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In this study, we applied generalized additive model to investigate the influence of spatial temporal variables and vessel length on catch per unit-effort (CPUE) of Atlantic bluefin tuna (ABFT) purse seine fishery using catch and effort data from commercial logbooks and field surveys from 1992 to 2006. The vessel lengths of sampled purse seines ranged from 20 to 64 m. The number of ABFT caught within each operation varied between 1 and 2000. A total of 386 CPUE values for ABFT were calculated 0.05 and 60 t ⋅ (haul day)–1 with mean CPUE of 5.51 ± 0.54 t ⋅ (haul day)–1. Although the sea surface temperature had little influence on the CPUE, the effect of time and spatial variables, vessel length and salinity was found as significant. In conclusion, the spatial dynamics of ABFT should be considered if the impact of fisheries on the ecosystem is to be reduced.
There are disagreements about when the Sino-Indian rivalry began, what it is about, what its potential for escalation might be, and how significant the rivalry might be for the course of world politics. It is argued that this rivalry began with the advent of Indian independence, given that the earliest time point at which a rivalry between two states can commence is when both states are independent. There is not surprisingly a great deal of emphasis on disputes along the Tibetan border. They are not insignificant, but they may prove to be the least important part of the Sino-Indian rivalry. The positional contest between the two Asian giants seems more central to the rivalry overall. We think the rivalry has considerable potential for escalation – perhaps even more than the Sino-American rivalry does. If that is indeed the case, the rivalry may hold one of the most critical keys to world peace and stability. It is not something that can be dismissed as a minor tempest in a frozen region.
Petitions were deeply material objects, despite the era’s idealized fiction of the frictionless lord–vassal encounter of wills. This chapter describes how sixteenth-century subjects managed to send their petitions to the royal court, through a daunting and often informal network of couriers. These agents moved petitions, helped and hindered by weather and geography, mastering ocean currents, perilous winds, riverine systems, and mountain paths. Here, the labor contributions of non-Spaniards was highly evident, as Indigenous communities, Afro-descendant rowers and muleteers, and others dominated many of the empire’s most daunting and crucial routes. Many sovereign indigenous and Afro-descendant subjects also sabotaged this mail system from the outside, sometimes in conjunction with British pirates and others. This chapter describes how imperial denizens coped with such sabotage, not least internal interference. It also describes the weakness of the official postal system, the supremacy of merchant couriers, the consequences of antipiracy armadas, and express services. It highlights the complex iniquities and limited successes of this dialogue, revealing that, despite constant obstacles and against all odds, the empire’s communications system – even though slow and often inconsistent – preserved the fiction of vassal–ruler dialogue.
Early research in anthropology and geography focused on the diversity of societies and cultures. Semple considered the land basis of societies, from hunter-gatherers to modern nation states. As against this environmental determinism, Boas argued that geography can modify and constrain culture but not create it. Rappaport showed how ritual can regulate, through feedback, the balance of broader ecosystems. Reflecting on work in the Amazon, Moran argued that socio-environmental debates reflect different levels of analysis. Humans altered human–environment relationships by domesticating plants and animals during the Neolithic revolution, as described by Childe. Mumford explores the evolution of cities and suburbs, including the separation of people from resources and urban pollution. We assume modern life affords leisure, but Sahlins shows the affluence of hunter-gatherers given lower environmental demands. How society adapts to natural hazards is explored by White, while Blaikie and Brookfield pioneer political ecology by showcasing the cycle of poverty and land degradation. Sustainable livelihoods require emphasis on equity and capabilities, argue Chambers and Conway.
Identification of geographical areas with high burden of severe acute respiratory syndrome coronavirus 2 (SARS-CoV-2) transmission in schools using spatial analyses has become an important tool to guide targeted interventions in educational setting. In this study, we aimed to explore the spatial distribution and determinants of coronavirus disease 2019 (COVID-19) among students aged 3–18 years in South Korea. We analysed the nationwide epidemiological data on laboratory-confirmed COVID-19 cases in schools and in the communities between January 2020 and October 2021 in South Korea. To explore the spatial distribution, the global Moran's I and Getis-Ord's G using incidence rates among the districts of aged 3–18 years and 30–59 years. Spatial regression analysis was performed to find sociodemographic predictors of the COVID-19 attack rate in schools and in the communities. The global spatial correlation estimated by Moran's I was 0.647 for the community population and 0.350 for the student population, suggesting that the students were spatially less correlated than the community-level outbreak of SARS-CoV-2. In schools, attack rate of adults aged 30–59 years in the community was associated with increased risk of transmission (P < 0.0001). Number of students per class (in kindergartens, primary schools, middle schools and high schools) did not show significant association with the school transmission of SARS-CoV-2. In South Korea, COVID-19 in students had spatial variations across the country. Statistically significant high hotspots of SARS-CoV-2 transmission among students were found in the capital area, with dense population level and high COVID-19 burden among adults aged 30–59 years. Our finding suggests that controlling community-level burden of COVID-19 can help in preventing SARS-CoV-2 infection in school-aged children.
Outdoor advertisements for food and drink products form a large part of the food environment and they disproportionately promote unhealthy products. However, less is known about the social patterning of such advertisements. The main aim of this study was to explore the socio-economic patterning of food and drink advertising at bus stops in Scotland’s capital city, Edinburgh.
Design:
Bus stop advertisements were audited to identify food/drink adverts and classify them by food/drink category (i.e. ‘advert category’). This data were then linked to area-based deprivation and proximity measures. Neighbourhood deprivation was measured using the bus stop x/y co-ordinates, which were converted to postcodes to identify the matching 2012 deprivation level via the Scottish Index of Multiple Deprivation. Distance to schools and leisure centres were also collected using location data. Generalised estimating equations and linear regression analyses were used to assess associations between the promotion of advert categories and deprivation and proximity to schools/leisure centres, respectively.
Setting:
Edinburgh city, United Kingdom.
Results:
561 food/drink advertisements were identified across 349 bus stops, with 8 advertisement categories noted and included in the final analysis, including alcohol, fast food outlets and confectionary. The majority of adverts were for ‘unhealthy’ food and drink categories, however there was no evidence for any socio-economic patterning of these advertisements. There was no evidence of a relationship between advertisements and proximity to schools and leisure centres.
Conclusions:
While there is no evidence for food and drink advertising being patterned by neighbourhood deprivation, the scale of unhealthy advertising is an area for policy evaluations and interventions on the control of such outdoor advertising.
This chapter explores the writing of Aleksandar Hemon, Dmitry Samarov, and Erika L. Sánchez as a process of carving out a personal space in the city. Their diverse literary output exemplifies the complexities of immigrant identity and its myriad dialogues with home, boundaries, and space. Hemon’s literature reveals a nuanced spatial-temporal sensitivity that establishes a multilayered and overlapping experience of Chicago and his native Sarajevo. Russian-born Samarov encounters Chicago through the window and rearview mirror of his taxi, observing the city and its inhabitants close-up yet from the sidelines. His unique perspective encompasses the immigrant outsider stance alongside an intimate insider knowledge, facilitating his tersely articulated and poignant vignettes of Chicago’s city- and human-scapes. Sánchez, second generation Mexican, boldly crosses restricting boundaries in her work, challenging constraints of family, community, neighborhood, and nation. By straddling a mixture of cultures, languages, genres, and themes, she cultivates her own distinctive space. Taken together, the writers offer a literary panoply of what it means to be an immigrant in Chicago today.
Mary Pat Brady’s chapter poses an alternative approach to hemispheric fiction by reading not according the scales of concentric geometries of space (local, regional, national, transnational), but instead reconceptualizing what she terms “pluriversal novels of the 21st century.” She argues for attending to the complexly mixed temporalities, perspectives, and languages of novels that reject the dualism of monoworlds (center/periphery) for the unpredictability of stories anchored in multiple space-times. While this is not an exclusively 21st-century phenomenon, she shows that pluriveral fiction has flourished recently, as works by Linda Hogan, Jennine Capó Crucet, Julia Alvarez, Gabby Rivera, Karen Tei Yamashita, Ana-Maurine Lara, and Evelina Zuni Lucero demonstrate.
Suicide in the US has increased in the last decade, across virtually every age and demographic group. Parallel increases have occurred in non-fatal self-harm as well. Research on suicide across the world has consistently demonstrated that suicide shares many properties with a communicable disease, including person-to-person transmission and point-source outbreaks. This essay illustrates the communicable nature of suicide through analogy to basic infectious disease principles, including evidence for transmission and vulnerability through the agent–host–environment triad. We describe how mathematical modeling, a suite of epidemiological methods, which the COVID-19 pandemic has brought into renewed focus, can and should be applied to suicide in order to understand the dynamics of transmission and to forecast emerging risk areas. We describe how new and innovative sources of data, including social media and search engine data, can be used to augment traditional suicide surveillance, as well as the opportunities and challenges for modeling suicide as a communicable disease process in an effort to guide clinical and public health suicide prevention efforts.
Romantic Cartographies is the first collection to explore the reach and significance of cartographic practice in Romantic-period culture. Revealing the diverse ways in which the period sought to map and spatialise itself, the volume also considers the engagement of our own digital cultures with Romanticism's 'map-mindedness'. Original, exploratory essays engage with a wide range of cartographic projects, objects and experiences in Britain, and globally. Subjects range from Wordsworth, Clare and Walter Scott, to Romantic board games and geographical primers, to reveal the pervasiveness of the cartographic imagination in private and public spheres. Bringing together literary analysis, creative practice, geography, cartography, history, politics and contemporary technologies – just as the cartographic enterprise did in the Romantic period itself – Romantic Cartographies enriches our understanding of what it means to 'map' literature and culture.
Cognitive neuroscientists have started to uncover the neural substrates, systems, and mechanisms enabling us to prioritize the processing of certain sensory information over other, currently less-relevant, inputs. However, there is still a large gap between the knowledge generated in the laboratory and its application to real-life problems of attention as when, for example, interface operators are multi-tasking. In this Element, laboratory studies on crossmodal attention (both behavioural/psychophysical and cognitive neuroscience) are situated within the applied context of driving. We contrast the often idiosyncratic conditions favoured by much of the laboratory research, typically using a few popular paradigms involving simplified experimental conditions, with the noisy, multisensory, real-world environments filled with complex, intrinsically-meaningful stimuli. By drawing attention to the differences between basic and applied studies in the context of driving, we highlight a number of important issues and neglected areas of research as far as the study of crossmodal attention is concerned.
The author compares the practice of trade and investment adjudicators in relation to the requirement to interpret a treaty ‘in the light of its object and purpose’. He begins by identifying a range of issues and choices that adjudicators are confronted with in this regard, and the practical barriers to any significant degree of judicial interaction or cross-fertilization between trade and investment adjudicators with respect to those issues. He then shows that notwithstanding the absence of judicial interaction, there is a remarkable degree of convergence in the legal reasoning of trade and investment adjudicators on diverse issues. Among the issues, he includes the basis for identifying a treaty's object and purpose, the need to balance competing objectives, the recognition of some of the limitations of purposive reasoning, and even standard forms of consequentialist arguments. The final section argues that such convergence is most easily explained by the theory that many aspects of legal reasoning and treaty interpretation derive not from knowledge of prior precedent and judicial practices, but from common sense and the nature of the judicial function.
Many think of the difference between sensation and perception in terms of information – perception carries information, but sensations, the raw feels that occur prior to perception, do not. A standard, biological account of information holds that it occurs only for information consumers. How is it that sensations become informational, and to whom do they become informational? In this chapter I argue that perception comes about due to attention directed by a subject. Attention is the process by which sensations are organized according to the subject’s interests, allowing them to have meaning for the subject, or to become informational for the subject. I compare this account to those that find attention to be necessary for the binding of features into objects, the creation of an objective spatial framework, or perceptual knowledge. I reject the first two accounts, ultimately arguing for a similar conclusion to those in the third, such as Campbell and Dickie. Experiential support for my account is the universal foreground/background structure of conscious perception, a structure that I argue depends on attention. Along the way I discuss at length the work of Treisman and Merleau-Ponty.
The regulatory framework of the red octopus (Octopus maya) fishery includes total allowable catches (TAC), which are based on studies conducted on the population that occurs in shallow waters. In fact, most of the biological studies of this species refer to the fraction of the population that occupies waters less than 30 m deep; however, O. maya can occur up to a 60 m depth. The aim of this study is to assess the stock of O. maya that occupies waters between 30 m and 60 m deep. Four research cruises were carried out during the closed and fishing seasons, from May 2016 to January 2017. An average of 29 sampling sites were surveyed in each cruise (±2 sampling sites) using a commercial vessel with a uniform sampling effort. In each sampling site, the swept area, the total number of octopuses captured, the total weight of the catch, and the individual weight of octopuses were recorded. Biomass was obtained with four methods: stratified random method, swept area method, geostatistical biomass model, and an unpublished method of weighted swept area. The four methods provided consistent results. The distribution pattern of species was in patches, although before the fishing season started it was more homogeneous. The fraction of the population that occurs between 30 m and 60 m deep consisted mostly of adult organisms, so it could be contributing significantly to the recruitment of the entire population, even to the fraction that is exploited.
Dengue fever (DF) is one of the world's most disabling mosquito-borne diseases, with a variety of approaches available to model its spatial and temporal dynamics. This paper aims to identify and compare the different spatial and spatio-temporal Bayesian modelling methods that have been applied to DF and examine influential covariates that have been reportedly associated with the risk of DF. A systematic search was performed in December 2017, using Web of Science, Scopus, ScienceDirect, PubMed, ProQuest and Medline (via Ebscohost) electronic databases. The search was restricted to refereed journal articles published in English from January 2000 to November 2017. Thirty-one articles met the inclusion criteria. Using a modified quality assessment tool, the median quality score across studies was 14/16. The most popular Bayesian statistical approach to dengue modelling was a generalised linear mixed model with spatial random effects described by a conditional autoregressive prior. A limited number of studies included spatio-temporal random effects. Temperature and precipitation were shown to often influence the risk of dengue. Developing spatio-temporal random-effect models, considering other priors, using a dataset that covers an extended time period, and investigating other covariates would help to better understand and control DF transmission.
Infection with STEC O157 is relatively rare but has potentially serious sequelae, particularly for children. Large outbreaks have prompted considerable efforts designed to reduce transmission primarily from food and direct animal contact. Despite these interventions, numbers of infections have remained constant for many years and the mechanisms leading to many sporadic infections remain unclear.
Here, we show that two-thirds of all cases reported in England between 2009 and 2015 were sporadic. Crude rates of infection differed geographically and were highest in rural areas during the summer months. Living in rural areas with high densities of cattle, sheep or pigs and those served by private water supplies were associated with increased risk. Living in an area of lower deprivation contributed to increased risk but this appeared to be associated with reported travel abroad. Fresh water coverage and residential proximity to the coast were not risk factors.
To reduce the overall burden of infection in England, interventions designed to reduce the number of sporadic infections with STEC should focus on the residents of rural areas with high densities of livestock and the effective management of non-municipal water supplies. The role of sheep as a reservoir and potential source of infection in humans should not be overlooked.
In South Korea, the resurgence of mumps was noted primarily among school-aged children and adolescents since 2000. We analyzed spatial patterns in mumps incidence to give an indication to the geographical risk. We used National Notifiable Disease Surveillance System data from 2001 to 2015, classifying into three periods according to the level of endemicity. A geographic-weighted regression analysis was performed to find demographic predictors of mumps incidence according to district level. We assessed the association between the total population size, population density, percentage of children (age 0–19 years), timely vaccination rate of measles–mumps–rubella vaccines and the higher incidence rate of mumps. During low endemic periods, there were sporadic regional distributions of outbreak in the central and northern part of the country. During intermediate endemic periods, the increase of incidence was noted across the country. During high endemic period, a nationwide high incidence of mumps was noted especially concentrated in southwestern regions. A clear pattern for the mumps cluster shown through global spatial autocorrelation analysis from 2004 to 2015. The ‘non-timely vaccination coverage’ (P = 0·002), and ‘proportion of children population’ (P < 0·001) were the predictors for high mumps incidence in district levels. Our study indicates that the rate of mumps incidence according to geographic regions vary by population proportion and neighboring regions, and timeliness of vaccination, suggesting the importance of community-level surveillance and improving of timely vaccination.
Objectives: In complex real life situations, memories for temporal and spatial information are naturally linked since sequential events coincide in time and space. Whether this connection is inseparable or instead whether these processes are functionally dissociable was investigated in this patient study. Methods: Spatial object-location and temporal order memory tasks were administered to 36 stroke patients and 44 healthy control participants. Results: On group level, patients with a stroke in the left hemisphere performed worse on temporal order memory, compared to the control participants. On individual level, using a multiple case-study approach, a clear pattern of dissociations was found between memory for temporal and for spatial features. Conclusions: These findings indicate that location and temporal order memory contain functionally separable processes. This adds to our understanding of how context information is processed in human memory. (JINS, 2017, 23, 421–430)
To investigate spatial heterogeneity of stunting prevalence among children in Côte d’Ivoire and examine changes in stunting between 1994 and 2011, to assess the impact of the 2002–2011 civil war that led to temporary partitioning of the country.
Design
Data from 1994, 1998 and 2011 Côte d’Ivoire Demographic and Health Surveys (DHS) were analysed using a geostatistical approach taking into account spatial autocorrelation. Stunting data were interpolated using ordinary kriging; spatial clusters with high and low stunting prevalence were identified using Kulldorff spatial scan statistics. Multilevel multivariable logistic regression was then carried out, with year of survey as the main independent variable and an interaction term for time by geographic zone (Abidjan, South, North).
Setting
Côte d’Ivoire, West Africa.
Subjects
Children aged 0–35 months included in three DHS (n 6709).
Results
Overall stunting prevalence was 30·7, 28·7 and 27·8 % in 1994, 1998 and 2011, respectively (P=0·32). Clusters with high prevalence were found in 1994 (in the West region, P<0·001) and 1998 (in the West and North-West regions, P<0·01 and P=0·01, respectively), but not in 2011. Abidjan was included in a cluster with low prevalence in all surveys (P<0·05). Risk of stunting did not change between 1994 and 2011 at national level (adjusted OR; 95 % CI: 1·39; 0·72, 2·64), but decreased in the South (0·74; 0·58, 0·94) and increased from 1998 to 2011 in Abidjan (1·96; 1·06, 3·64).
Conclusions
In Côte d’Ivoire, significant changes in stunting prevalence were observed at the sub-national level between 1994 and 2011.
Soil organic carbon (OC), clay content, water content, and pH often influence the bioactivity of soil-applied herbicides, and these soil properties can vary greatly within fields. The purpose of this work was to determine the influence of within-field soil heterogeneity on the efficacy of RPA-201772 where corn, shattercane, and velvetleaf were seeded as bioassays. An experimental approach was developed to quantify RPA-201772 dose–response across a range of soil conditions in an agricultural field. Based on a logistic model, crop injury was quantified with the I20 parameter, the dose eliciting 20% greenness reduction, using a series of photographic standards. Weed biomass was quantified with the I80 parameter, the dose eliciting 80% biomass reduction, relative to the untreated control. Crop and weed responses varied by two orders of magnitude. Significant correlation, as high as 0.76, was observed between measures of plant response and soil properties, namely particle size and OC. Furthermore, native velvetleaf spatial distribution at the study site was heterogeneous, and seedlings were observed in plots where seeded velvetleaf biomass was high. Spatial heterogeneity of soil affinity for herbicide results in differential weed fitness and contributes to weed “patchiness.”