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1

Brown, Lisa. Is an international system composed of sovereign states compatible with the substantial realisation of human rights? Or are the concepts of state sovereignty and human rights mutually exclusive?. [s.l: The Author], 2004.

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2

Morris, Robert R. Submissions to the Joint Committee of The Presbyterian Church in Canada composed of members of the Committee on Doctrine and of the Board of Congregational Life that is preparing a report on human sexuality. Toronto: [s.n.], 1989.

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3

Morris, Robert R. Submissions to the Joint Committee of The Presbyterian Church in Canada composed of members of the Committee on Doctrine and of the Board of Congregational Life that is preparing a report on human sexuality. Toronto: [s.n.], 1989.

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4

Abraham, Erin Vanessia. Anticipating Sin in Medieval Society. NL Amsterdam: Amsterdam University Press, 2017. http://dx.doi.org/10.5117/9789462983717.

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Composed between the sixth and ninth centuries, penitentials were little books of penance that address a wide range of human fallibility. But they are far more than mere registers of sin and penance: rather, by revealing the multiple contexts in which their authors anticipated various sins, they reveal much about the ways those authors and, presumably, their audiences understood a variety of social phenomena. Offering new, more accurate translations of the penitentials than what has previously been available, this book delves into the potentialities addressed in these manuals for clues about less tangible aspects of early medieval history, including the innocence and vulnerability of young children and the relationship between speech and culpability; the links between puberty, autonomy, and moral accountability; early medieval efforts to regulate sexual relationships; and much more.
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5

Andò, Valeria. Euripide, Ifigenia in Aulide. Venice: Fondazione Università Ca’ Foscari, 2021. http://dx.doi.org/10.30687/978-88-6969-513-1.

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This volume contains the first Italian critical edition with introduction, translation and commentary of Euripides’ Iphigenia in Aulis. The tragedy, exhibited posthumously in 405 BCE, stages the first mythical segment of the Trojan War, namely the sacrifice of Iphigenia, daughter of king Agamemnon, head of the Greek army, in order to propitiate the winds that should lead the navy to Troy. A tragedy of intrigue and unveiling, in which all the characters try to oppose the sacrifice, judged to be an impiety despite its sacred essence. It is therefore a tragedy without gods, in which characters of modest moral stature move, unstable, ready to sudden changes of mind, and among whom the protagonist stands out: the girl who, having overcome the dismay for the destiny awaiting her, voluntarily moves towards death on the altar, for a flimsy patriotic ideal and with the illusion of achieving immortal glory. Since the end of the eighteenth century, the text of this tragedy, handed over to us by the manuscript tradition, has been exposed more than others to a rigorous philological criticism that has broken its unity, through considerable expunctions of entire sections and sequences of verses. The volume traces the phases of this critical work, showing its methods – and sometimes its excesses – and choosing a balance line in the constitution of the text. The overall exegesis of the tragedy, which I propose in this study, consists in the belief that, despite the exodus being spurious, the finale, in view of which the entire dramaturgy was composed, still had to contemplate Iphigenia’s salvation. In fact, if the Panhellenic ideal of defence against the barbarians is now meaningless, and if a war of destruction, to begin with, needs the death of an innocent person, then this death must be transcended and the horror of human sacrifice must dissolve. It therefore seems that, once political current events become opaque, the poet’s research tends to create situations of great patheticism in an aesthetic setting of refined beauty.
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Ramsey, Grant. Trait Bin and Trait Cluster Accounts of Human Nature. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198823650.003.0003.

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Conceptions of human nature fall under two broad categories, trait bin accounts and trait cluster accounts. Trait bin accounts take there to be a special bin of traits, one composed of all and only those traits constituting our nature. For those arguing for a trait bin account of human nature, the challenge is to articulate what it is that marks a trait as being inside or outside the bin. I argue that trait bin approaches to human nature are misguided, that there is no good way of dividing human traits into those that are a part of our nature and those that are not. Instead, I argue for a trait cluster account, which sees human nature as the patterns of trait expression within and across human life histories and better aligns the concept of human nature with the human sciences.
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Smet, Stijn. Conflicts between Human Rights and the ECtHR. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198795957.003.0003.

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This chapter proposes a structured balancing test for the resolution of human rights conflicts. The chapter first critiques the European Court of Human Right’s ad hoc balancing approach to human rights conflicts. Analysis of a pair of concrete judgments—Obst v. Germany and Schüth v. Germany—illustrates the shortcomings of that approach. The chapter then proposes an alternative, structured balancing test. The structured balancing test, composed of a limited set of seven balancing criteria, relies on comparison of the relative strength of reasons in favour of conflicting human rights to determine which right should prevail in a given conflict. By doing away with contested balancing notions, such as ‘weight’ and ‘scales’, the structured balancing test also aims to overcome the incommensurability challenge to balancing. The test is finally applied to Obst and Schüth to illustrate how its use could improve the Court’s adjudicatory practice.
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Cooper, David E. Daoism, Natural Life, and Human Flourishing. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190456023.003.0005.

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The chapter begins with a discussion of Daoist virtues that lead to human flourishing and the Daoist conception of how a life goes well, what it shows about, and implies for, people’s relationship to the natural world of plants, animals, and environment. Humans are not distinct from these other life forms; rather, they are all “living beings” composed of qi (vital energy or life force). Qualities such as ziran (spontaneity or naturalness) lead to a relationship with animals characterized by care and nurture. According to the chapter, Daoists are more likely to be “responsible gardeners, farmers, and foresters” than “eco-warriors.” Nevertheless, the environmental ethic inspired by this tradition shows promise for creating real change in the world.
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9

Kraut, Richard. The Oyster and the Experience Machine. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198828846.003.0001.

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An experientialist conception of well-being holds that well-being is composed of many goods, all of them experiential, but only one of which is pleasure. Against the prevailing orthodoxy, Nozick’s idea of an “experience machine” is shown to support rather than undermine experientialism. Further, the richness of human experience can give our lives a special kind of superiority: human goods are incommensurably better than the low-level pleasures that might be felt in an oyster-like existence. J. S. Mill’s distinction between the quality and the quantity of good experience is a rejection of the claim of J. M. E. McTaggart that a sufficiently long-lived oyster-like life would be better than a far briefer human life.
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10

Massimini, Marcello, und Giulio Tononi. Inferring Consciousness Out There. Übersetzt von Frances Anderson. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198728443.003.0008.

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This chapter describes a preliminary exploration in search of criteria for consciousness in the biological and physical world beyond the human skull, including dolphins, octopuses, parrots, bees, and computers. It argues that assessing the complexity of behavior and measuring the size of the brain may not provide a reliable estimate in animals. Likewise, it explains why some artificial systems, such as such as feed-forward deep learning networks, that are composed by many elements and that perform incredible feats, may not be conscious. Finally, it suggests that in the future precise empirical measurements of information integration may offer a valid tool to infer on the capacity of consciousness in non-human entities.
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Chalabi, Azadeh. Introduction. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198822844.003.0001.

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This book deals with human rights action planning from theoretical, doctrinal, empirical, and practical perspectives. It is structured into four parts and seven chapters. The first part is composed of two chapters that advance a novel general theory of human rights planning including four sub-theories. The second part, which contains two chapters, presents the results of a content analysis of all the nine core human rights conventions revealing the scope and nature of the obligation of the states to adopt a plan of action for implementing human rights. The third part, including one chapter, provides the empirical findings of a cross-case analysis of national human rights action plans of fifty-three countries exploring the major problems of these plans in different phases of planning and uncovering the underlying causes of these problems. The last part, which consists of two chapters, examines both national and supra-national human rights governance, setting out how these plans should be best developed, implemented, monitored, and how to maximize their effectiveness both at the national and international level.
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12

Winkler, Kenneth P. Hume’s Skeptical Logic of Induction. Herausgegeben von Paul Russell. Oxford University Press, 2015. http://dx.doi.org/10.1093/oxfordhb/9780199742844.013.37.

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For Hume, one task of logic is “to explain the principles and operations of our reasoning faculties”; this chapter is a study of his logic of inductive reasoning, as presented in Book I of his Treatise and in the Enquiry Concerning Human Understanding. Like other early modern logics—especially those composed, as Hume’s was, under the influence of Locke—Hume’s logic is descriptive, explanatory, and normative. It also aspires to be revelatory. It is descriptive in documenting how our reasoning actually proceeds, explanatory in telling us why it so proceeds, normative in telling us how it should proceed, and revelatory in using those findings to arrive at larger truths about human nature and human life. Hume formulates rules of inductive reasoning and ranks inductive arguments as better and worse. He also advocates the reform of intellectual disciplines. Yet his logic, it is argued, is at the same time deeply skeptical.
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13

Epstein, Charles M. Electromagnetism. Herausgegeben von Charles M. Epstein, Eric M. Wassermann und Ulf Ziemann. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780198568926.013.0001.

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This article elucidates on the concept of electromagnetism and electromagnetic induction with a view to explaining the theory of magnetic stimulation, used to cure diseases in human beings. Magnetic stimulation follows the principles of electromagnetism. A changing primary current induces secondary currents, which are called eddy currents, in the nearby conductors (human tissue in this case). The strength of the electric field is measured by its electromotive force (emf), which in turn, is measured in volts. The changing primary current also gives rise to an induced voltage in the primary loop itself. The essential circuitry of a magnetic stimulator is composed of three elements, the capacitor, inductance of the stimulation coil, and a switch to connect them. This article also explains the process of the energy flow system through the inductor-capacitor system, applying this principle to the biphasic TMS pulse.
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14

Benjamin, Ruha. Recasting Race. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190465285.003.0009.

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This chapter deprovincializes science by examining genomic sovereignty beyond the US context. Genomics research presents different elements of appeal to different groups of people. Future medical benefits as a result of genomics research are anticipated in India as well as Mexico. Both nations are composed of geographically clustered subgroups, and researchers reason that it would be beneficial to analyze each group's genetic makeup for possible differences between them. In bioethnic markets, human bodies are classified into biologically meaningful subgroups rather than as individuals or as a part of the human species as a whole. Some nations, such as Mexico, have chosen to prevent foreign researchers from gaining access to their citizens' genetic material, keeping the knowledge within their borders, while others release the information to other countries, contributing to an international effort to map populations' genetic material around the world.
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Barbiellini Amidei, Federico, John Cantwell und Anna Spadavecchia. Innovation and Foreign Technology. Herausgegeben von Gianni Toniolo. Oxford University Press, 2013. http://dx.doi.org/10.1093/oxfordhb/9780199936694.013.0014.

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The chapter explores the long-run evolution of Italy's performance in technological innovation as a function of international technology transfer, reconstructing the different phases and dimensions of Italian innovative activity, tracking the transfer of foreign technological knowledge through a number of channels, analyzing the impact of imported technology. The study is based on a newly constructed dataset, over the 1861-2009 period, composed of variables related to innovation activity performance, foreign technology transfer, and domestic absorptive and innovative capability. The analysis highlights, also by econometric assessment, the significant contribution of foreign technology to innovation activity results. Machinery imports and the accumulation of technical human capital contributed positively to innovation activity; inward FDI contributed positively to productivity growth, but not to indigenous innovation activity results. Differences across channels of technology transfer and historical phases emerge, also in connection with the evolution of human capital endowment and domestic innovative capacity.
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16

Bossenga, Gail. Estates, Orders and Corps. Herausgegeben von William Doyle. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780199291205.013.0009.

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Estates, orders, and corps provided one of the most important means of conceptualizing and organizing society in the old regime. According to a long-standing, and not infrequently contested ideal, European society was composed of a series of hierarchically arranged social groups (estates, orders, and corps), each with a prescribed function and corresponding degree of honour and privileges. In its simplest form, society consisted of three basic groups: the First Estate, the clergy, who prayed; the Second Estate, the nobility, who fought; and the Third Estate, the common people, who worked. This hierarchy of superiority and inferiority was, according to some theorists of the period, inscribed in the order of the universe, so that the terrestrial human hierarchy participated in a greater, divinely sanctioned celestial hierarchy.
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17

Deakin, Simon, und Zoe Adams. Markesinis & Deakin's Tort Law. Oxford University Press, 2019. http://dx.doi.org/10.1093/he/9780198747963.001.0001.

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Markesinis and Deakin’s Tort Law, now in its 8th edition, provides a general overview of the law and discussion of the academic debates on all major topics, highlighting the relationship between the common law, legislation, and judicial policy. In addition, the book provides a variety of comparative and economic perspectives on the law of tort and its likely development, always placing the subject in its socio-economic context, thereby giving students a deep understanding of tort law. The book is composed of eight parts. Part I starts by setting the scene, Part II looks at the tort of negligence. Part III turns to special forms of negligence. This is followed by Part IV which examines interference with the person. Part V turns to intentional interferences with economic interests. The next part looks at stricter forms of liability. Part VII examines the protection of human dignity which includes looking at defamation and injurious falsehood, and human privacy. The last part looks at defences and remedies.
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18

Deakin, FBA, Simon, Angus Johnston und Sir Basil Markesinis QC, FBA. Markesinis and Deakin's Tort Law. Oxford University Press, 2013. http://dx.doi.org/10.1093/he/9780199591985.001.0001.

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Markesinis and Deakin’s Tort Law, now in its 7th edition, provides a general overview of the law and discussion of the academic debates on all major topics, highlighting the relationship between the common law, legislation, and judicial policy. In addition, the book provides a variety of comparative and economic perspectives on the law of tort and its likely development, always placing the subject in its socio-economic context, thereby giving students a deep understanding of tort law. The book is composed of eight parts. Part I starts by setting the scene, Part II looks at the tort of negligence. Part III turns to special forms of negligence. This is followed by Part IV which examines interference with the person. Part V turns to intentional interferences with economic interests. The next part looks at stricter forms of liability. Part VII examines the protection of human dignity which includes looking at defamation and injurious falsehood and human privacy. The last part looks at defences and remedies.
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19

Sisman, Elaine. Symphonies and the Public Display of Topics. Herausgegeben von Danuta Mirka. Oxford University Press, 2014. http://dx.doi.org/10.1093/oxfordhb/9780199841578.013.004.

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To the multiple audiences for whom Haydn, Mozart, Beethoven, and their contemporaries composed—patrons, publishers, players, and an expanding universe of listeners at different levels of knowledge—symphonies were the ubiquitous markers of public musical life in the later eighteenth century, opening and sometimes closing concerts and theatrical events. To heighten their appeal and intelligibility, classical composers found topics for their symphonies in the expressive worlds of opera and theater, as well as in the realms of human activity in nature, at court, or (less often) in the church. In so doing, they heightened their listeners’ range of musical experiences and the possibility of shared interpretations. Rereading contemporaneous opinion to find surprising topical correlations, this chapter develops an understanding of symphonic topics that draws both on referential musical styles and on the textures and colors of the orchestra itself.
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O’Collins, SJ, Gerald. Three ‘Intentions’ to Respect. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198824183.003.0009.

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The inspired books of the Bible should be interpreted integrally. This involves respecting not only the ‘intention’ of the human authors who composed the sacred texts (the intentio auctoris), to the extent that this can be established, but also the ‘intention’ of the readers who take up the texts (the intentio legentis) and the ‘intention’ of the text itself (the intentio textus ipsius). We must respect what the original authors wanted to communicate but also acknowledge the insights of subsequent readers and the multiple meanings that emerge from the texts’ reception history. The historical-critical method, which studies the genesis and authorial meaning of our biblical texts, is necessary but insufficient. Where it lapses into an exegesis that separates itself from the faith community and purports to be impartial and ‘objective’, it may yield some specific results but hardly valuable insights into the inspired Scriptures as a whole.
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Cohn, Jr., Samuel K. Cholera’s First European Tour. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198819660.003.0008.

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This chapter discovers seventy-two cholera riots in the British Isles during the first thirteen-month cholera wave to strike the region in 1831–2. These show a variety of concerns with one distinctive characteristic that derived from new demands by anatomical schools to supply human cadavers for teaching. Overwhelmingly, the motives behind this cholera hate and violence, however, form a larger pattern seen from Asiatic Russia to New York City: fear of hospitals and the state induced by the belief that elites with physicians as their agents had invented the disease to cull populations of the poor. While impoverished women and children and recent immigrants composed crowds numbering as many as three thousand, the targets of the rioters were cholera vehicles, hospitals, and physicians. It was a class struggle but one which Marx, Engels, and later left-leaning historians have made little attempt to explain or even mention.
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22

McEnery, Tony. Corpus Linguistics. Herausgegeben von Ruslan Mitkov. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780199276349.013.0024.

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Corpus data have emerged as the raw data/benchmark for several NLP applications. Corpus is described as a large body of linguistic evidence composed of attested language use. It may be contrasted against sentences constructed from metalinguist reflection upon language use, rather than as a result of communication in context. Corpus can be both spoken and written. It can be categorized as follows: monolingual, representing one language; comparable, using multiple monolingual corpora to create a comparative framework; parallel corpora, wherein, corpus of one language is considered, and the data obtained, is translated in other languages. The choice of corpus depends on the research question/the chosen application. Adding linguistic information can enhance a corpus. Analysts, human or mechanical, or a combination achieves annotation. The modern computerized corpus has been in vogue only since the 1940s. Ever since, the volume of corpus banks have risen steadily and assumed an increasingly multilingual nature.
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23

Deudney, Daniel H. All Together Now. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190905651.003.0011.

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Today, swollen numbers of humanity are now intensively interactive and interdependent through vast networks of complex machines and built infrastructures that span the planet, whose unintended consequences and spillovers have grown to species significance. The practical context for all human activities has become a densely occupied and tightly coupled neighborhood. While the content of cosmopolitanism, in its ancient, Enlightenment, and current phases, reflects shrinking geographical spaces, it presumes an Earth composed of different places, rather than a more accurate “terrapolitan” view of Earth as a single place. In the terrapolitan situation, the central problem is not that humans are insufficiently attentive to the needs of distant others. Rather, it is that they are insufficiently attentive to their collective self-interest in survival in the face of existential threats. In part, these limitations stem from the utter novelty of the threats to basic interests that have arisen with such historical rapidity.
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Webster, Peter R. Children as creative thinkers in music. Herausgegeben von Susan Hallam, Ian Cross und Michael Thaut. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780199298457.013.0039.

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The study of creative thinking in music involves a complex combination of cognitive and affective variables, often executed at the highest levels of human thinking and feeling. This is such a complicated set of long-term engagements (composition, repeated music listening, or decisions about previously composed music in performance) or ‘in the moment’ engagements (improvisation and one-time listening), that it becomes quickly apparent why this field has not attracted more music researchers and why many feel the topic is hopelessly impregnable. However, the changes in education and the role of music in formal learning demands that we address creative thinking as best we can. This article takes a decidedly ‘teaching and learning’ approach in summarizing the many studies on creative thinking in music. While it is generally acknowledged that children's creative thinking in music occurs as part of many music experiences such as listening, performance, conducting, and improvising, the focus here is on composition.
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25

Ziad, Waleed. Transporting Knowledge in the Durrani Empire. University of California Press, 2017. http://dx.doi.org/10.1525/california/9780520294134.003.0006.

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Until the upheavals caused by the Soviet invasion, the leaders of the Naqshbandi-Mujaddidi Sufi order formed Afghanistan’s religious establishment. How this came about, however, has never been previously ascertained. This chapter examines how Muslim religious knowledge was first transmitted to Afghanistan from India through the lens of Naqshbandi-Mujaddidi Sufi manuals composed in Kabul and Peshawar at the turn of the nineteenth century. The chapter argues that these texts represent a new “handbook” genre, merging mystical theology and praxis. Before the advent of a regional print culture, they served as easily replicable tools enabling the efficient transfer of complex knowledge systems in the form of a regularized curriculum to diverse cultural environments beyond the Afghan Durrani Empire. Drawing from the field of readership studies, the chapter shows how these texts helped foster a uniform yet flexible cosmological and methodological system, which facilitated the exchange of human capital and texts across a vast territory, and absorbed a host of localized practices and institutions.
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Pugh, Jeffrey D. The Invisibility Bargain. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780197538692.001.0001.

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In an era of mass migration and restrictive responses, this book seeks to understand how migrants negotiate their place in the receiving society and adapt innovative strategies to integrate, participate, and access protection. Their acceptance is often contingent on the expectation that they contribute economically to the host country while remaining politically and socially invisible. These unwritten expectations, which this book calls the “invisibility bargain,” produce a precarious status in which migrants’ visible differences or overt political demands on the state may be met with a hostile backlash from the host society. In this context, governance networks of state and nonstate actors form an institutional web that can provide access to rights, resources, and protection for migrants through informal channels that avoid a negative backlash against visible political activism. This book examines Ecuador, the largest recipient of refugees in Latin America, asking how it has achieved migrant human security gains despite weak state presence in peripheral areas. The key finding is that localities with more dense networks composed of more diverse actors tend to produce greater human security for migrants and their neighbors. The argument has implications beyond Ecuador for migrant-receiving countries around the world. The book challenges the conventional understanding of migration and security, providing a fresh approach to the negotiation of authority between state and society. Its nuanced account of informal pathways to human security dismantles the false dichotomy between international and national politics, and it exposes the micropolitics of institutional innovation.
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Zinsstag, Jakob, Borna Müller und Ivo Pavlik. Mycobacterioses. Oxford University Press, 2011. http://dx.doi.org/10.1093/med/9780198570028.003.0015.

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The Mycobacterium tuberculosis complex MTC is composed of several species of mycobacteria which are M. tuberculosis, the main cause of human tuberculosis, M. canetti, M. africanum, M. microti, M. pinnipedii, M. caprae, and M. bovis. Cattle are the principal host of M. bovis, but a large number of other ruminants and other mammals, particularly wildlife are infected. Human tuberculosis is a global problem of huge proportions. More than 95% of human tuberculosis cases occur in developing and transition countries, of which one third are in Africa but the proportion of cases caused by M. bovis is still not known. Today, bovine tuberculosis (BTB) is re-emerging and threatens the livestock industry in industrialized countries with wildlife reservoirs like the wild tailed deer (Odocoileus virginianus) in the USA or the badger (Meles meles) in the UK. Most developing countries lack the means and capacity for effective control of BTB. A better understanding of its epidemiology is required to identify novel, locally adapted options for control in a given context. BTB in Africa is emphasized here because of the special importance of multiple transmission interfaces between wildlife, livestock and humans.In addition to obligatory pathogenic mycobacteria (esp. members of the MTC), potentially pathogenic mycobacteria (PPM) previously designated as ‘mycobacteria other than tubercle bacilli’ (MOTT) are increasingly important causes of mycobacterioses in humans and animals. Most of them are opportunistic in humans and occur mostly in immunocompromised patients. The mycobacteria that cause human disease are both the M. avium complex (MAC) members and other mycobacterial species MAC members have been detected in more than 95% of cases; this chapter will mainly focus on M. avium subsp. avium, M. a. hominissuis, and M. intracellulare.
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Instone, Stephen. Pindar: Selected Odes. Liverpool University Press, 1996. http://dx.doi.org/10.3828/liverpool/9780856686689.001.0001.

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Pindar's Odes, blending beauty of poetic form and profundity of thought, are one of the wonders of Ancient Greece. Composed in the first instance to commemorate athletics victories, they fan out like a peacock's tail to illuminate with brilliant subtlety and imagination the human condition in general, and how our moments of heroic achievement are inevitably tempered by our mortal frailties. This edition aims to make for the first time a selection of these wonderful, but complex, poems accessible and enjoyable not only to scholars and advanced students but especially to sixth-form students and non-Classicists (including anyone interested in Pindar's influence on English poetry). While particular attention is paid to elucidating Pindar's cryptic chains of thoughts and to explaining the significance of the myths in the odes, much greater help than usual in this series is given with translating the Greek. The selection, which contains Pindar's most famous poem (Olympian 1) and two particularly charming mythical stories (in Pythian 9 and Nemean 3), illustrates Pindar's range and variety by including odes commemorating victors at each of the four major games. The book presents Greek text with translation, commentary and notes.
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Bezzant, Rhys S. Edwards the Mentor. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780190221201.001.0001.

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Among his many accolades, Jonathan Edwards was an effective mentor who trained many leaders for the church. Though his pastoral work is often overlooked, this book investigates the background, method, theological rationale, and legacy of his mentoring ministry. He does what mentors normally do—meeting with individuals to discuss ideas and grow in skills—but undertakes these activities in a distinctly modern or affective key. His correspondence is composed in an informal style, his understanding of friendship and conversation takes up the conventions of the great metropolitan cities of Europe of his day, his pedagogical commitments are surprisingly progressive, and his aspirations for those he mentors are bold and subversive. The practice of mentoring is presented in this book as the exchange between authority and agency, in which the more experienced person in the mentoring relationship empowers the one in the position of a learner, whose own character and competencies are nurtured. When Edwards explains his mentoring practice theologically, he expounds the theme of seeing God face to face, which recognizes that human beings learn through the example of friends as well as the exposition of propositions. The book is a case study in cultural engagement, for Edwards deliberately takes up certain features of the modern world in his mentoring and yet resists other pressures that the Enlightenment generated. If his world witnessed the philosophical evacuation of God from the created order, Edwards’s mentoring is designed to draw God back into an intimate connection with human experience.
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Samuels, Richard. Massive Modularity. Herausgegeben von Eric Margolis, Richard Samuels und Stephen P. Stich. Oxford University Press, 2012. http://dx.doi.org/10.1093/oxfordhb/9780195309799.013.0004.

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The objective of the article is to discuss the evolution, hypothesis, and some the more prominent arguments for massive modularity (MM). MM is the hypothesis that the human mind is largely or entirely composed from a great many modules. Modules are functionally characterizable cognitive mechanisms that tend to possess several features, which include domain-specificity, informationally encapsulation, innateness, inaccessibility, shallow outputs, and mandatory operation. The final thesis that comprises MM mentions that modules are found not merely at the periphery of the mind but also in the central regions responsible for such higher cognitive capacities as reasoning and decision-making. The central cognition depends on a great many functional modules that are not themselves composable into larger more inclusive systems. One of the families of arguments for MM focuses on a range of problems that are familiar from the history of cognitive science such as problems that concern the computational tractability of cognitive processes. The arguments may vary considerably in detail but they share a common format. First, they proceed from the assumption that cognitive processes are classical computational ones. Second, given the assumption that cognitive processes are computational ones, intractability arguments seek to undermine non-modular accounts of cognition by establishing the intractability thesis.
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31

Stecker, Robert. Intersections of Value. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780198789956.001.0001.

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This book is about the universal human need to aesthetically experience the world around us. To this end, it examines three appreciative contexts where aesthetic value plays a central role: art, nature, and the everyday. The book concludes by asking: what is the place of the aesthetic in a good life? An equally important theme explores the way the aesthetic interacts with other values—broadly moral, cognitive, and functional ones. No important appreciative practice is completely centered on a single value and such practices can only be fully understood in terms of a plurality of intersecting values. Complementing the study of aesthetic appreciation are: (1) An analysis of the cognitive and ethical value of art; (2) an attempt to answer fundamental questions in environmental aesthetics, and an investigation of the interface between environmental ethics and aesthetics; and (3) an examination of the extent to which the aesthetic value of everyday artifacts derives from their basic practical functions. The book devotes special attention to art as an appreciative context because it is an especially rich arena where different values interact. Artistic value is complex and pluralistic, a value composed of other values. Aesthetic value is among these, but so are ethical, cognitive, and art-historical values.
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32

Thonemann, Peter. An Ancient Dream Manual. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780198843825.001.0001.

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Artemidorus’ Oneirocritica (‘The Interpretation of Dreams’) is the only dream-book which has been preserved from Graeco-Roman antiquity. Composed around AD 200, it is a treatise and manual on dreams, their classification, and the various analytical tools which should be applied to their interpretation. Artemidorus travelled widely through Greece, Asia, and Italy to collect people’s dreams and record their outcomes, in the process casting a vivid light on social mores and religious beliefs in the Severan age. This book aims to provide the non-specialist reader with a readable and engaging road-map to this vast and complex text. It offers a detailed analysis of Artemidorus’ theory of dreams and the social function of ancient dream-interpretation; it also aims to help the reader to understand the ways in which Artemidorus might be of interest to the cultural or social historian of the Graeco-Roman world. The book includes chapters on Artemidorus’ life, career, and worldview; his conceptions of the human body, sexuality, the natural world, and the gods; his attitudes towards Rome, the contemporary Greek polis, and the social order; and his knowledge of Greek literature, myth and history. The book is intended to serve as a companion to the new translation of The Interpretation of Dreams by Martin Hammond, published simultaneously with this volume in the Oxford World’s Classics series.
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Cabrera, Luis, Hrsg. Institutional Cosmopolitanism. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780190905651.001.0001.

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Is a global institutional order composed of sovereign states fit for cosmopolitan moral purpose? Cosmopolitan political theorists challenge claims that states, nations, and other collectives have ultimate moral significance. They focus instead on individuals: on what they share and on what each may owe to all others. They see principles of distributive justice—and increasingly political justice—applying with force in a global system in which billions continue to suffer from severe poverty and deprivation, political repression, interstate violence, and other ills. Cosmopolitans diverge, however, on the institutional implications of their shared moral view. Some argue that the current system of competing sovereign states tends to promote unjust outcomes and stands in need of deep structural reform. Others reject such claims and contend that justice can be pursued through transforming the orientations and conduct of individual and collective agents, especially states. This volume brings together prominent political theorists and international relations scholars—including some skeptics of cosmopolitanism—in a far-ranging dialogue about the institutional implications of the approach. The contributors offer penetrating analyses of both continuing and emerging issues around state sovereignty, democratic autonomy and accountability, and the promotion and protection of human rights. They also debate potential reforms of the current global system, from the transformation of cities and states to the creation of some encompassing world government capable of effectively promoting cosmopolitan aims.
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Hart, Patrick, Valerie Kennedy und Dora Petherbridge, Hrsg. Henrietta Liston's Travels. Edinburgh University Press, 2020. http://dx.doi.org/10.3366/edinburgh/9781474467353.001.0001.

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The book is the first print publication of Henrietta Liston’s Turkish Journals, a significant yet virtually unknown work of women’s travel writing. It is composed of the full text of the 1812-1814 journal and some further writings, such a significant 1813 letter from Liston to her nephew, Dick Ramage and extracts from other journals, and these are preceded by an extensive critical introduction. The journals reveal that as the wife of the British Ambassador to the Ottoman Empire, Liston had privileged access to the Ottoman elite and to the diplomatic corps. They reflect on British-Ottoman relations, combining Orientalist perspectives with a human-centred version of the picturesque. Liston offers astute commentaries on people, places, and events – including a plague-ridden Constantinople, the harem of the Grand Vizier’s deputy, the presentation of ambassadors in the Seraglio and the departure of pilgrims on the hajj. The introduction includes sections on Liston’s life and the diplomatic context of her writings, and the Ottoman social and political context of the period. Liston’s writings are considered in relation to the discourses of travel writing, to British-Ottoman relations, to Orientalism and the picturesque, and to other eighteenth-and nineteenth-century women travellers and their works on the Ottoman Empire. There is also discussion of the manuscripts on which the book is based, and of issues such as their composition, revision, and transcription.
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Johns, Michael. Intergovernmental Organizations and International Governance of Migration and Ethnic Politics. Oxford University Press, 2017. http://dx.doi.org/10.1093/acrefore/9780190846626.013.224.

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An intergovernmental organization, or international organization (IO), is an organization composed primarily of sovereign states (referred to as member states), or of other intergovernmental organizations. They are important aspects of public international law. IOs are established by a treaty that acts as a charter creating the group, and these treaties are formed when lawful representatives (governments) of several states go through a ratification process, providing the IO with an international legal personality. IOs also take part in issues regarding migration and the prevention of ethnic conflicts. Scholars create a general criterion in defining “politically significant” ethnic groups that can be used to help bring into focus ethnicity in regard to IO involvement. Only the groups that have suffered or benefited from discrimination and have been politically mobilized are included in this criterion. This standard is beneficial when considering IOs as they will only become involved in ethnic group/state relations for groups such as these. Meanwhile, the International Organization for Migration (IOM) is an intergovernmental organization that provides services and advice concerning migration to governments and migrants, including internally displaced persons, refugees, and migrant workers. From its roots as an operational logistics agency, the IOM has widened its scope to become the leading international agency working with governments and civil society to advance the understanding of migration issues, encourage social and economic development through migration, and uphold the human dignity and well-being of migrants.
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Boyle, Deborah. The Well-Ordered Universe. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780190234805.001.0001.

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The prolific Margaret Cavendish (1623–1673) published books on natural philosophy as well as stories, plays, poems, orations, allegories, and letters. Her mature philosophical system offered a unique vitalist materialist theory of Nature as composed of a continuous, non-atomistic, perceiving, knowing matter. In contrast to the dominant philosophical thinking of her day, Cavendish argued that all matter has free will and can choose whether or not to follow Nature’s rules. The Well-Ordered Universe explores the development of Cavendish’s natural philosophy from the atomism of her 1653 Poems, and Fancies to the vitalist materialism of her 1668 Grounds of Natural Philosophy and argues that her natural philosophy, her medical theories, and her social and political philosophy are all informed by an underlying concern with order, regularity, and rule-following. This focus on order reveals interesting connections among apparently disparate elements of Cavendish’s philosophical program, including her views on gender, on animals and the environment, and on sickness and health. Focusing on the role of order in Cavendish’s philosophy also helps reveal some key differences between her natural philosophy and her social and political philosophy, where Cavendish tended to be quite conservative. Cavendish thought that humans’ special desire for public recognition often leads to an unruly ambition, causing humans to disrupt society in ways not seen in the rest of Nature. The Well-Ordered Universe thus defends reading Cavendish as a royalist who endorsed absolute monarchy and a rigid social hierarchy for maintaining order in human society.
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Ehrlich, Benjamin. The Dreams of Santiago Ramón y Cajal. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780190619619.001.0001.

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This book contains the first English translation of the lost dream diary of Santiago Ramón y Cajal (1852–1934), the Nobel Prize-winning “father of modern neuroscience.” In the late nineteenth century, while scientific psychologists searched the inner world of human beings for suitable objects of study, Cajal discovered that the nervous system, including the brain, is composed of distinctly independent cells, later termed neurons. “The mysterious butterflies of the soul,” he romantically called them, “whose beating of wings may one day reveal to us the secrets of the mind.” Cajal was contemporary with Sigmund Freud (1856–1939), whose “secrets of the mind” radically influenced a century of thought. Although the two men never met, their lives and works were intimately related, and each is identified with the foundation of a modern intellectual discipline—neurobiology and psychoanalysis—still in conversation and conflict today. In personal letters, Cajal insulted Freud and dismissed his theories as lies. In order to disprove his rival, Cajal returned to an old research project and started recording his own dreams. For the last five years of his life, he abandoned his own neurobiological research and concentrated on psychological manuscripts, including a new “dream book.” Although his intention was to publish, the project was never released. The unfinished work was thought to be lost, until recently, when a Spanish book appeared claiming to feature the dreams of Cajal, along with the untold story of their complex journey into print.
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38

Schechter, Elizabeth. Self-Consciousness and "Split" Brains. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198809654.001.0001.

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The largest fiber tract in the human brain is the corpus callosum, which connects the two cerebral hemispheres. A number of surgeries severing this structure were performed on adults in the United States in the second half of the twentieth century. After they are surgically separated from each other in this way, a “split-brain” subject’s hemispheres begin to operate unusually independently of each other in the realms of perception, cognition, and the control of action—almost as if each had a mind of its own. But can a mere hemisphere really see? Speak? Feel? Know what it has done? The split-brain cases raise questions of psychological identity: How many subjects of experience are there within a split-brain subject? How many persons? How many minds? Under experimental conditions, split-brain subjects often act as though they were animated by two distinct conscious beings, evoking the duality intuition. On the other hand, a split-brain subject seems like one of us—not like two of us sharing one body. Split-brain subjects thus also evoke the unity intuition.This book is devoted to reconciling these two apparently opposing intuitions. The key to doing so are facts about the way self-consciousness operates in split-brain subjects. A split-brain subject is composed of two conscious psychological beings that fail to recognize each other’s existence and indeed cannot distinguish themselves from each other. Instead, each must first-personally identify with the split-brain subject as a whole, and in so doing, the two make themselves into one person.
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Ameriks, Karl. Kantian Subjects. Oxford University Press, 2019. http://dx.doi.org/10.1093/oso/9780198841852.001.0001.

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The first half of this book concerns issues directly related to a few key Kant texts and recent discussions of them. The Critical philosophy’s conception of subjectivity is the main focus, with special attention given to the features of freedom, autonomy, law, necessity, final ends, an overall human vocation, intentionality, and idealism. The second half contains essays on post-Kantian figures, with an emphasis on Hegel, Schelling, and Hölderlin and their role in introducing a fruitful ‘historical turn’ in philosophical methodology as well as a new conception of being a subject understanding itself as living a period of ‘late modernity.’ This period is still devoted to enlightenment ideals while recognizing limitations in the eighteenth century scientific and political developments that preoccupied Kant. Two major strands of post-Kantian philosophy along this line are distinguished: the more systematic approach of the classical works of German Idealism, and the mixed methodology of the Early Romantics, who also composed their main works in the context of Jena and the highly popular interpretation of Kant that was offered there by Reinhold. Highlights of the first part of the book include new close readings of Kant’s Groundwork and its relation to later thinkers such as Sartre, Murdoch, O’Neill, Prauss, and Brandom. The second part develops a post-Kantian philosophy of history, as outlined by Novalis and Schlegel, and connects this with a close reading of a number of texts by Hölderlin, who is argued to be the most Kantian and philosophically the most satisfying of the post-Kantians.
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Skiba, Grzegorz. Fizjologiczne, żywieniowe i genetyczne uwarunkowania właściwości kości rosnących świń. The Kielanowski Institute of Animal Physiology and Nutrition, Polish Academy of Sciences, 2020. http://dx.doi.org/10.22358/mono_gs_2020.

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Bones are multifunctional passive organs of movement that supports soft tissue and directly attached muscles. They also protect internal organs and are a reserve of calcium, phosphorus and magnesium. Each bone is covered with periosteum, and the adjacent bone surfaces are covered by articular cartilage. Histologically, the bone is an organ composed of many different tissues. The main component is bone tissue (cortical and spongy) composed of a set of bone cells and intercellular substance (mineral and organic), it also contains fat, hematopoietic (bone marrow) and cartilaginous tissue. Bones are a tissue that even in adult life retains the ability to change shape and structure depending on changes in their mechanical and hormonal environment, as well as self-renewal and repair capabilities. This process is called bone turnover. The basic processes of bone turnover are: • bone modeling (incessantly changes in bone shape during individual growth) following resorption and tissue formation at various locations (e.g. bone marrow formation) to increase mass and skeletal morphology. This process occurs in the bones of growing individuals and stops after reaching puberty • bone remodeling (processes involve in maintaining bone tissue by resorbing and replacing old bone tissue with new tissue in the same place, e.g. repairing micro fractures). It is a process involving the removal and internal remodeling of existing bone and is responsible for maintaining tissue mass and architecture of mature bones. Bone turnover is regulated by two types of transformation: • osteoclastogenesis, i.e. formation of cells responsible for bone resorption • osteoblastogenesis, i.e. formation of cells responsible for bone formation (bone matrix synthesis and mineralization) Bone maturity can be defined as the completion of basic structural development and mineralization leading to maximum mass and optimal mechanical strength. The highest rate of increase in pig bone mass is observed in the first twelve weeks after birth. This period of growth is considered crucial for optimizing the growth of the skeleton of pigs, because the degree of bone mineralization in later life stages (adulthood) depends largely on the amount of bone minerals accumulated in the early stages of their growth. The development of the technique allows to determine the condition of the skeletal system (or individual bones) in living animals by methods used in human medicine, or after their slaughter. For in vivo determination of bone properties, Abstract 10 double energy X-ray absorptiometry or computed tomography scanning techniques are used. Both methods allow the quantification of mineral content and bone mineral density. The most important property from a practical point of view is the bone’s bending strength, which is directly determined by the maximum bending force. The most important factors affecting bone strength are: • age (growth period), • gender and the associated hormonal balance, • genotype and modification of genes responsible for bone growth • chemical composition of the body (protein and fat content, and the proportion between these components), • physical activity and related bone load, • nutritional factors: – protein intake influencing synthesis of organic matrix of bone, – content of minerals in the feed (CA, P, Zn, Ca/P, Mg, Mn, Na, Cl, K, Cu ratio) influencing synthesis of the inorganic matrix of bone, – mineral/protein ratio in the diet (Ca/protein, P/protein, Zn/protein) – feed energy concentration, – energy source (content of saturated fatty acids - SFA, content of polyun saturated fatty acids - PUFA, in particular ALA, EPA, DPA, DHA), – feed additives, in particular: enzymes (e.g. phytase releasing of minerals bounded in phytin complexes), probiotics and prebiotics (e.g. inulin improving the function of the digestive tract by increasing absorption of nutrients), – vitamin content that regulate metabolism and biochemical changes occurring in bone tissue (e.g. vitamin D3, B6, C and K). This study was based on the results of research experiments from available literature, and studies on growing pigs carried out at the Kielanowski Institute of Animal Physiology and Nutrition, Polish Academy of Sciences. The tests were performed in total on 300 pigs of Duroc, Pietrain, Puławska breeds, line 990 and hybrids (Great White × Duroc, Great White × Landrace), PIC pigs, slaughtered at different body weight during the growth period from 15 to 130 kg. Bones for biomechanical tests were collected after slaughter from each pig. Their length, mass and volume were determined. Based on these measurements, the specific weight (density, g/cm3) was calculated. Then each bone was cut in the middle of the shaft and the outer and inner diameters were measured both horizontally and vertically. Based on these measurements, the following indicators were calculated: • cortical thickness, • cortical surface, • cortical index. Abstract 11 Bone strength was tested by a three-point bending test. The obtained data enabled the determination of: • bending force (the magnitude of the maximum force at which disintegration and disruption of bone structure occurs), • strength (the amount of maximum force needed to break/crack of bone), • stiffness (quotient of the force acting on the bone and the amount of displacement occurring under the influence of this force). Investigation of changes in physical and biomechanical features of bones during growth was performed on pigs of the synthetic 990 line growing from 15 to 130 kg body weight. The animals were slaughtered successively at a body weight of 15, 30, 40, 50, 70, 90, 110 and 130 kg. After slaughter, the following bones were separated from the right half-carcass: humerus, 3rd and 4th metatarsal bone, femur, tibia and fibula as well as 3rd and 4th metatarsal bone. The features of bones were determined using methods described in the methodology. Describing bone growth with the Gompertz equation, it was found that the earliest slowdown of bone growth curve was observed for metacarpal and metatarsal bones. This means that these bones matured the most quickly. The established data also indicate that the rib is the slowest maturing bone. The femur, humerus, tibia and fibula were between the values of these features for the metatarsal, metacarpal and rib bones. The rate of increase in bone mass and length differed significantly between the examined bones, but in all cases it was lower (coefficient b <1) than the growth rate of the whole body of the animal. The fastest growth rate was estimated for the rib mass (coefficient b = 0.93). Among the long bones, the humerus (coefficient b = 0.81) was characterized by the fastest rate of weight gain, however femur the smallest (coefficient b = 0.71). The lowest rate of bone mass increase was observed in the foot bones, with the metacarpal bones having a slightly higher value of coefficient b than the metatarsal bones (0.67 vs 0.62). The third bone had a lower growth rate than the fourth bone, regardless of whether they were metatarsal or metacarpal. The value of the bending force increased as the animals grew. Regardless of the growth point tested, the highest values were observed for the humerus, tibia and femur, smaller for the metatarsal and metacarpal bone, and the lowest for the fibula and rib. The rate of change in the value of this indicator increased at a similar rate as the body weight changes of the animals in the case of the fibula and the fourth metacarpal bone (b value = 0.98), and more slowly in the case of the metatarsal bone, the third metacarpal bone, and the tibia bone (values of the b ratio 0.81–0.85), and the slowest femur, humerus and rib (value of b = 0.60–0.66). Bone stiffness increased as animals grew. Regardless of the growth point tested, the highest values were observed for the humerus, tibia and femur, smaller for the metatarsal and metacarpal bone, and the lowest for the fibula and rib. Abstract 12 The rate of change in the value of this indicator changed at a faster rate than the increase in weight of pigs in the case of metacarpal and metatarsal bones (coefficient b = 1.01–1.22), slightly slower in the case of fibula (coefficient b = 0.92), definitely slower in the case of the tibia (b = 0.73), ribs (b = 0.66), femur (b = 0.59) and humerus (b = 0.50). Bone strength increased as animals grew. Regardless of the growth point tested, bone strength was as follows femur > tibia > humerus > 4 metacarpal> 3 metacarpal> 3 metatarsal > 4 metatarsal > rib> fibula. The rate of increase in strength of all examined bones was greater than the rate of weight gain of pigs (value of the coefficient b = 2.04–3.26). As the animals grew, the bone density increased. However, the growth rate of this indicator for the majority of bones was slower than the rate of weight gain (the value of the coefficient b ranged from 0.37 – humerus to 0.84 – fibula). The exception was the rib, whose density increased at a similar pace increasing the body weight of animals (value of the coefficient b = 0.97). The study on the influence of the breed and the feeding intensity on bone characteristics (physical and biomechanical) was performed on pigs of the breeds Duroc, Pietrain, and synthetic 990 during a growth period of 15 to 70 kg body weight. Animals were fed ad libitum or dosed system. After slaughter at a body weight of 70 kg, three bones were taken from the right half-carcass: femur, three metatarsal, and three metacarpal and subjected to the determinations described in the methodology. The weight of bones of animals fed aa libitum was significantly lower than in pigs fed restrictively All bones of Duroc breed were significantly heavier and longer than Pietrain and 990 pig bones. The average values of bending force for the examined bones took the following order: III metatarsal bone (63.5 kg) <III metacarpal bone (77.9 kg) <femur (271.5 kg). The feeding system and breed of pigs had no significant effect on the value of this indicator. The average values of the bones strength took the following order: III metatarsal bone (92.6 kg) <III metacarpal (107.2 kg) <femur (353.1 kg). Feeding intensity and breed of animals had no significant effect on the value of this feature of the bones tested. The average bone density took the following order: femur (1.23 g/cm3) <III metatarsal bone (1.26 g/cm3) <III metacarpal bone (1.34 g / cm3). The density of bones of animals fed aa libitum was higher (P<0.01) than in animals fed with a dosing system. The density of examined bones within the breeds took the following order: Pietrain race> line 990> Duroc race. The differences between the “extreme” breeds were: 7.2% (III metatarsal bone), 8.3% (III metacarpal bone), 8.4% (femur). Abstract 13 The average bone stiffness took the following order: III metatarsal bone (35.1 kg/mm) <III metacarpus (41.5 kg/mm) <femur (60.5 kg/mm). This indicator did not differ between the groups of pigs fed at different intensity, except for the metacarpal bone, which was more stiffer in pigs fed aa libitum (P<0.05). The femur of animals fed ad libitum showed a tendency (P<0.09) to be more stiffer and a force of 4.5 kg required for its displacement by 1 mm. Breed differences in stiffness were found for the femur (P <0.05) and III metacarpal bone (P <0.05). For femur, the highest value of this indicator was found in Pietrain pigs (64.5 kg/mm), lower in pigs of 990 line (61.6 kg/mm) and the lowest in Duroc pigs (55.3 kg/mm). In turn, the 3rd metacarpal bone of Duroc and Pietrain pigs had similar stiffness (39.0 and 40.0 kg/mm respectively) and was smaller than that of line 990 pigs (45.4 kg/mm). The thickness of the cortical bone layer took the following order: III metatarsal bone (2.25 mm) <III metacarpal bone (2.41 mm) <femur (5.12 mm). The feeding system did not affect this indicator. Breed differences (P <0.05) for this trait were found only for the femur bone: Duroc (5.42 mm)> line 990 (5.13 mm)> Pietrain (4.81 mm). The cross sectional area of the examined bones was arranged in the following order: III metatarsal bone (84 mm2) <III metacarpal bone (90 mm2) <femur (286 mm2). The feeding system had no effect on the value of this bone trait, with the exception of the femur, which in animals fed the dosing system was 4.7% higher (P<0.05) than in pigs fed ad libitum. Breed differences (P<0.01) in the coross sectional area were found only in femur and III metatarsal bone. The value of this indicator was the highest in Duroc pigs, lower in 990 animals and the lowest in Pietrain pigs. The cortical index of individual bones was in the following order: III metatarsal bone (31.86) <III metacarpal bone (33.86) <femur (44.75). However, its value did not significantly depend on the intensity of feeding or the breed of pigs.
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