitative methods in ToC-based AR4D, so that evaluation becomes about both the process and numbers, while new methods require developing for blended evaluation. The evidence base concerning the efficiency, efficacy, and failings of ToC-based AR4D urgently requires further development and synthesis, and the lessons must be applied broadly.
In this chapter I examine the statistical effect of industrialization on ethnic change. I first take Soviet-era cross-national data measuring ethnic diversity by country in 1961 and 1985 and regress the change in ethnic diversity across these twenty-four years on change in carbon emissions per capita over the same time period. The results demonstrate a strong relationship between decreasing ethnic diversity and increasing levels of industrialization, a result which is robust to the inclusion of several control variables and the use of various sub-samples, as well as alternative measures of industrialization such as cement production and urbanization. I also show that carbon emissions are robustly correlated with change in the percentage identifying with the largest ethnic group per state. I then use an alternative original dataset consisting of individual country censuses between 1960 and 2019, and show that the same effect holds, both as regards the effect of carbon emissions on ethnic fractionalization as well as robustness checks and multiple alternative measures such as electricity consumption and the share of labour in both agriculture and industry.
As the interface between plants and the environment, the leaf epidermis provides the first layer of protection against drought, ultraviolet light, and pathogen attack. This cell layer comprises highly coordinated and specialised cells such as stomata, pavement cells and trichomes. While much has been learned from the genetic dissection of stomatal, trichome and pavement cell formation, emerging methods in quantitative measurements that monitor cellular or tissue dynamics will allow us to further investigate cell state transitions and fate determination in leaf epidermal development. In this review, we introduce the formation of epidermal cell types in Arabidopsis and provide examples of quantitative tools to describe phenotypes in leaf research. We further focus on cellular factors involved in triggering cell fates and their quantitative measurements in mechanistic studies and biological patterning. A comprehensive understanding of how a functional leaf epidermis develops will advance the breeding of crops with improved stress tolerance.
Do attempts to level the financial playing field lead more candidates to run for office? In theory, public financing should increase competition, presumably because additional funding from taxpayers motivates more challengers to run for office. I provide a novel test of this logic with data on all candidates running for state legislature across all US states between 1976 and 2018. The results suggest that public financing exerts a generally positive effect on the total number of candidates running for state legislative office and specifically increases the number of candidates running in elections for every additional year after the passage of public financing. This effect is amplified in states that offer greater amounts of public funds. I conclude that the availability of public financing can be an equalizing force in elections, and that state legislative elections continue to experience increased competition in the years after the introduction of public financing.
As international trade flourishes, Americans can choose from an increasing number of foreign products even at their local grocery stores, allowing consumers to directly experience the consequences of globalized trade in a simple and intuitive way that does not require much political expertise. Yet, most prior scholarship on political consumerism assumes that consumers are aware of the political and economic implications of their choices at the checkout lane. We move away from this assumption, focusing instead on more fundamental psychological predispositions such as ethnocentrism that may guide daily consumer choices. Using a discrete choice conjoint experiment, we show that Americans, on average, exhibit ethnocentric consumer preferences, with demand for products falling as they are produced in more culturally and ethnically distant places. Additionally, we show that this effect is more pronounced among those with higher levels of ethnocentrism. Our results provide evidence for a “naïve” form of political consumerism.
Local government in China is largely responsible for funding social policy and has significant control over the specifics of program design and implementation. Therefore, the same policy can look quite different across provinces and even across counties within the same province. What accounts for local variation in social policy provision? This chapter provides a framework of provincial policy styles and demonstrates how these distinct ways of governing help explain variation in social policy implementation. First, the chapter presents an index of policy styles to classify Chinese provinces based on their dominant policy style: pragmatist, paternalist, or mixed. Then, the chapter examines how provinces diverge in their social policy priorities using provincial social policy spending to measure social policy priorities. The analysis finds that pragmatist provinces are more likely to prioritize education and healthcare, while paternalist provinces are more likely to prioritize poverty alleviation and housing.
Due to uneven economic reforms, Chinese provinces have developed distinct approaches to governing that impact social policy priorities and policy implementation. Ratigan shows how coastal provinces tended to prioritize health and education, and developed a pragmatic policy style, which fostered innovation and professionalism in policy implementation. Meanwhile, inland provinces tended to prioritize targeted poverty alleviation and affordable housing, while taking a paternalist, top-down approach to implementation. This book provides a quantitative analysis of provincial social policy spending in the 2000s and qualitative case studies of provinces with divergent approaches to social policy. It highlights healthcare, but also draws on illustrative examples from poverty alleviation, education, and housing policy. By showing the importance of local actors in shaping social policy implementation, this book will appeal to scholars and advanced students of Chinese politics, comparative welfare studies, and comparative politics.
Edited by
Ruth Kircher, Mercator European Research Centre on Multilingualism and Language Learning, and Fryske Akademy, Netherlands,Lena Zipp, Universität Zürich
This chapter examines the significance of attitudinal research in understanding the dynamics of language contact situations in multilingual societies from a cross-disciplinary perspective. This chapter provides practical guidance for the study of language attitudes and ideologies in multilingual communities by discussing issues relating to research planning and design (e.g. identifying which languages are to be explored, whose language attitudes are to be examined in the community), as well as data analysis and interpretation (e.g. quantitative data collected through questionnaires or matched-guise techniques, or qualitative data through interviews or ethnographies). Other important considerations for attitudinal research in multilingual communities are also covered (e.g. the mismatch between positive attitudes towards a language or languages and language use, or links between language policies and language attitudes in language revitalisation projects). The main points made in the chapter are illustrated by means of two case studies. The first relates to language attitudes in multilingual classrooms and the second focuses on language attitudes and ideologies amongst new speakers of minority languages with a focus on Galician in the Autonomous Community of Galicia in north-western Spain.
Recent developments in the experimental syntax program have challenged some of the standard practices for collecting and analyzing linguistic evidence. In doing so, the methodological and theoretical gap between other areas of language science has begun to close. It is more common than ever before for research in theoretical syntax to incorporate multiple methodologies in the same study. Online elicitation methods, adopted from psycholinguistics, have been the most visible new addition to the theoretical syntactician’s toolbox. Yet observational data, in the form of corpora, has begun to play a larger role in contemporary syntactic investigation. The aim of this chapter is to contextualize the evolving role of corpus studies in syntactic investigation as a methodology that can be used to externally validate results from other methods as well as generate hypotheses. I highlight theoretical and practical advantages of employing corpora in tandem with other methods and point to future directions where gains can still be made.
A central challenge in understanding public opinion shifts is identifying whose opinions change. Political economists try to uncover this by exploring voters’ economic vulnerability, particularly the relationship between labor-market risk and redistribution preferences. Predominantly, however, such work imputes risk from occupational or sectoral characteristics. Due to within-occupational inequality in exposure to risk, considerable variation remains unexplored. I propose an individual-level, dynamic account of risk inferred from job tenure, contract type, and expectations of job security. These aspects, importantly, account for individual variation in risk and the possibility that one's experience of risk may change across time. The results indicate the usefulness of this approach to risk in understanding changes in social spending preferences.
This chapter considers the importance of evaluation in understanding the effectiveness of your health promotion program and highlights the value of knowing why something does or does not work. It outlines basic evaluation methods used in health promotion, and considers the benefits and weaknesses of qualitative and quantitative methods respectively.
Scholars often examine the effect of generic job demands and resources on burnout, yet to increase ecological validity, it is important to examine the effects of occupation-specific characteristics. An extended version of the job demands-resources model with work−home interference as a mediator is examined among a cross-sectional sample of 178 general practitioners (GPs). Interviews with GPs were used to develop questions on occupation-specific work characteristics. Hypotheses were tested in MEDIATE. Both generic and occupation-specific job demands positively affected emotional exhaustion, while only occupation-specific job demands affected depersonalization. Only strain-based work−family interference mediated the relationship between generic and occupation-specific job demands, emotional exhaustion and depersonalization. This study offers an important extension of the job demands-resources model by including occupation-specific job characteristics. This broader perspective can aid in more targeted job design to reduce burnout among GPs.
Measuring Behaviour is the established go-to text for anyone interested in scientific methods for studying the behaviour of animals or humans. It is widely used by students, teachers and researchers in a variety of fields, including biology, psychology, the social sciences and medicine. This new fourth edition has been completely rewritten and reorganised to reflect major developments in how behavioural studies are conducted. It includes new sections on the replication crisis, covering Open Science initiatives such as preregistration, as well as fully up-to-date information on the use of remote sensors, big data and artificial intelligence in capturing and analysing behaviour. The sections on the analysis and interpretation of data have been rewritten to align with current practices, with advice on avoiding common pitfalls. Although fully revised and revamped, this new edition retains the simplicity, clarity and conciseness that have made Measuring Behaviour a classic since the first edition appeared more than 30 years ago.