Journal articles on the topic 'Guest Aggression'

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1

Ochi, Haruki, and Satoshi Awata. "Resembling the juvenile colour of host cichlid facilitates access of the guest cichlid to host territory." Behaviour 146, no. 6 (2009): 741–56. http://dx.doi.org/10.1163/156853909x446181.

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AbstractIn two coexisting species with similar body colours, one species may acquire benefits from mimicking the body colour of the other species. In Lake Tanganyika, the zoobenthivorous cichlid Neolamprologus mustax preferentially exploits the territories of the algivorous cichlid Variabilichromis moorii as a feeding ground, even though other zoobenthivorous cichlid species are expelled from these territories. The yellow body colour of the guest species, N. mustax, resembles that of juveniles of the host species, V. moorii, adults of which have entirely black bodies. To estimate the effect of juvenile colour on aggression from conspecific adults, the responses of adult V. moorii to dummy fish of four colours (black, yellow, white, and blue) were observed in this lake system. Our observations clearly demonstrated that adult V. moorii were less aggressive toward yellow, white, and blue dummies compared to black ones, with a slight difference in response to the yellow and white or blue dummies. This study indicates that resembling the colour of host juveniles can facilitate access of the guest species to host territory, but does not provide sufficient evidence for a hypothesis that the guest species mimics the body colour of the host juvenile.
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Scheithauer, Herbert, Panayiotis Stavrinides, and Kostas Fanti. "Thematic Section Guest Editorial: 22nd Workshop on Aggression: Contemporary Perspectives on Aggressive Behavior: Exploring Trends across the Lifespan - Part 1." International Journal of Developmental Science 12, no. 3-4 (February 27, 2019): 143–44. http://dx.doi.org/10.3233/dev-189003.

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3

Chekijian, Sharon, and Alexander Bazarchyan. "Violation of the Global Ceasefire in Nagorno-Karabagh: A Viral Amplification of Aggression." Prehospital and Disaster Medicine 36, no. 2 (January 29, 2021): 129–30. http://dx.doi.org/10.1017/s1049023x21000121.

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AbstractOn March 23, 2020, the United Nations (UN) made an “Appeal for a Global Ceasefire following the Outbreak of Coronavirus.” Despite this appeal, the Nagorno-Karabagh war was instigated on September 27, 2020. This Guest Editorial frames the conflict in the context of the UN appeal and by introducing a figure that plots seven-day average coronavirus disease 2019 (COVID-19) cases overlaid with key inflection points to illustrate the clear impact that conflict has had on pandemic spread in Armenia. The conflict in Nagorno-Karabagh provides a timely, concise, and illustrative example of conflict and its impact on health. Finally, an argument is made that the ability to enforce the UN “Appeal for a Global Ceasefire” is essential to ensure global health and security.
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Risum, Janne. "The Foreign-Policy Aspect of Mei Lanfang’s Soviet Tour in 1935." Nordic Theatre Studies 31, no. 2 (May 18, 2020): 89–101. http://dx.doi.org/10.7146/nts.v31i2.120123.

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The Soviet tour in 1935 of the eminent Chinese male interpreter of female roles, Mei Lanfang, attracted justified international attention as a pioneering instance of cultural and aesthetic exchange. This is not least due to the fact that it was the first time a traditional Chinese theatre troupe made a guest appearance in Europe and that so many prominent Russian and other European theatre innovators consequently eagerly followed the event and reacted to the traditional Chinese stage conventions according to their very different aesthetic points of view. Complementing my published research over the years into the details of this major intercultural stage event, in this article I reverse my perspective and almost exclusively focus on its foreign-policy context. I demonstrate that from the more pragmatic point of view of international politics at the time, another aspect of Mei’s tour was much more important: It was an act of cultural diplomacy which helped break a deadlock in foreign relations between the Soviet Union and the Republic of China, and in so doing helped facilitate their formation of a defensive military alliance in response to the rapidly increasing Japanese aggression against them both. War memories, as well as memory wars, formed part of this foreign policy staging of Mei Lanfang’s Soviet guest appearance and its subsequent documentation.
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Dwi Poetranto, Isa Wahjoedi, and Lukia Zuraida. "STRATEGI PENGEMBANGAN ESPACE SPA BALI DALAM MENGHADAPI PERSAINGAN GLOBAL." Jurnal Ilmiah Hospitality Management 9, no. 1 (December 23, 2018): 17–28. http://dx.doi.org/10.22334/jihm.v9i1.141.

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This research aim to find out the development strategies of Espace Spa Bali in facing global competition, to find out the the guests characteristic and to find out of the guest push and pull motivation in visiting Espace Spa Bali. Random sampling was used with total sample of 45 guests (15% of 300 visiting guests in a month). The data were taken from interview and questionnaire. The SWOT analysis technique was used to analyze the data obtained through the interview, and the descriptive frequency technique was used to analyze the guests characteristics and motivation questionnare data. The result of research showing that Espace Spa Bali is on quadran I (aggressive) with x axis (2.50) and y axix (2.45). the developed strategies are strengthening the brand, quality, marketing and price, also increasing the cooperation with stakeholders. The guest mostly female coming from Australia, France and Japan with the education background from senior high school, diploma, bachelor degrees, ages range from 26 till 56 years old, married status and single are balanced. Guests mostly has job as a staff or office employees and first time visiting Bali. The push motivation factor are indicate that the reason guests visiting Espace Spa Bali for rejuvenation, social an joy, luxury life style, health and beauty, relaxation, escape from routin job. The pull motivation factor are indicate that the guests choose Espace Spa Bali because of proffesionalism and attitude of therapist, good amenities, clean and tidy facility, the room decoration adjust for comfortable treatment Keywords: Global Competition, Development Strategies, Characterics, Push Motivation, Pull Motivation
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6

Lēvalde, Vēsma. "Atskaņotājmākslas attīstība Liepājā un Otrā pasaules kara ietekme uz mūziķu likteņiem." Aktuālās problēmas literatūras un kultūras pētniecībā: rakstu krājums, no. 26/1 (March 1, 2021): 338–51. http://dx.doi.org/10.37384/aplkp.2021.26-1.338.

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The article is a cultural-historical study and a part of the project Uniting History, which aims to discover the multicultural aspect of performing art in pre-war Liepaja and summarize key facts about the history of the Liepāja Symphony Orchestra. The study also seeks to identify the performing artists whose life was associated with Liepāja and who were repressed between 1941 and 1945, because of aggression by both the Soviet Union and National Socialist Germany. Until now, the cultural life of this period in Liepāja has been studied in a fragmentary way, and materials are scattered in various archives. There are inaccurate and even contradictory testimonies of events of that time. The study marks both the cultural and historical situation of the 1920s and the 1930s in Liepāja and tracks the fates of several artists in the period between 1939 and 1945. On the eve of World War II, Liepāja has an active cultural life, especially in theatre and music. Liepāja City Drama and Opera is in operation staging both dramatic performances, operas, and ballet, employing an orchestra. The symphony orchestra also operated at the Liepāja Philharmonic, where musicians were recruited every season according to the principles of contemporary festival orchestras. Liepāja Folk Conservatory (music school) had also formed an orchestra of students and teachers. Guest concerts were held regularly. A characteristic feature of performing arts in Liepaja was its multicultural character – musicians of different nationalities with experience from different schools of the world were encountered there. World War II not only disrupted the balance in society, but it also had a very concrete and tragic impact on the fates of the people, including the performing artists. Many were killed, many repressed and placed in prisons and camps, and many went to exile to the West. Others were forced to either co-operate with the occupation forces or give up their identity and, consequently, their career as an artist. Nevertheless, some artists risked their lives to save others.
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Antao, Nicholas, and Ashok Shyam. "Editorial for WIROC 22 Issue." Journal of Clinical Orthopaedics 7, no. 1 (2022): 1. http://dx.doi.org/10.13107/jcorth.2022.v07i01.453.

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The 2019 WIROC issue featured the first symposium on surgical site infections, spearheaded by Dr. Gautam Zaveri. Our symposium in the 2022 WIROC issue, the brainchild of Dr. Vishall Kundnani and team, features a special on spine pathology. It has contributions from stalwarts of spinal surgery all over India in the form of case reports, review articles, original articles, imaging and diagnostic tests, meta-analysis, arthroscopy-assisted spinal surgery, and current trends in spinal surgery. It provides insight into the challenges associated with the diagnosis and management of various spinal ailments, which can cause our patients significant distress. Our four guest editorials include heart-warming messages from Dr. S. Gawhale, Bombay Orthopedic Society President, Dr. Kushall Kundnani, Dr. K. Badani, and Dr. Kshitij Chaudhary. We are fortunate that Dr. Bhaskar Anand, winner of Indian Society of Hand Surgery Award for lifetime achievement, has contributed his rich experience in dealing with CLUB hand. We feature a highly informative review article on management of the 1st time shoulder dislocators as well as an inspiring research article on newer concepts in the 1st time patellar dislocators. An original article summarizing the technique of Arthroscopic Latarjet management of shoulder instability is particular enlightening as it simplifies a difficult surgery in a succinct manner. The landscape of joint replacement surgery is ever changing with newer techniques of uncemented knee joint replacement receiving positive reviews in meta-analyses. Therefore, we have also featured an article on cementless knee replacement, which is an eye opener to the progress of science and technology. An article on the severity of violence of irate patient relatives toward doctors is frightening, but thought provoking. It guides the reader on how to take various preventive measures when faced with aggression and violence. The role of ultrasonography of the hip reveals how hip pathologies can be identified in their infancy, especially in the neonatal setting. Finally, a potpourri of articles in trauma of the foot and ankle is both stimulating and informative. I am certain our readers will be enriched by the information discussed in this issue and utilize the knowledge gained to provide the best evidence-based care to their patients.
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8

Boström, H. L. B., S. Bette, S. T. Emmerling, M. W. Terban, and B. V. Lotsch. "Guest-responsive thermal expansion in the Zr–porphyrin metal–organic framework PCN-222." APL Materials 10, no. 7 (July 1, 2022): 071106. http://dx.doi.org/10.1063/5.0091091.

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We use powder x-ray diffraction under variable temperature to study the thermal expansion of the metal–organic framework (MOF) PCN-222. The thermal expansion increases drastically in magnitude following more aggressive heating, which is rationalized by enhanced flexibility upon guest removal. Moreover, the thermal response strongly depends on the temperature: the volumetric expansivity nearly quadruples and the expansion along c changes sign upon cooling. Our results highlight the large flexibility of MOFs and the role of guest species.
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9

Shatokhin, A. S., and R. N. Ushakov. "Development of a hotel marketing plan." Gostinichnoe delo (Hotel Business), no. 8 (August 25, 2022): 537–47. http://dx.doi.org/10.33920/igt-2-2208-07.

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Many hotel enterprises apply the concept of intensifying commerce during overproduction in order to sell hotel services, rather than the ones required by the hotel market. Of course, marketing is based on aggressive sales. Such as offensive strategy is associated with great risk, since marketing focuses on a one-time transaction, and not on mutually beneficial and long-term relationships with the client. Such marketing adheres to the opinion that the guest will soon forget about the dissatisfaction with the poor-quality service and will use the services of the same hotel again. Statistics show that the opposite has been done — a satisfied guest is inclined to tell his friends about the service he liked, while an unsatisfied one shares with his friends only his own disappointment in the poor-quality service.
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10

Futterman, LG, and L. Lemberg. "Inflammation in plaque rupture: an active participant or an invited guest?" American Journal of Critical Care 7, no. 2 (March 1, 1998): 153–61. http://dx.doi.org/10.4037/ajcc1998.7.2.153.

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Numerous reports have established the association of inflammation with acute coronary events. Data have been presented that suggest that elevated levels of CRP indicate heightened risk of future MI and stroke. Thus CRP measurement is both predictive and prognostic of cardiovascular and cerebrovascular events. Is inflammation merely a marker, an invited guest so to speak, or is inflammation an active participant that influences the process of plaque rupture and thrombus formation? The beneficial effects of aspirin in reducing the risks of a first MI and stroke are directly related to high plasma concentrations of CRP, whereas small, nonsignificant reductions in risk occurred among patients with low or normal CRP levels. Thus inflammation is not only an uninvited guest but is actually an aggressive participant in the destabilization of the atheromatous endothelial plaque.
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11

Faragó, T., N. Takács, Á. Miklósi, and P. Pongrácz. "Dog growls express various contextual and affective content for human listeners." Royal Society Open Science 4, no. 5 (May 2017): 170134. http://dx.doi.org/10.1098/rsos.170134.

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Vocal expressions of emotions follow simple rules to encode the inner state of the caller into acoustic parameters, not just within species, but also in cross-species communication. Humans use these structural rules to attribute emotions to dog vocalizations, especially to barks, which match with their contexts. In contrast, humans were found to be unable to differentiate between playful and threatening growls, probably because single growls' aggression level was assessed based on acoustic size cues. To resolve this contradiction, we played back natural growl bouts from three social contexts (food guarding, threatening and playing) to humans, who had to rate the emotional load and guess the context of the playbacks. Listeners attributed emotions to growls according to their social contexts. Within threatening and playful contexts, bouts with shorter, slower pulsing growls and showing smaller apparent body size were rated to be less aggressive and fearful, but more playful and happy. Participants associated the correct contexts with the growls above chance. Moreover, women and participants experienced with dogs scored higher in this task. Our results indicate that dogs may communicate honestly their size and inner state in a serious contest situation, while manipulatively in more uncertain defensive and playful contexts.
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12

Owens, Laurence, Rosalyn Shute, and Phillip Slee. "?Guess what I just heard!?: Indirect aggression among teenage girls in Australia." Aggressive Behavior 26, no. 1 (2000): 67–83. http://dx.doi.org/10.1002/(sici)1098-2337(2000)26:1<67::aid-ab6>3.0.co;2-c.

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13

Foley, Michael, Patrick Forber, Rory Smead, and Christoph Riedl. "Conflict and convention in dynamic networks." Journal of The Royal Society Interface 15, no. 140 (March 2018): 20170835. http://dx.doi.org/10.1098/rsif.2017.0835.

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An important way to resolve games of conflict (snowdrift, hawk–dove, chicken) involves adopting a convention: a correlated equilibrium that avoids any conflict between aggressive strategies. Dynamic networks allow individuals to resolve conflict via their network connections rather than changing their strategy. Exploring how behavioural strategies coevolve with social networks reveals new dynamics that can help explain the origins and robustness of conventions. Here, we model the emergence of conventions as correlated equilibria in dynamic networks. Our results show that networks have the tendency to break the symmetry between the two conventional solutions in a strongly biased way. Rather than the correlated equilibrium associated with ownership norms (play aggressive at home, not away), we usually see the opposite host–guest norm (play aggressive away, not at home) evolve on dynamic networks, a phenomenon common to human interaction. We also show that learning to avoid conflict can produce realistic network structures in a way different than preferential attachment models.
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14

Loftus, Michael B. "Internships In Embassy Suites Hotels: Developmentthrough Management Style." Hospitality Education and Research Journal 12, no. 2 (February 1988): 492–93. http://dx.doi.org/10.1177/109634808801200265.

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Hotel management students of today are the future of the hotel industry. They must demonstrate unique qualities enabling them to get along with all types of people. In addition, they must possess dedication, as the hours may be long. No matter what the obstacle and with these aspects considered, students eagerly continue to sincerely pursue internships in hotel management. Conclusively, these managers of the future must have it in their hearts to be a success. Embassy Suites Hotels, through internships, cultivates these desires into realities. An internship in Embassy Suites is designed to fulfill many purposes. First, and foremost, students are encouraged to develop their management style by being given the responsibility to make their own decisions. It is through this process of trial and error that allows interns to learn by experience, a task they could not undertake in a classroom. Second, they are involved with the entire operation of the hotel, from cleaning suites and folding towels to occupancy and revenue statistics. By becoming a well-rounded individual, the intern can understand the actual mechanics of the hotel industry. In addition, this cross training is an advantage to the development of their management style. Third, they learn how to care about other employees and work as a team. Although all students applying for internship are screened meticulously, the focal points to being accepted into Embassy Suites is the way in which they can interact with people. Enthusiasm and a willingness to learn are the two basic building blocks of management. With these characteristics, as well as a solideducation, the Embassy Suites intern can only soar into the professional world. Embassy Suites employees, including intems, are given liberties most other hotel companies tend to restrict. They are encouraged to handle guest complaints and rectify negative situations before they become major problems. It is through these guest/employee relations that guests' needs are efficiently met in addition to the employees progressing to more demanding or difficult situations. Statistics regarding the hotel's occupancy, average daily rates and budgets are openly discussed. The intern immediately becomes involved with the data they had only studied previously. They now have the opportunity to actually work with their knowledge. Additionally, the interns are held responsible for their end in order to ensure the hotel's overall profit. The constant ongoing training of all interns is essential. Each perspective new intern at Embassy Suites Meadowlands is interviewed not only by at least two department heads, but also by the general manager as well as three peer employees of the hotel. If hired, the new intern spends the first night at the hotel, sensing the guests experience. His first day consists of one hour in each major department of the hotel working hands-on. This allows the intern to become familiar with his coworkers as well as learn the importance of the co-existence of all departments working as a whole unit. Furthermore, the new intern is taken to lunch at the hotel's restaurant by the manager on duty as well as the general manager. The whole orientation experience serves as a foundation for each intern to build their career path. Consequently, training is held as an essential tool. Basically, when training ceases, service suffers. In college, students are taught the theories of the hotel industry. During their internship, they experience the reality of the undertaking. However, in becoming an Embassy Suites hotel manager, they are impressed with the Embassy Suites philosophy of caring about people. It should always be remembered to take care of the employees and treat them with respect; they will, in turn, serve the guests well. It is the guests who ultimately take care of the bottom line. It is Embassy Suites policy, for example, for every general manager's desk to be easily located in the lobby of the hotel. This allows employees to be able to approach their managers whenever the feel the need. Furthermore, employees and managers relate on one level, creating a team atmosphere. It may be the general manager who pitches the ball, but he cannot win or even play without a batter or a catcher. All staff members are referred to on a first name basis creating a comfortable environment unlike the rigid management hierarchies of the past. Thus all name tags have only the first names and hometowns inscribed on them. It is realized by Embassy Suites that intimidation and lack of communication are not good examples to set. By listening to and understanding their employees, by working with their employees in their day to day duties, and by helping them, especially during peak hours, managers gain their employees respect, not demand it. Hotel management of today has quite changed since long ago. Interns are now given the opportunity to advance more rapidly in the hotel industry. By demonstrating their sense of responsibility, taking charge of situations and thinking through problems logically, they are creating an aggressive, responsive management style. It is they who will set the example for the next generation. Future interns will learn as much in the classroom as in the hotel. College instructors and hotel managers will ultimately become co-professors, working together to produce motivated, well-rounded managers. This will be accomplished by interns not only working in the hotel, but also more involvement of hotel managers and employees in the classroom. Future Embassy Suites interns will truly be future Embassy Suites managers. Their definitive goal to be a family of hotel managers and employees welcoming each guest to their home.
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Berman, Lila Corwin. "Mission to America: The Reform Movement’s Missionary Experiments, 1919–1960." Religion and American Culture: A Journal of Interpretation 13, no. 2 (2003): 205–39. http://dx.doi.org/10.1525/rac.2003.13.2.205.

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In 1938, Jerome Folkman, a Reform rabbi from Grand Rapids, Michigan, attended a dinner party hosted by one of his congregants. The guests had finished eating and were settling into typical after-dinner chatter, when the audacious “Mr. R.” broke the rhythm and declared, “We should send missionaries to the gentiles and try to win converts to Judaism.” Side conversations halted and the guests, all Jewish, curiously peered at Mr. R. as he continued: “Why aren't we more aggressive? Why don't we ask others to join our ranks?” The guests tittered. Some giggled nervously, others muttered that Jews just don't do that. A pragmatist interrupted—the suggestion, in his mind, was only as good as its actual consequences. “Do you think we would get any converts?” he asked. Rabbi Folkman, who later divulged he, too, had toyed with the idea of Jews becoming missionaries in America, tried to clarify the kernel of wisdom behind Mr. R.'s shocking statement.
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Warden, Claire. "“We are here to salute the Red Army”: Basil Dean and His Russian Adventures." Theatre Survey 54, no. 3 (August 29, 2013): 347–66. http://dx.doi.org/10.1017/s0040557413000252.

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In 1943, Britain had been at war with Nazi Germany for over three years. The USSR had become a rather unlikely British ally in 1941, and after two years of brutal conflict had begun to gain an advantage against German troops, who were demoralized by the fierce Russian winter and a lack of supplies. With this as a backdrop, on 21 February 1943, more than two thousand participants performed a large-scale pageant called Salute to the Red Army at the Royal Albert Hall in London to commemorate Red Army Day and celebrate the Soviet–British alliance against Nazi aggression. British cities such as Cardiff, Manchester, and Bristol also honored Britain's Russian allies with marches, rallies, and other celebrations. The pageant was London's contribution to these nationwide festivities. Although the audience at the Royal Albert Hall event comprised selected and invited guests, enormous crowds attended other regional events, as did prominent military dignitaries, members of local councils, local members of Parliament, and Russian military guests. This multicity event is one demonstration of how the extremes of war produce unlikely bedfellows.
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Poliakovskyi, V. M., V. M. Mykhalska, L. V. Shevchenko, and М. S. Gruntkovskyi. "Biological features of guests and requirements for their containment." Sučasne ptahìvnictvo, no. 11-12 (December 23, 2020): 22–27. http://dx.doi.org/10.31548/poultry2020.11-12.022.

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This article reveals the biological features of guinea fowl and methods of keeping them. Guinea fowl are raised and bred to produce dietary meat, high-quality eggs, and to control pests of crops: snails, insects, including the Colorado potato beetle. The main direction of growing guinea fowl is meat, in terms of meat yield guinea fowl are not inferior to chickens. The taste of guinea fowl resembles game, but it is more tender, juicy and not fibrous. Guinea fowl have a horizontally placed oval body, short neck, large head with a strong growth in the crest, short, lowered tail. Guinea fowl are unpretentious, easily acclimatized to any natural and climatic conditions. The disadvantages of this species of bird include a poorly developed hatching instinct and aggression during capture. With age, the aggression of guinea fowl increases. This bird is also known to make unpleasant shrill sounds, which is why they are sometimes refused to breed. When keeping guinea fowl, it should be borne in mind that domestic guinea fowl inherited from the wild the ability to fly well. They are mobile, timid, reluctant to go to the nest and often lay eggs in hidden, cozy places. After isolating males from the herd, females are able to lay fertilized eggs for more than 10 days. This species of birds is quite well acclimatized and shows a fairly high egg productivity in different methods of cultivation. There are several ways to keep guinea fowl. The most common walking method, which involves keeping guinea fowl during the day on pasture, and at night — indoors. Keeping on the floor (on deep litter) is used when it is not possible to give the bird exercise. The cage method allows to increase the efficiency of production area, reduce feed costs by 15%, to mechanize the care and maintenance of poultry houses.
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Ender, Evelyne, and Deidre Shauna Lynch. "Guest Column—On “Learning to Read”." PMLA/Publications of the Modern Language Association of America 130, no. 3 (May 2015): 539–45. http://dx.doi.org/10.1632/pmla.2015.130.3.539.

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The theories and methodologies feature of this issue of PMLA contains a cluster of essays devoted to the subject of reading. At a time when many states in the United States are in the throes of a major public-education reform designed to prepare better-educated, more literate citizens for tomorrow's world, we collected these essays in the belief that scholars belonging to the MLA might be interested in reflecting on this effort in the light of their research. Hence our title, “Learning to Read,” and our appeal to our contributors to consider what they, with their scholarly expertise and pedagogical experience, might contribute to the charged debates about the Common Core State Standards Initiative (CCSSI)— debates that remind us of the high stakes involved in training good readers. We hope that PMLA readers will agree with us that the question of how the architects of the Common Core have defined the uses and measures of literacy education affects much of the MLA membership—professors, adjuncts, and graduate instructors alike.For some years now, test results have indicated that American schoolchildren read more poorly than many of their peers abroad (Heitin). A distinctive feature of the Common Core (the shorthand title for an extraordinary effort to align educational requirements and standards nationwide) lies in its effort to devise a graduated progression in the standards for the English language arts (ELA) that is anchored in the skills of close reading. Given that the changes in teaching objectives defined and prescribed by the standards might transform the way children in America learn to make sense of the written word, it is only natural that our professional body would respond. The decisive, and some might say aggressive, manner in which the architects of the Common Core have recast the fundamentals of the ELA has provoked strong reactions, not only among K-12 teachers but also in higher education. Concerns were voiced early on in sessions at MLA conventions starting in 2013, and those conversations have continued on MLA Commons (e.g., Ferguson).
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Torres, Edwin N., Ady Milman, and Soona Park. "Delighted or outraged? Uncovering key drivers of exceedingly positive and negative theme park guest experiences." Journal of Hospitality and Tourism Insights 1, no. 1 (February 12, 2018): 65–85. http://dx.doi.org/10.1108/jhti-10-2017-0011.

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Purpose Despite multiple studies of customer delight in various service industries, limited research exists in the hedonically driven theme park context. The purpose of this paper is to explore the key drivers of customer delight and outrage in theme parks by analyzing TripAdvisor’s comments from visitors to the top 20 North American theme parks. Design/methodology/approach Following the analysis of thousands of extremely positive and negative comments using MAXQDA qualitative software, keywords drivers of delight and outrage were identified. The researchers applied both thematic and root cause in order to ascertain the sources leading to both positive and negative consumer feedback. Findings Delighted guests relayed various aspects of their experience including positive affect experience, positive value perceptions, and limited wait times. Root causes that influenced customer delight included: excellent core product, quality food and beverage, servicescape, pricing decisions, and low visitor demand or sensible admissions policies. Outraged guests described various aspects of their experiences such as negative perceptions of value, long waits, poor customer service, and negative emotions. Root causes for customer outrage included low quality or deficient core products, poor quality of food and beverage, poor facility maintenance, aggressive pricing decisions, poor staff selection, training, and working conditions, and high customer demand on any given date or aggressive admissions policies. Originality/value The present research is unique in that it exposes the key themes of customer delight and outrage in the theme park setting, presents a conceptual model, and analyzes its root causes.
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Kadous, Kathryn, and Molly Mercer. "Are Juries More Likely to Second-Guess Auditors under Imprecise Accounting Standards?" AUDITING: A Journal of Practice & Theory 35, no. 1 (December 1, 2014): 101–17. http://dx.doi.org/10.2308/ajpt-51016.

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SUMMARY U.S. auditors are concerned that less precise accounting standards will cause more second-guessing of their judgments and thus greater legal liability. We report the results of an experiment that tests the validity of this concern. We manipulate the aggressiveness of the client's reporting decision and the precision of the accounting guidance related to the reporting decision. When the client's reporting is conservative, we observe more second-guessing of auditor judgments under the imprecise standard than the precise standard. However, when the auditor allows aggressive client reporting, we observe less tendency toward second-guessing under the imprecise standard. Indeed, rather than being overly harsh, juries appear to be overly lenient when auditors allow aggressive accounting under an imprecise standard. Our results suggest a need for tools to help jurors evaluate auditor judgments under imprecise standards.
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Jatmiko, Hadi, and Cristian Rizqi Anggraini. "Strategi Pemasaran pada Masa Pandemi dalam Upaya Meningkatkan Tingkat Hunian Kamar Hotel di Jember (Studi Kasus di Hotel Bintang Mulia)." Tourism Scientific Journal 7, no. 2 (June 30, 2022): 223–41. http://dx.doi.org/10.32659/tsj.v7i2.182.

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This study aims to analyze the right marketing strategy to increase the room occupancy rate during the pandemic. The population of this study were employees at the Bintang Mulia hotel with a proportional random sampling of 44 respondents. Structured interviews with hotel managers and associations. The research analysis method uses SWOT analysis. The results of the study stated that the position of the Bintang Mulia hotel was in Quadrant I, this was based on the results of the IFAS and EFAS analysis. The strategy that can be applied is an aggressive growth policy (growth-oriented strategy, while alternative strategies include: First, implementing an online booking system which is expected to provide convenience for guests. Second, getting used to the application of health protocols that guests are expected to feel safe. Third, maintaining and improve the quality of its services, improvement efforts can be made through assessments from visitors through feedback in the form of ratings and reviews on travel agent applications. Fourth, collaborate with genpi, influencers, and the government.
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Rosita, Ameliya. "Kanto’s Guest House Business Competitive Strategic Analysis for Sustainable Income." Business Economic, Communication, and Social Sciences (BECOSS) Journal 4, no. 2 (June 4, 2022): 83–87. http://dx.doi.org/10.21512/becossjournal.v4i2.7836.

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This research aims to formulate and select Kantos House (KH) - Guest House strategy to face the competitive market in hotel accommodation industry for optimizing sustainable income through (1) evaluated brand awareness of KH; (2) identified external and internal factors that significant related to KH business, (3) analyzed brand effectiveness and competitive advantages of KH for optimizing sustainable income. This research method used Kapferer’s Prism for analyzing KH brand identity, multichannel online review for analyzing consumer feedback of output average score of company’s hotel score review, room occupancy company report for analyzing average rate of KH’s occupancy, and SWOT diagram analysis. The result of this research shows currently the design of company brand has accomplished all the six criteria based on Brand Identity Prism, unfortunately the brand awareness still on low level. This resulted related due to the absence of brand marketing communication company’s budget. Customer Review currently is very important for company, which proof by the management’s commitment to maintain the average rate of KH online review at least or more than 4,4 of 5 star “very good” (Google rating version), also by opening review channels for customer feedback by putting the sticker for TripAdvisor review on the wall near the lobby hotel also via online by adding sub- menu for the review purposed. The average level of KH’s room occupancy from 2017 until November 2018 was 82% and on 2017 was 87%. This result is favorable which the company’s position highly above of the Indonesian hotel’s average room occupancy in 2017 was on 65% (BPS 2017). The SWOT analysis result showed the position of KH was in the 1st quadrant means company on healthy condition which the suitable competitive strategy is growth or aggressive strategy.
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Charness, Gary, Luca Rigotti, and Aldo Rustichini. "Individual Behavior and Group Membership." American Economic Review 97, no. 4 (August 1, 2007): 1340–52. http://dx.doi.org/10.1257/aer.97.4.1340.

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People who are members of a group and identify with it behave differently from people who perceive themselves as isolated individuals. This paper shows that group membership affects preferences over outcomes, and saliency of the group affects the perception of the environment. We manipulate the saliency of group membership by letting a player's own group watch as a passive audience as decisions are made, and/or by making part of the payoff common for members of the group. In contrast to the minimal-group paradigm, minimal groups alone do not affect behavior in our strategic environments. However, salient group membership significantly increases the aggressive stance of the hosts (people who have their group members in the audience), and tends to reduce that of the guests. (JEL D71, Z13)
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Han, Xiaorong. "SPOILED GUESTS OR DEDICATED PATRIOTS? THE CHINESE IN NORTH VIETNAM, 1954–1978." International Journal of Asian Studies 6, no. 1 (January 2009): 1–36. http://dx.doi.org/10.1017/s1479591409000011.

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This article examines the triangular relationship among the Chinese community of northern Vietnam, the North Vietnamese government, and China, focusing in particular on how the relationship affected the ethnic and national identities of Chinese residents in North Vietnam between 1954 and 1978. Scrutiny of the two important issues of citizenship and the Chinese school system reveals that North Vietnamese leaders adopted lenient policies toward Chinese residents mainly because they saw the relationship between the Vietnamese state and the Chinese community as part and parcel of North Vietnam's relationship with China. These policies ultimately contributed to a delay in the assimilation of Chinese residents, and by the end of the 1970s they still had not completed the transformation from well-treated sojourners into citizens of Vietnam. Though many Chinese residents embraced a status of privileged outsider, others willingly participated on Vietnam's behalf in the war against America. After reunification, the desire to clarify loyalty, i.e. to “purify” the nation-state, led the Vietnamese government to initiate an aggressive process of forced assimilation. This policy, and the deterioration of relations between Vietnam and China in the late 1970s, triggered an exodus of Chinese residents.
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Iacobazzi, Rosa Maria, Annalisa Cutrignelli, Angela Stefanachi, Letizia Porcelli, Angela Assunta Lopedota, Roberta Di Fonte, Antonio Lopalco, et al. "Hydroxy-Propil-β-Cyclodextrin Inclusion Complexes of two Biphenylnicotinamide Derivatives: Formulation and Anti-Proliferative Activity Evaluation in Pancreatic Cancer Cell Models." International Journal of Molecular Sciences 21, no. 18 (September 7, 2020): 6545. http://dx.doi.org/10.3390/ijms21186545.

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Pancreatic ductal adenocarcinoma (PDAC) is one of the most aggressive malignancies, with poor outcomes largely due to its unique microenvironment, which is responsible for the low response to drugs and drug-resistance phenomena. This clinical need led us to explore new therapeutic approaches for systemic PDAC treatment by the utilization of two newly synthesized biphenylnicotinamide derivatives, PTA73 and PTA34, with remarkable antitumor activity in an in vitro PDAC model. Given their poor water solubility, inclusion complexes of PTA34 and PTA73 in Hydroxy-Propil-β-Cyclodextrin (HP-β-CD) were prepared in solution and at the solid state. Complexation studies demonstrated that HP-β-CD is able to form stable host–guest inclusion complexes with PTA34 and PTA73, characterized by a 1:1 apparent formation constant of 503.9 M−1 and 369.2 M−1, respectively (also demonstrated by the Job plot), and by an increase in aqueous solubility of about 150 times (from 1.95 µg/mL to 292.5 µg/mL) and 106 times (from 7.16 µg/mL to 762.5 µg/mL), in the presence of 45% w/v of HP-β-CD, respectively. In vitro studies confirmed the high antitumor activity of the complexed PTA34 and PTA73 towards PDAC cells, the strong G2/M phase arrest followed by induction of apoptosis, and thus their eligibility for PDAC therapy.
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Ramont, Margaret, Maureen Leahy, and Katherine A. Cronin. "Domestic Animal Welfare at the Zoo: The Impact of an Animal Visitor Interaction Program on Chickens." Animal Behavior and Cognition 8, no. 1 (February 1, 2021): 1–14. http://dx.doi.org/10.26451/abc.08.01.01.2021.

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Many modern zoos strive to create connections between guests and animals through animal visitor interaction (AVI) programs. However, there has been relatively little research into the effect of AVI programs on the welfare of program animals. Previous research has revealed three factors that may affect AVI program animal welfare: species differences, handling and transport, and the provision of choice and control. We assessed the effects of an AVI program designed with these factors in mind on the behavior of a flock (N = 16) of zoo-housed domestic chickens (Gallus gallus). Behavioral data were collected on program days and on non-program (control) days, and we considered the time leading up to the program, the program itself, and the time immediately following the program. When comparing flock behavior on program days to control days, we found no differences in behavioral indicators of welfare during the time leading up to the program and during the program. Rates of aggression, however, were significantly greater after the program had concluded compared to the same time period on matched control days, but still occurred infrequently. Additionally, we recorded the spatial location of each animal while the program occurred and found that the chickens did not spend significantly more or less time in the feeding zone as visitor participation increased, although there were individual differences within the flock. We conclude that the relatively small behavioral changes seen were not indicative of a change in welfare and consider those results in the context of the program design.
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Jaric, Isidora. "In the grip of betrayed expectations." Filozofija i drustvo, no. 27 (2005): 75–87. http://dx.doi.org/10.2298/fid0527075j.

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The paper discusses the position of young people in Serbia today, as can be inferred from the evidence collected in the study "Politics and everyday life - three years later". Starting from the typology she developed in her 2002 analysis of young people?s interviews (when four basic ways of self-positioning within the social context were identified: "B92 generation", "provincials", "fundamentalists", and "guests"), the author traces the changes that have intervened over the past three years in the attitudes of these same respondents concerning politics, personal engagement, views of the future and of their own selves. The fact that the expectations, awakened by the events of 5 October 2000, have been betrayed, has brought strong disappointment, and it is the context in which young people in Serbia once again are losing faith that they will ever find their place in their own society. Against the background of a basic tension in relation to politics - between excessive interest and disgust - there basic strategies of young people in 2005 are formed. "Withdrawal", as the most common strategy, indicates a return of the young to their narrow personal, private, imaginary world, after a short exit into reality and active participation in creating the conditions of their own social existence. The increasingly frequent strategy of "aggression and imposition of one?s own worldview" points to the rising radicalization of the young generation. Finally, it is only the "planning strategy", espoused by just a handful of respondents, that retains traces of faith in future improvement of social conditions.
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Dosoudil, Jiří. "The Stranger in the Bible: The Needy and the Brother." AUC THEOLOGICA 12, no. 1 (November 25, 2022): 83–100. http://dx.doi.org/10.14712/23363398.2022.19.

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The article explores the Bible’s relationship to immigrants and people perceived by society as foreigners. The topic is addressed against the backdrop of ongoing society-wide discussions about helping people who have been forced to leave their homes as a result of the February 2022 Russian aggression in Ukraine: outlining how the Bible addresses the issue of acceptance and coexistence with refugees and immigrants is intended primarily as a contribution to the debate in a Christian forum. It shows that the Old Testament society, as long as they were willing to accept the required way of life, treated these people kindly and forbade any disadvantage to them by the local society. The Israelites, it is recalled, were themselves guests in Egypt, so foreigners in Israel should remind them of their own identity as suffering but also God-delivered people. In the New Testament, this attitude is elaborated in a new theologically anchored universalism: the stranger is spoken of in a figurative sense, but in practice, the barriers between the local and the stranger are overcome. The stranger, here as an unknown person, a traveller, is one of the persons in need, and by helping him, the Christian fulfils the gospel of Jesus and meets with God. Although some circles in the Early Church tended to oppose the values and customs of the outside world, they never resigned themselves to the ideal of practically lived brotherly love, which newly included the stranger and the unknown. The paper proves that love for foreigners, regardless of their origin or circumstances, is organically rooted in the Bible and Christian ideals.
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Head and Neck Surg, Philipp J. Otolaryngol. "Contents Vol. 34 no. 1 January – June 2019." Philippine Journal of Otolaryngology Head and Neck Surgery 34, no. 1 (May 20, 2020): 3. http://dx.doi.org/10.32412/pjohns.v34i1.1317.

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EDITORIAL 4 Authorship Controversies: Gift, Guest and Ghost Authorship Lapeña JF META-ANALYSIS 6 Morbidity Outcomes of Prophylactic Central Neck Dissection with Total Thyroidectomy versus Total Thyroidectomy Alone in Patients with Node-Negative Papillary Thyroid Cancer: A Meta-Analysis of Observational Studies Sison CZI, Fernando AF, Gutierrez TMDG ORIGINAL ARTICLES 14 Levothyroxine versus Levothyroxine with Iodine in Reduction of Thyroid Nodule Volume: A Double-Blind Randomized Controlled Trial Segocio DJD, Cachuela JE 20 The Use of Bony Septum as an Extended Spreader Graft in Primary and Secondary Rhinoplasty Que-Ansorge C, Yap EC 26 Clinical Profile of Filipino Patients with Epistaxis in a University Hospital Gutierrez TMD, Lerma FJV 30 Advanced Laryngotracheal Stenosis Patients in a Tertiary Provincial Government Hospital: A Prospective Case Series Villanueva JVM, Soriano RG 34 Maxillary Sinus Squamous Cell Carcinoma in a Tertiary Hospital in the Philippines Hernandez AKM, Cabungcal ACA 38 Usability of a Smartphone Application for Preoperative Facial Analysis for Rhinoplasty among ENT Surgeons Padua PFC, Dela Cruz APIC, Pascual RC, Cambe SMM CASE REPORTS 44 Aggressive Tuberculous Otitis Media in a Young Child Canta LAB, Dizon APJE, Abes FLLB 48 Non-Traumatic Cerebrospinal Fluid Leak from a Sphenoid Sinus Midline Roof Defect Previously Managed as Allergic Rhinitis Formalejo JPD, Amable JPM 52 Arteriovenous Malformation of the Mandible in a Young Postpartum Woman Mercado GAG, Delovino KAE, Carpela AB 56 Intraosseus Arteriovenous Malformation of the Mandible: Extracorporeal Curettage and Immediate Replantation Tongol EA, Pontejos AQY, Fullante PB, Cabungcal ACA, Ong KMC SURGICAL INNOVATION AND INSTRUMENTATION 60 Autologous Tracheal Cartilage Composite Graft for a Subglottic Defect after Laryngotracheal Resection for Invasive Papillary Thyroid Carcinoma Crisostomo MV, Ureta CV FEATURED GRAND ROUNDS 64 Solitary Fibrous Tumor of the Larynx and Anterior Neck Pabayos GS, Chiong AM UNDER THE MICROSCOPE 68 Intracapsular Carcinoma ex Pleomorphic Adenoma Carnate JM, Masalunga MC
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30

Rossi, Davide, Silvia Rasi, Claudio Tripodo, Francesco Forconi, Luca Laurenti, Alessio Bruscaggin, Marco Fangazio, et al. "Host Genetic Background and Risk of Richter Syndrome: The Genotype of LRP4 Is An Independent Predictor of Chronic Lymphocytic Leukemia Transformation to Aggressive Lymphoma." Blood 114, no. 22 (November 20, 2009): 2340. http://dx.doi.org/10.1182/blood.v114.22.2340.2340.

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Abstract Abstract 2340 Poster Board II-317 Richter syndrome (RS) represents the transformation of chronic lymphocytic leukemia (CLL) to aggressive lymphoma, most commonly diffuse large B-cell lymphoma (DLBCL). Mechanisms and risk factors of CLL transformation to RS are known only in part. This study aimed at exploring the role of the host genetic background in RS transformation and was based on a consecutive series of 331 CLL, of which 21 had transformed to RS (all clonally related to the CLL clone). Twenty eight additional cases of clonally related RS were also collected for validation purposes. Using an educated guess approach, SNPs were selected according to the following criteria: i) reported association with CLL prognosis; ii) minor allele frequency >5% in Caucasians. Accordingly, 45 SNPs from 45 genes (APOE, BARD1, BRCA2, CD5, CPA4, CPT2, CYP2C9, CD38, DUSP13, ENPP5, ERBB2IP, ERCC5, ERCC6 ESPL1, FHL5, FOXN1, GALNACT2, GTF2E1, HIPK4, IL16, IL19, INHBC, KLRC4, KRT1, LAMA2, LILRA4, LRP2, LRP4, MDM2, MGMT, MMP10, MYBPC3, PMS2, POLB, SEC23B, SEMA3C, THBS1, TOPBP1, TYR, USP47, XRCC2, ZNF169, ZNF527, ZNF573, IRF4) were genotyped by SNP-minisequencing. The primary endpoint of the study was cumulative probability of transformation measured from CLL diagnosis to RS transformation, death or last follow-up. Univariate Cox analysis controlled for multiple comparisons by FDR testing identified LRP4 rs2306029, a SNP affecting the low density lipoprotein receptor protein 4 gene, as the sole SNP associated with RS transformation. CLL who carried LRP4 rs2306029 TT variant genotype displayed a higher risk of transformation (Events/N: 12/79; 5-year risk: 14.1%) compared to patients carrying the LRP4 rs2306029 CT/CC genotypes that contained the wild type allele (Events/N: 9/252; 5-year risk: 4.7%) (HR:4.08; p<.001; q=.040) (Fig. 1). Other variables at CLL diagnosis associated with an increased risk of RS were advanced Binet stage (p<.001), lymph node size >3 cm, LDH elevation (p<.001), CD38 expression (p=.010), ZAP70 expression (p=.017), unfavorable FISH karyotype (p<.001), IGHV homology >98% (p<.001), and stereotyped HCDR3 (p<.001). None of the patient subgroups carrying the above risk factors was enriched with the LRP4 rs2306029 TT variant genotype (p>.050 in all instances), suggesting that LRP4 rs2306029 TT is not a surrogate of other RS risk factors. Multivariate Cox analysis selected LRP4 rs2306029 TT as an independent predictor of RS (HR:5.66; p<.001), along with stereotyped HCDR3 (HR:5.02; p=.001), and CD38 expression (HR:3.47; p=.011). LRP4 rs2306029 genotyping in an independent RS series (n=28) collected for validation purposes confirmed the enrichment of TT genotype and T alleles observed in the original RS series (TT genotype: 11/28 39.2% vs 12/21, 57.1%; p=.139; T allele: 60.7% vs 64.3%; p=.811). To date, the sole other host genetic factor associated with RS transformation is the CD38 rs6449182 SNP (Aydin et al, Blood 2008; 111: 5646). LRP4 rs2306029 and CD38 rs6449182 genotypes displayed statistical interaction and identified CLL subgroups at different risk of transformation (p=.043). LRP4 rs2306029 is a non-synonymous SNP mapping to exon 31 of LRP4 and leading to Ser1554Gly amino acid substitution. In silico analysis with PupaSuite, PolyPhen, and SNPeffect algorithms predicted LRP4 rs2306029 T variant allele to have functional effect on LRP4 protein. In silico elaboration of public data sets revealed that LRP4 gene expression levels did not differ among LRP4 rs2306029 genotypes (p=.743). LRP protein expression in CLL is unknown and was analyzed in 26 cases. By flow cytometry, LRP4 was expressed in all cases with a median percentage of expression of 92.0% and a MFI of 78.0 that did not vary among genotypes (p=.527 and p=.964, respectively). By immunohistochemistry on bone marrow biopsies, LRP4 showed an expression pattern that varied according to genotype of the rs2306029 SNP, being cytoplasmic in CLL carrying the T allele and nuclear in CLL carrying the CC genotype. The conclusion of our study are threefold: i) LRP4 rs2306029 TT genotype is an independent predictor of CLL transformation to RS; ii) LRP4 protein is expressed in CLL cells; iii) LRP4 rs2306029 genotype may affect the expression pattern of LRP4 in CLL cells. Since LRP4 is involved in suppressing Wnt signalling, the LRP4 rs2306029 T variant may have pathogenetic relevance for RS development. Disclosures: No relevant conflicts of interest to declare.
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Arpul, Oksana, and Iryna Savulevych. "CLEANING TECHNOLOGIES IN PLACEMENT FACILITIES." GEOGRAPHY AND TOURISM, no. 54 (2019): 18–24. http://dx.doi.org/10.17721/2308-135x.2019.54.18-24.

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The purpose of the article is to introduce modern cleaning technologies in hotels by reducing the harmful effects of chemicals on human health and the environment. Method. The research is based on scientific methods of analysis and comparison of information. Results. The negative impact of modern detergents used by hotel companies on the human body and the environment has been determined. The most aggressive components of chemistry and their harmful effects when used on humans are listed. The comparison of the most popular professional cleaners with the green type of cleaning products and their neutral effect on the environment and efficiency during use. Scientific novelty. One of the innovative areas in the field of professional cleaning in hotel enterprises is green cleaning, which uses solutions and technologies aimed at minimizing the harmful effects on the human body and the environment. This includes the use of cleaners based on natural components, the reduction of water consumption and the amount of chemicals used through the use of pre-treatment methods, the use of innovative materials and equipment, improving the energy efficiency of apparatus and machines and more. The principle of work of environmental cleaners is shown, which is based not on removal of contaminants by their dissolution (alkaline purifiers) or chemical reaction (acid purifiers), but on the removal of dirt from the surface by means of water base and organic compounds. Practical importance. The European experience in the use of environmentally friendly solutions proves that the use of green-series means can optimize the cost of maintaining facilities. Thanks to the "green" type of cleaning, protective films and coatings are formed on surfaces that are washable and cleanable. This allows them to extend their service life, which is very important in our economic environment. Eco-friendly goods or products are valued much higher and hotel services are no exception. Positioning the hotel as an eco-hotel gives the owner a number of competitive advantages, for example, the ability to use the new status for advertising purposes, create a favorable microclimate for guests and increase the rate of loading of the room.
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Chen, Chieh-Li, Rong He, and Chao-Chung Peng. "Development of an Online Adaptive Parameter Tuning vSLAM Algorithm for UAVs in GPS-Denied Environments." Sensors 22, no. 20 (October 21, 2022): 8067. http://dx.doi.org/10.3390/s22208067.

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In recent years, unmanned aerial vehicles (UAVs) have been applied in many fields owing to their mature flight control technology and easy-to-operate characteristics. No doubt, these UAV-related applications rely heavily on location information provided by the positioning system. Most UAVs nowadays use a global navigation satellite system (GNSS) to obtain location information. However, this outside-in 3rd party positioning system is particularly susceptible to environmental interference and cannot be used in indoor environments, which limits the application diversity of UAVs. To deal with this problem, in this paper, a stereo-based visual simultaneous localization and mapping technology (vSLAM) is applied. The presented vSLAM algorithm fuses onboard inertial measurement unit (IMU) information to further solve the navigation problem in an unknown environment without the use of a GNSS signal and provides reliable localization information. The overall visual positioning system is based on the stereo parallel tracking and mapping architecture (S-PTAM). However, experiments found that the feature-matching threshold has a significant impact on positioning accuracy. Selection of the threshold is based on the Hamming distance without any physical meaning, which makes the threshold quite difficult to set manually. Therefore, this work develops an online adaptive matching threshold according to the keyframe poses. Experiments show that the developed adaptive matching threshold improves positioning accuracy. Since the attitude calculation of the IMU is carried out based on the Mahony complementary filter, the difference between the measured acceleration and the gravity is used as the metric to online tune the gain value dynamically, which can improve the accuracy of attitude estimation under aggressive motions. Moreover, a static state detection algorithm based on the moving window method and measured acceleration is proposed as well to accurately calculate the conversion mechanism between the vSLAM system and the IMU information; this initialization mechanism can help IMU provide a better initial guess for the bundle adjustment algorithm (BA) in the tracking thread. Finally, a performance evaluation of the proposed algorithm is conducted by the popular EuRoC dataset. All the experimental results show that the developed online adaptive parameter tuning algorithm can effectively improve the vSLAM accuracy and robustness.
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Eliseev, Sergey A. "DEFINITION OF MASS RIOTS IN RUSSIAN CRIMINAL LAWS." Vestnik Tomskogo gosudarstvennogo universiteta. Pravo, no. 38 (2020): 32–41. http://dx.doi.org/10.17223/22253513/38/4.

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The chapter 24 of the Criminal Code of the Russian Federation is devoted to crimes against public security. Articles of this chapter represent enough effectual instruments of criminal protection of public interests and protection of a person as well. However, studying of some articles of the chapter 24 of the Criminal Code and practice of its applying show the necessity to improve prohibitions, provided by it. For example, article 212 of the Criminal Code of the Russian Federation, despite verbalism, doesn’t give a strict idea on content of the subject of crime, provided by it. Literal interpreta-tion of the expression “mass disorder, leading with violence, demolition and arson…” allows to confirm, that subject of crime of mass disorder supposes such elements as mass disorder, violence and other actions, provided by p.1 art.212 of the Criminal Code of the Russian Federa-tion, which are followed by mass disorder, completed by them, committed simultaneously. Part 3 of the article 212 of the Criminal Code of the Russian Federation gives the same idea, it provides punishment not only for riotous statements in mass disorder or participation in it, but for calls to violence. But what we should refer to mass disorder, which is a part of objective aspect of a crime along with riotous behavior of a crowd (violence use, arsons, demolition and so on), is anyone’s guess. However, the title of the article, its purpose, content of criminal prohibition suggest that objective aspect of crime “mass disorder” includes one systematic element, which is committing demolition, arsons, violence use towards citizens by a great number of people (by a crowd). It makes sense to improve text of the article 212 of the Criminal Code of the Russian Federation. Within the meaning of crime mentioned in it, emphasis should be turned to aggressive actions of a crowd, because they form public danger of this action. Exactly these actions (violence use , arsons, demolition and so on) are caused damages to public relations, which provide security of life, health, property of a single person or a number of people, activity of state authority and government, functioning of organizations and enterprises. To define the notion of mass disorder it is enough to point out the essence of this action in the Criminal Code of the Russian Federation – the committing of some public dangerous actions by participants of the crowd. It is necessary to eliminate ineffectual stylistically and semantic expression “mass disorder, accompanying …” from the definition. Instead of it we should use a formula: “mass disorder - violence use towards a person, arsons, demolition and damage of property”. It is necessary to abandon repetitions in description of the objective aspect of mass disorder. It is obvious, that the notion “use of weapon” has a lot in common with the notion “provision of armed resistance to public authority” (it is generic term towards the latter); calling to violence towards citizens in context of the article 212 of the Criminal Code of the Russian Federation represent itself call to mass disorder.
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Romer, Daniel, and Kathleen Hall Jamieson. "Patterns of Media Use, Strength of Belief in COVID-19 Conspiracy Theories, and the Prevention of COVID-19 From March to July 2020 in the United States: Survey Study." Journal of Medical Internet Research 23, no. 4 (April 27, 2021): e25215. http://dx.doi.org/10.2196/25215.

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Background Holding conspiracy beliefs regarding the COVID-19 pandemic in the United States has been associated with reductions in both actions to prevent the spread of the infection (eg, mask wearing) and intentions to accept a vaccine when one becomes available. Patterns of media use have also been associated with acceptance of COVID-19 conspiracy beliefs. Here we ask whether the type of media on which a person relies increased, decreased, or had no additional effect on that person’s COVID-19 conspiracy beliefs over a 4-month period. Objective We used panel data to explore whether use of conservative and social media in the United States, which were previously found to be positively related to holding conspiracy beliefs about the origins and prevention of COVID-19, were associated with a net increase in the strength of those beliefs from March to July of 2020. We also asked whether mainstream news sources, which were previously found to be negatively related to belief in pandemic-related conspiracies, were associated with a net decrease in the strength of such beliefs over the study period. Additionally, we asked whether subsequent changes in pandemic conspiracy beliefs related to the use of media were also related to subsequent mask wearing and vaccination intentions. Methods A survey that we conducted with a national US probability sample in March of 2020 and again in July with the same 840 respondents assessed belief in pandemic-related conspiracies, use of various types of media information sources, actions taken to prevent the spread of the disease and intentions to vaccinate, and various demographic characteristics. Change across the two waves was analyzed using path analytic techniques. Results We found that conservative media use predicted an increase in conspiracy beliefs (β=.17, 99% CI .10-.25) and that reliance on mainstream print predicted a decrease in their belief (β=–.08, 99% CI –.14 to –.02). Although many social media platforms reported downgrading or removing false or misleading content, ongoing use of such platforms by respondents predicted growth in conspiracy beliefs as well (β=.072, 99% CI .018-.123). Importantly, conspiracy belief changes related to media use between the two waves of the study were associated with the uptake of mask wearing and changes in vaccination intentions in July. Unlike other media, use of mainstream broadcast television predicted greater mask wearing (β=.17, 99% CI .09-.26) and vaccination intention (β=.08, 95% CI .02-.14), independent of conspiracy beliefs. Conclusions The findings point to the need for greater efforts on the part of commentators, reporters, and guests on conservative media to report verifiable information about the pandemic. The results also suggest that social media platforms need to be more aggressive in downgrading, blocking, and counteracting claims about COVID-19 vaccines, claims about mask wearing, and conspiracy beliefs that have been judged problematic by public health authorities.
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Gallenkemper, G. "Über die Wirkung von (Schwarz-) Teeumschlägen auf die Haut." Phlebologie 38, no. 06 (2009): 164–67. http://dx.doi.org/10.1055/s-0037-1622281.

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SummaryMillennia-old experience with application of tea extracts as an external treatment prove beneficial in the treatment of inflammatory lesions of various origins, in particular but also in the context of venous disorders. The legends that abound in the discovery of tea are innumerable. One tells of how a coincidence the Chinese Emperor Shen Nung (2737 BC), who took great care to ensure cleanliness and cooked for this reason his drinking water, the tea flavour brought: A gust of wind blew some tea leaves into the kettle with boiling water, this golden colored it and gave him a pleasant aroma. The emperor tasted the drink and felt refreshed. Tea was then the drink in the „Middle Kingdom“, just as long – but probably even longer – it is used there as a remedy. Later in the Tang Dynasty (618–907 AD) tea was discovered as a commodity, and it developed into a vibrant China's tea trade with its neighbors, this time the tea was probably also brought about by land to Europe. A wide distribution in the population took place in Europe but only after the first tea transport from Japan to Amsterdam with sailboats in 1610. The application of (herbal) tea extracts in the context of compresses for the treatment of skin diseases was embedded in the population in Europe but much earlier. So this is described in the books of Hildegard von Bingen (*1098; † September 17, 1179). Nowadays, the application of black tea extract in the topical treatment of inflammatory and infectious diseases in traditional medicine is widespread and established in dermatology, paediatrics, combustion medicine, radiotherapy, gynaecology and allergology.The beneficial in the treatment of inflammatory lesions applies also to skin affections in the context of venous disorders. This could be demonstrated here in a not placebo controlled, non-randomized study: The treatment of 40 patients with inflammatory skin changes at the lower legs, mostly in the context of venous disorders, with black tea compresses started on the first day of patient contact and was always carried out in addition to a causal treatment of the underlying disease. In no case there was a worsening of the findings. In all cases a fast decay of redness, oozing, erosion, itching, pain, tenderness and edema within 2 to 3 days was observed after initiation of treatment.An analysis of the evidence for the mechanisms of action by review of the extensive literature shows that well-founded knowledge on anti-inflammatory, antimicrobial, analgesic, anticancer, differentiation-promoting and antiaging properties is available. A detailed description of the pathophysiologic findings on the various effects is thus given. Conclusion: The good tolerability of this treatment combined with good effect, especially in combination with other therapies and the experience of probably millions of people for many centuries is a recommendation to apply this treatment more frequently, particularly as an adjunctive treatment of inflammatory lesions. The findings on the protective effects against chemical, physical and microbial aggressions mean that tea extracts can be potent agents in the prevention of skin diseases in the context of chemical loads in the (working) life, of natural and unnatural radiation exposure and in people with a tendency for inflammatory skin diseases such as eczema appear to seborrheic dermatitis, psoriasis or vitiligo. Moreover, there is evidence that tea extracts are able to stop the skin aging process, not only, but even reverse it. All these arguments are sufficient as a reason for a more frequent use of tea and tea extracts in the treatment and prevention of skin diseases.Treatment protocol: Preparation of tea compresses: Take tea bags individually or 4 in 500 ml of water or 5 teaspoons tea leaves ~ 10 g tea leaves in 500 ml water. Bring water to boil. Pour tea leaves / tea bags with hot water and wait more than 10 (to 30) minutes, strain tea leaves, remove bags, cool tea and tea bags (e. g. in a refrigerator at 8° C). Application of tea compresses: Put cool, damp (not dripping-wet) tea bags of affected skin or for larger affectes skin areas soak ironed handkerchief or cotton cloth with cold tea and put it cool, damp (not dripping-wet) to the affected skin, e. g. wrap the affected extremity. Do not forget to put inferior to it an old towel or paper for tea stains strongly yellow-brown! Leave tea bags or tea compresses for 5 to 15 min to take effect. Repeat treatment 2–3x/day until acute symptoms are relieved or disappeared.
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Näsman, Ulf. "Danerne og det danske kongeriges opkomst – Om forskningsprogrammet »Fra Stamme til Stat i Danmark«." Kuml 55, no. 55 (October 31, 2006): 205–41. http://dx.doi.org/10.7146/kuml.v55i55.24694.

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The Danes and the Origin of the Danish KingdomOn the Research Programme “From Tribe to State in Denmark”Since the 1970’s, the ethnogenesis of the Danes and the origin of the Danish kingdom have attracted increased interest among Danish archaeologists. Marked changes over time observed in a growing source material form a new basis of interpretation. In written sources, the Danish realm does not appear until the Viking Age. The formation of the kingdom is traditionally placed as late as the 10th century (Jelling and all that). But prehistorians have raised the question whether the formation of the kingdom was not a much longer course. Some scholars believe that we have to study the periods preceding the Viking Age to be able to understand the development, at least from the 3rd century. In Scandinavia, this covers the Late Roman Iron Age, the Migration and Merovingian periods, as well as the early Viking Age. In a Continental perspective, it parallels the Late Antiquity (3rd-6th centuries) and the Early Middle Ages (6th-10th centuries).In 1984, the Danish Research Council launched the research programme “From Tribe to State in Denmark” which aimed to understand the formation of the Danish kingdom by studying the interaction between economic, social, and political circumstances from the Roman Period to the Viking Age. This paper presents a short synthesis of my work in the programme.Two themes have been brought into focus:1) The ethnogenesis of the Nordic peoples: the formation of the tribes that appear in the few and problematic written sources of the first millennium AD, in casu the Danes;2) The making of the Nordic kingdoms: in this case Denmark.A problem with this kind of long-term research is the inherent teleological perspective, revealed in the programme title. It is essential for me to emphasise that the early Danish kingdom was not a self-evident formation but the result of a series of concrete historical circumstances. There have been alternative possibilities at several occasions.In Scandinavia, the period is prehistoric. However, in South Scandinavia it deserves to be labelled protohistoric. Scandinavian archaeologists often forget or ignore the fact that in large parts of Europe, the first millennium AD is a historical period. The Scandinavian development is too often evaluated in isolation from the rest of Europe, in spite of the fact that the material culture demonstrates that interaction with continental as well as insular powers was continuously influencing Scandinavia. Necessarily, a relevant approach to Scandinavian late prehistory includes a historical dimension and a European perspective. South Scandinavian societies were over time linked to different realms in Europe. The Danish development was certainly part of a common west European trajectory.The best possibility of interpreting the archaeological record of South Scandinavia is by analogy with historians’ interpretations of other more or less contemporary Germanic peoples, based on descriptions in the written sources. Long-term studies of Scandinavian societies in the first millennium AD has laid new ground on which scholars have to build their image of the making of a Danish kingdom. The paper briefly describes some of the results and focuses on changes in the material that I find significant.Rural settlement: Great progress in the study of Iron Age and Early Mediaeval farming suggests economic growth, a development from subsistence economy to a production of a surplus, from collective forms of farming to individually run farmsteads, from small family farmsteads to large farms and manors. It is the surplus created by this expansion that could carry the late Viking and high medieval Danish kingdom with its administration, military power, church, towns, etc.Trade and exchange: Prestige-goods exchange dominated in the beginning of the period. Goods came from various parts of Europe. The connections to central and east Europe were broken in the sixth century, not to be reopened until the Viking Age. This explains the dominating position held by West European material culture in the development of South Scandinavia. Thus, South Scandinavia became part of the commercial zone of West Europe, certainly an important element in the making of the Danish kingdom. In the Viking Age, the rapid urbanisation demonstrates that Denmark gained great profit from its key position in the North Sea-Baltic trade network.Central places and early towns: Complex settlements appeared already in the Late Roman Iron Age, e.g. Gudme/Lundeborg, Funen. Further central sites appeared, and the number of central places grew rapidly. By the year 700, they are found in virtually every settlement area of South Scandinavia. The sites were not simple trading stations, as most were labelled a few years ago, but many also fulfilled important political, social, and religious functions; some were also manorial residences. The resident elite based their power on the mobilisation of the rural surplus; at the same time, one can say that the stimulus to produce a rural surplus was probably caused by an increasing demand from the elite at the centres.In the Viking Age, urbanisation began, which meant that the old central places lost their position and were replaced by towns like Hedeby, Ribe, and Århus. Excavations show that urbanisation started in the 8th century, a little later than the famous emporia Quentovic, Dorestad, Hamwic, and Ipswic.So today, it must be concluded that at the threshold to the Viking Age, South Scandinavian societies had a more advanced economic system and a more complex social organisation than believed only 20 years ago.Warfare: The dated indications of war cluster in two periods, the 3rd to 5th centuries, and the 10th to 11th centuries. The early period could be characterised as one of tribal warfare, in which many polities were forced to join larger confederations through the pressure of endemic warfare and conquests. In the archaeological record, indicators of war seem to disappear after AD 500, not to reappear in large numbers until the Viking Age. Was this period a Pax Danorum? Indeed, the silent archaeological record could indicate that the Danes had won hegemony in South Scandinavia. This phase can be understood as a period of consolidation between an early phase of tribal warfare and a later phase in which the territorial defence of a Danish kingdom becomes visible in the record.Wars with the Carolingian empire in the 9th century are the first wars in Denmark to be mentioned in the written record. However, archaeology demonstrates the presence of serious military threats in the centuries before, e.g. the first dykes at Danevirke. The strategic localisation of the period’s defence works reveals that threats were met with both navy and army. According to the texts, the 9th century wars are clearly national wars, either wars of conquest on a large scale between kingdoms, or civil wars, which for a large part seem to be triggered by an aggressive Frankish diplomacy.The two phases of warfare mirror two different military political situations: in the Late Roman and Migration Periods they are tribal wars and conflicts over resource control; in the Late Merovingian Period and the Viking Age they concern a Danish kingdom’s territorial defence.Religious changes: The conversion is often considered a major turning point in Scandinavian history; and in a way it was, of course. But the importance of Christianisation is heavily overestimated. The conversion was simply a step in a process that started long before. The paganism of the Scandinavians must not mislead us into believing that they were barbarians.A great change in cult practice took place around AD 500 when the use of bogs and lakes for offerings rapidly decreased. Instead, religious objects are found hoarded in settlement contexts, sometimes in the great halls of the magnates. This indicates that the elite had taken control of religion in a new way. The close link between cult and elite continued uninterrupted after Christianisation; churches were built by the magnates and on their ground. Therefore, we have a kind of cult-site continuity. From the Migration Period, the archaeological material demonstrates a close link between cult and magnates. This is certainly one important element in the formation of a Danish kingdom.Political development: Analyses of material culture reveal that South Scandinavia in the Early Iron Age consisted of many small regions, and based on sources like Tacitus and Ptolemy, one can guess that they correspond to tribal areas. In the Late Roman Iron Age and the Migration Period, the formation of a South Scandinavian super-region can be discerned, but still subdivided into a small number of distinguishable culture zones, and, again, on the basis of written sources (Jordanes and Procopius), one can guess that small tribes had joined into larger confederations precisely as on the Continent. In my opinion, a Danish kingdom appeared not later than the sixth century. Based on the well-studied material culture of the early Merovingian Period, one can assume that it had its core area in Central Denmark - South Jutland, Funen, and Zealand – with a close periphery of North Jutland, South Halland, Scania, Blekinge, and Bornholm. Probably more loosely attached to the Danish hegemony was a more distant periphery in South Sweden.So the Danish kingdom already had a history when it first appeared in the Frankish sources at the end of the 8th century. Danish involvement in European politics is first clearly observable in 777 and again in 782. Obviously, the Danish kingdom was a political and military actor on the North European scene long before the Viking Age.In the light of all these arguments, three phases can be described:– Roman Iron Age: Tribal societies with chieftains or small kings.– Late Roman Iron Age, Migration Period, and early Merovingian Period: A process of amalgamation started and warfare characterises the period. The result is the formation of tribal confederations. Written sources speak in favour of the Danes as the people who eventually won hegemony over South Scandinavia.– Late Merovingian Period and Viking Age: A process began in which royal agents replaced local chieftains. The last area to be integrated under direct Danish royal rule, in the reign of Sven Forkbeard, was probably Scania. Thus Medieval Denmark appeared.Final remarks: As a result of archaeological achievements in the last decades, a number of traditional views about Scandinavian late prehistory appear less likely, or rather erroneous. It is an underestimation that the pagans were unable of organisation and that a formation of a Danish kingdom is unthinkable before the late Viking Age. Unfortunately, the ethnogenesis of the Danes is beyond the reach of study, but a rough hypothesis may be formulated. The Danes were once one of several tribes somewhere in South Scandinavia. Events outside the Scandinavian scene were of fundamental importance for the possibility of the Danish gens to grow in power in the Late Roman and Migration Periods. Already before the Merovingian Period, the Danes won hegemony between the Baltic and the North Sea. A Danish kingdom could probably be based on this key position. Its survival was by no means a matter of course. In their continued efforts to secure the Danish position, capable kings established the borders of high medieval Denmark in the course of the Viking Age.Ulf NäsmanInstitutionen för humaniora och ­samhällsvetenskap Högskolan i Kalmar
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37

von Beeren, Christoph, Adrian Brückner, Philipp O. Hoenle, Bryan Ospina-Jara, Daniel J. C. Kronauer, and Nico Blüthgen. "Multiple phenotypic traits as triggers of host attacks towards ant symbionts: body size, morphological gestalt, and chemical mimicry accuracy." Frontiers in Zoology 18, no. 1 (September 19, 2021). http://dx.doi.org/10.1186/s12983-021-00427-8.

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Abstract Background Ant colonies are plagued by a diversity of arthropod guests, which adopt various strategies to avoid or to withstand host attacks. Chemical mimicry of host recognition cues is, for example, a common integration strategy of ant guests. The morphological gestalt and body size of ant guests have long been argued to also affect host hostility, but quantitative studies testing these predictions are largely missing. We here evaluated three guest traits as triggers of host aggression—body size, morphological gestalt, and accuracy in chemical mimicry—in a community of six Eciton army ant species and 29 guest species. We quantified ant aggression towards 314 guests in behavioral assays and, for the same individuals, determined their body size and their accuracy in mimicking ant cuticular hydrocarbon (CHC) profiles. We classified guests into the following gestalts: protective, myrmecoid, staphylinid-like, phorid-like, and larval-shaped. We expected that (1) guests with lower CHC mimicry accuracy are more frequently attacked; (2) larger guests are more frequently attacked; (3) guests of different morphological gestalt receive differing host aggression levels. Results Army ant species had distinct CHC profiles and accuracy of mimicking these profiles was variable among guests, with many species showing high mimicry accuracy. Unexpectedly, we did not find a clear relationship between chemical host similarity and host aggression, suggesting that other symbiont traits need to be considered. We detected a relationship between the guests’ body size and the received host aggression, in that diminutive forms were rarely attacked. Our data also indicated that morphological gestalt might be a valuable predictor of host aggression. While most ant-guest encounters remained peaceful, host behavior still differed towards guests in that ant aggression was primarily directed towards those guests possessing a protective or a staphylinid-like gestalt. Conclusion We demonstrate that CHC mimicry accuracy does not necessarily predict host aggression towards ant symbionts. Exploitation mechanisms are diverse, and we conclude that, besides chemical mimicry, other factors such as the guests’ morphological gestalt and especially their body size might be important, yet underrated traits shaping the level of host hostility against social insect symbionts.
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Fandrem, Hildegunn, Dagmar Strohmeier, and Dagmar Strohmeier. "Thematic Section Guest Editorial: 24th Workshop on Aggression: International Perspectives on Bullying, Segregation, and Inclusion." International Journal of Developmental Science, December 7, 2020, 1–5. http://dx.doi.org/10.3233/dev-200305.

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39

Abdul Awal, Ziad Bin. "UNMANNED ROTORCRAFT IN AGGRESSIVE ENVIRONMENT: AERODYNAMIC FLOW PERFORMANCE AGAINST WIND GUST." International Journal of GEOMATE 13, no. 40 (December 1, 2017). http://dx.doi.org/10.21660/2017.40.79849.

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40

Myat, Aye Aye, Nora Sharkasi, and Jay Rajasekera. "Myanmar’s tourism." Benchmarking: An International Journal ahead-of-print, ahead-of-print (February 18, 2019). http://dx.doi.org/10.1108/bij-07-2017-0200.

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PurposeStudies show that internet has become a major force propelling growth in tourism sector in many countries. An appropriate diffusion of the information and communication technology (ICT) services can facilitate visibility of hotels and lodges on search sites and third-party booking websites and thus influence demand. It also helps leverage the use of social media for promotion and customer acquisition purposes. Recently, Myanmar, with impressive historical world heritage sites, is witnessing a tourist boom; more hotels are opening up and achieving competitive advantage by offering free internet connectivity to guests and locating their premises in the vicinity of an ICT infrastructure. The purpose of this paper is to investigate ICT readiness to support the lodging industry in Myanmar by focusing on one sub-index of the Network Readiness Index (NRI, a term heavily used by World Economic Forum). The paper focuses on the “Network Use” component of NRI, pertaining to the effect of the “quality of the Internet connection” available to lodges, and its association with the following dimensions: customer service: the availability of ICT services to guests, such as internet connectivity and availability of ATM in the vicinity; digital marketing: the use of social media, keeping records of guests and analyzing aggregate data to extract business insights; and business-to-business online booking: the use of online booking via major third-party intermediary websites like Expedia, Booking.com and Agoda.com.Design/methodology/approachSurveys were conducted in three major touristic cities in Myanmar: Bagan, Mandalay and the capital city, Nay Pyi Taw. A total of 101 valid questionnaires were used. Survey questions were centered around the following themes: internet connection problems, digital marketing activities, and online booking directly or via third party digital intermediary. The data are presented and interpreted by descriptive statistics and regression analysis.FindingsThough, Myanmar is new to internet and commercial use of ICT, the awareness of the importance of leveraging social media and online booking for business development is surprisingly high in the lodging sector. On average, about 80 percent of surveyed hotels are present on the WWW through a dedicated hotel website. However, most websites lack an online booking capability. As a result, and due to a global trend, online booking through third-party intermediaries has become the dominant option for hotel booking arrangements in Myanmar. Agoda, founded in Bangkok in 2002, was found to be the number one choice for online booking intermediary in Myanmar, followed by Booking.com. Analysis of the logistic regression revealed that it was highly likely that areas around ATMs have better internet connectivity. As expected, it was also found that it is very unlikely that hotels reporting a problem in internet connectivity will be able to provide internet service to their guests. Despite the presence of problems in internet connectivity in Mandalay and Bagan cities, located away from the capital; most hotels in these cities resort to leveraging social media for promotion and customer/guest development. The analysis also revealed that cities located away from the capital are more aggressive in leverage online third-booking intermediaries.Research limitations/implicationsWhile researchers were hoping for a higher participation rate in the survey, especially in the city of Mandalay, data collection was challenging, a number of hotels/lodges denied participation. This may have some implications on the generalization of results. However, over 70 and 45 percent of hotels/lodges in the capital city and the ancient city of Bagan, respectively, had participated in the survey.Practical implicationsTourism has a great potential for growth in Myanmar. This research recommends ways to achieve and sustain competitive advantage for the lodging sector, which is vital for tourism.Originality/valueThough a considerable research exists on tourism and the recent advances of the ICT sector in Myanmar, the country’s readiness for the actual usage of the internet for the development of tourism has not been specifically addressed. This paper explores this with compelling research findings useful for policy makers as well as players in the tourism sector.
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"Detecting IP Spoofing Attack with SDN-Based Integrated Architecture using Distributed Packet Filtering." VOLUME-8 ISSUE-10, AUGUST 2019, REGULAR ISSUE 8, no. 10 (August 10, 2019): 4131–35. http://dx.doi.org/10.35940/ijitee.j9865.0881019.

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Hoodlums have since quite a while ago utilized the strategy of veiling their actual character, from masks to nom de plumes to guest id blocking. It should not shock anyone at that point, that crooks who lead their accursed exercises on systems and PCs should utilize such methods. IP ridiculing is one of the most widely recognized types of on-line cover. In IP ridiculing, an assailant increases unapproved access to a PC or a system by causing it to give the idea that a malignant message has originated from a confided in machine by "caricaturing" the IP address of that machine. IP mocking is a strategy used to increase unapproved access to PCs, whereby the aggressor sends messages to a PC with a manufacturing IP address demonstrating that the message is originating from a confided in host. IP ridiculing has been utilized in circulated refusal of-administration (DDoS) assaults and interruptions. It is additionally vital for reflector DDoS assaults, where servers answer to ridiculed demands and these answers overpower the unfortunate casualty whose address was abused.
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García Gómez, Antonio. "Attitude-behaviour Discrepancy and Cognitive Disonance: Tactics for Enhancing Compliance in Persuasive Discourse." ODISEA. Revista de estudios ingleses, no. 9 (February 21, 2017). http://dx.doi.org/10.25115/odisea.v0i9.145.

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Abstract:In this paper I take a conversation analytic approach to examining persuasive strategies for enhancing compliance in talk show interaction. Basing my analysis on the discursive analysis of transcriptions of verbal aggression taken from the former UK TV talk show “Kilroy”, I argue that confl ictual episodes must not be viewed as an expressive act which results from a temporary loss of self-control but instrumentally. The discussion focuses on how guests’ persuasive strategies are based on their ability to fi nd a balance between expressing their (violent) emotions and eliciting personal information from their opponents. Personal information disclosure is therefore key to allowing guests to build alignment and inducing compliance in talk show verbal conflict sequences.Key words: Conversation analysis, persuasive strategies, verbal confl ict, speech acts.Resumen:Desde un enfoque pragmatico-discursivo, el presente estudio examina las estrategias persuasivas que facilitan la adhesion a un punto de vista concreto en talk shows. A partir del análisis de diferentes extractos extraídos del talk show británico Kilroy, se argumenta que los episodios de habla confl ictiva no deben ser entendidos como un acto expresivo producto de una pérdida momentanea de autocontrol sino como un acto premeditado e instrumental. El análisis revela que las estrategias persuasivas que los invitados usan se basan en la habilidad de hallar un equilibrio entre la expresión de las emociones propias de un enfrentamiento verbal y la obtención de información personal por parte de sus oponentes. Es pues la manipulación de esta información frente a la audiencia la que permite a los invitados atraer a los demás a su punto de vista y hacer que la estrategia de persuasión sea efectiva.Palabras clave: Análisis de la conversación, estrategias persuasivas, conflicto verbal, actos de habla.
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Harjanto, Sumitro, and Dawn Shao Ting Lim. "MON-237 Primary Pituitary Lymphoma - an Unusual Guest in the Sella!" Journal of the Endocrine Society 4, Supplement_1 (April 2020). http://dx.doi.org/10.1210/jendso/bvaa046.1623.

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Abstract Background Primary Pituitary Lymphoma (PPL) is a rare differential diagnosis for a sellar / suprasellar lesion. Less than 40 cases have been reported. Case presentation A 75-year old Chinese lady with known subclinical hypothyroidism presented with 3-day history of dull frontal headache, giddiness and diplopia. Incomplete left cranial nerve (CN) III palsy was noted with no other neurological deficit or hemodynamic instability. MRI brain and pituitary showed a T1- and T2 isointense, 2.0 x 1.1 x 1.3 cm enhancing mass arising from the left sellar region, extending to the left sphenoid and cavernous sinuses, displacing the pituitary stalk towards the right, with no optic chiasm compression. There was no imaging evidence of apoplexy. Evaluation of anterior pituitary hormones revealed hypocortisolism (peak cortisol post 1mcg Synacthen 344 nmol/L, ACTH 3.5 ng/L [10 - 60]), subclinical hypothyroidism (free T4 9.6 pmol/L [8.8 - 14.4], TSH 7.19 mU/L [0.65 - 3.70]), normal prolactin 7.4 ug/L [5.0-27.7], mildly elevated IGF-1 193.7 mcg/L [67.0 - 189.0] with normal GH 1.0 ng/ml, and elevated FSH appropriate for menopause. Glucocorticoid replacement was started. Though the clinical presentation was not typical of a pituitary macroadenoma, in view of symptomatic improvement and neurological stability, she was conservatively managed with plans for early repeat imaging outpatient. Patient was readmitted 1 month later for headache and decreased left-sided visual acuity. A complete CN III palsy, and new CN II, IV and VI deficits were noted (orbital apex syndrome). Repeat MRI showed increase in the size of the sellar lesion to 2.6 x 2.1 x 1.3 cm, surrounding the optic nerve and with left cavernous and sphenoid sinus invasion. Again, there was no suggestion of apoplexy. Biopsy of the lesion was performed, and histology was consistent with Diffuse Large B-cell Lymphoma and Grade 3A Follicular Lymphoma with high proliferative index (Ki67 70%). Immunohistochemistry excluded carcinoma, meningioma and pituitary tumor. PET-CT and bone marrow aspirate confirmed the diagnosis of PPL without metastasis. After 3 cycles of chemotherapy (Methotrexate, Rituximab, Cyclophosphamide, Doxorubicin, Vincristine and Prednisolone), significant decrease in the size of the lesion was noted on repeat MRI. Only mild asymmetric soft tissue thickening remained noticeable over the left sella and cavernous sinus. Cranial nerve deficits had since completely resolved. Glucocorticoid replacement was continued in the meantime while awaiting the completion of chemotherapy. Conclusion PPL may present in a similar manner as pituitary apoplexy. Absence of typical imaging characteristics of apoplexy in patients with rapid symptom progression and CN involvement should alert clinicians to consider alternative diagnosis including aggressive neoplastic, inflammatory and infective lesions.
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Walter, Ariel, Michael McKay, Robert Niemiec, Farhan Gandhi, and Christina Ivler. "Hover Handling Qualities of Fixed-Pitch, Variable-RPM Quadcopters of Increasing Size." Journal of the American Helicopter Society, 2022. http://dx.doi.org/10.4050/jahs.67.042010.

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Fixed-pitch, variable-RPM quadcopters of increasing size are simulated in hover. Three aircraft sizes are considered, with rotor diameters of 4, 6, and 8 ft (1.2, 1.8, and 2.4 m) and gross weights of 300, 680, and 1200 lb (136, 308, and 544 kg) respectively. Control design is performed for each aircraft using CONDUIT®, first using standard ADS-33E-PRF handling qualities specifications. Froude scaling is then applied to the specifications in order to design more comparable, aggressive controllers for the two smaller aircraft. Piloted commands and gust inputs are simulated in the time domain in order to estimate the necessary motor current margins needed for adequate maneuverability local to hover. Of the maneuvers considered, a yaw rate step requires the highest current margin for the smallest aircraft, while the longitudinal velocity step requires the highest current margin for the others, regardless of the Froude scaling of the handling qualities metrics. Using the maximum current values from these simulations, the motor weight fraction is 8.3–10.6% for the 300-lb vehicle, 11.6–13.0% for the 680-lb vehicle, and 15.8% for the 1200 lb. Motor weight requirements can be reduced on the larger two aircraft by flying with the pitch and roll axes exclusively in the attitude command, attitude hold mode, rather than translational rate command. In this case, step commands in yaw rate are limiting for the 680-lb vehicle (10.7–11.8% motor weight fraction) and heave commands are limiting for the 1200-lb vehicle (13.6% motor weight fraction). Estimated motor weight requirements are also reduced by decreasing the rotor inertia and introducing additional filtering into the aircraft commands.
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Dubash, Sayam, Oras A. Alabas, Xabier Michelena, Leticia Garcia-Montoya, Richard Wakefield, Ai-Lyn Tan, Philip Helliwell, Paul Emery, Dennis McGonagle, and Helena Marzo-Ortega. "O12 Dactylitis is associated with greater disease severity, CRP, ultrasound determined synovitis, and erosive damage in DMARD-naïve early PsA." Rheumatology 60, Supplement_1 (April 1, 2021). http://dx.doi.org/10.1093/rheumatology/keab246.011.

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Abstract Background/Aims Dactylitis, a hallmark feature of psoriatic arthritis (PsA), is defined as uniform swelling of a finger or toe ('sausage digit'). Understanding of the phenotypical significance of dactylitis and association with PsA disease activity/severity is still lacking. The aim of this study was to characterise and evaluate a DMARD-naïve early PsA cohort based on the clinical presence or absence of dactylitis. Methods Early PsA patients achieving CASPAR criteria, were recruited into a prospective observational study; the Leeds Spondyloarthritis Register for Research and Observation (SpARRO). The cohort was evaluated based on presence/absence of dactylitis. Dactylitis was recorded per digit; tender (hot)/ non-tender (cold). Synovitis was graded via the semiquantitative method (0-3) for grayscale (GS) and power Doppler (PD) at 50 joints: wrists, MCP1-5, PIP1-5, DIP2-5, MTP1-5, elbows, knees, ankles, subtalar and talonavicular joints. Bone erosions were determined by US if cortical bone discontinuity was present in two perpendicular planes (longitudinal/transverse). Enthesitis was determined via OMERACT definitions/ modified Glasgow Ultrasound Enthesitis Severity Score (GUESS). Statistical calculations (STATA/SPSS): student’s t-test, quantile regression, one-sample tests, Pearson Chi-squared test and Fischer’s exact test. Results Of the 177 PsA patients recruited, PsA with dactylitis recorded significantly higher median difference in TJC (p &lt; 0.01), SJC (p &lt; 0.001), and CRP (p &lt; 0.01) compared to PsA without dactylitis. Dactylitis was present in 81/177 (46%) patients and 214 digits. Multiple digits (&gt;1) were involved in 51/81 (63%) patients, asymmetrical in 52/81 (64%). Dactylitis was more prevalent in toes (146/214; 68.2%) than fingers (68/214; 31.8%). Hot dactylitis was more prevalent (179/214; 83.6%) than cold dactylitis (35/214; 16.4%). The most frequent sites for hot dactylitis were 2nd finger (23/179; 12.8%), 4th toe (40/179; 22.3%) and for cold dactylitis, 3rd finger (2/35; 8.5%), 4th toe (10/35; 28.5%). Significantly greater US synovitis was identified in PsA with dactylitis (p &lt; 0.01). PsA with dactylitis recorded more patients in high DAPSA state and greater DAPSA scores (median 24.4 vs 20.8; p = 0.07). Joints affected by dactylitis had a high prevalence of US synovitis; 190/255 (74.5%). Synovitis was more prevalent in hot dactylitis than cold dactylitis; 180/227 (79.3%) versus 10/28 (35.7%). Ultrasound erosions were significantly greater in joints in PsA with dactylitis (p &lt; 0.001) and identified in significantly greater PsA patients with dactylitis [22/69 (31.9%) versus 11/86 (12.8%) patients (p = 0.004)]. The sites most prone to erosive damage were MCP2 (9/33, 27.3%), MTP5 (11/33, 33.3%). No significant differences were found for enthesitis determined by OMERACT/ modified GUESS. Conclusion This study identifies dactylitis as a clinical indicator for an aggressive phenotype with significantly greater TJC, SJC, CRP, US synovitis and US defined erosions in DMARD-naïve early PsA. Longitudinal follow-up will determine if dactylitis represents poor prognosis. Dactylitis may be a useful discriminator for risk stratification in future PsA management strategies and clinical trials. Disclosure S. Dubash: None. O.A. Alabas: None. X. Michelena: None. L. Garcia-Montoya: None. R. Wakefield: None. A. Tan: None. P. Helliwell: None. P. Emery: None. D. McGonagle: None. H. Marzo-Ortega: None.
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46

Zeytullaeva, E., and M. Popov. "Маss media as a factor of multilevel management of socio-psychological adaptation internally displaced persons." Efficiency of public administration, no. 65 (March 17, 2021). http://dx.doi.org/10.33990/2070-4011.65.2020.226460.

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Problem setting. The article examines the role of the media in social and psychological adaptation of internally displaced persons. It is proved that social and psychological adaptation is a multi-faceted phenomenon, the most significant characteristics of which are the following ones: social and psychological adaptation is the process of “entering” of an individual into a social environment; is a two-way interaction between the individual and the group, the result of which is changes both in the personality and in the group; getting into a new group, the person changes his/her status and key characteristics; in the process of social and psychological adaptation the goals, expectations, requirements of the person and the group are agreed; the components of value-motivational sphere; the successful realization of social and psychological adaptation requires the presence of positive social settings (“social interest”) of the individual and group, the interest of the parties in the interaction; activity of the person is necessary for effective social and psychological adaptation (“social activity”), its personal qualities (maturity, self-actualization, etc.), relevant psychological resource. It is revealed that in addition to public authorities, local governments, public organizations, the mass media is the regulator of adaptation of the internally displaced persons. The indicated media function allows them to be included into the system of multilevel IDP adaptation management. Recent research and publications analysis. A conclusion is drawn regarding the negative impact of the media on the description of events related to the situation with IDPs. In connection with this the following outcomes are indicated: Contacts of journalists with the internally displaced persons. Often, while interviewing, the journalists try to get a description of “the most terrible” facts that caused the forced relocation. This leads to the so-called “secondary traumatism”. Interpretation of events. Often the emphasis is on unresolved issues, lack of support, and thus a feeling of helplessness and impotence appear. In practice, the media often use techniques to worsen the effects of forced relocation. Focusing on finding the causes and perpetrators of what has happened. This is a dead end situation, because it focuses on the past, which can not be changed. This search only reinforces the feeling of hopelessness, guilt and hatred. The media almost never emphasize “how” to make sure that this will not happen in the future. It is noted that in this period of time to talk about the socio-therapeutic function of the media, which should be aimed at treating people from frustration, the formation of a tolerant, tolerant attitude towards people who “are not like us.” As noted in the literature, tolerance – is tolerance, indulgence in the shortcomings of others, the ability of man, society, state to hear and respect the opinions of others, to be hostile to opinions that are different from their own, the ability to understand another person, care and understand other people’s feelings. Used as an antipode to aggression, malice and irritability. Highlighting previously unsettled parts of the general problem. In this regard, it is proposed to consider unacceptable: “shooting” a person “unexpectedly” at the time of acute grief or despair (such favorite video scene shows in Ukrainian media, when they talk about their losses through their tears); showing a person in a situation of humiliation that offends him/her human dignity (a demonstration of the terrible places of resettlement of the internally displaced persons, the arrival of “high guests” and “meeting with the people”, etc.); demonstration of moral and physical bullying; direct or indirect justification for actions that have caused the suffering of internally displaced persons; direct or indirect condemnation of the internally displaced persons; an appeal to collective repentance, a requirement for the internally displaced persons to recognize themselves as guests and behave accordingly; sarcasm or humor regarding internally displaced persons. Paper main body. It is determined that in order to provide information-psychological safety of the IDPs, potentially stress-related information should correspond to a number of conditions: constructive description of problems (showing people in a state of active overcoming of existing problems); analysis of possible means of constructive overcoming of difficulties; informing on the progress of the solution of the problem and its solution; provision of psychological support to internally displaced persons (demonstration of social approval and assistance). Materials about internally displaced persons should not end with statements such as “Who will help?”, “Who responds to other humans?”, “Where to search for justice?”. That creates an effect of incomplete action and may turn into a loss of hope and faith. Conclusions of the research and prospects for further studies. It is concluded that the media influence the social attitudes of its audience, changing opinions, shaping evaluation and stimulating behavior. The image of social reality created by the media influences the audience, forming a subjective image. Depending on the nature of the image created, perceptions of what is happening change, which can lead either to the assimilation of social norms, values, patterns of acceptable behavior, or to the rejection of social reality. In the process of social and psychological adaptation, forced internally displaced persons, representatives of the group with which they are in contact, form social attitudes towards each other, which can either be consolidated or adjusted through the media. The image created will be influenced not only by the objective social situation, but also by the subjective social attitudes of journalists, through the prism of which information material is created. representatives of the contact group and ultimately – in the process of socio-psychological adaptation. The conclusion is made on the necessity of indirect regulation of the description of internally displaced persons by the media from the state authorities (Ministry of Information Policy of Ukraine, Ministry of Reintegration of the Temporarily Occupied Territories of Ukraine), local self-government bodies, NGOs and journalists’ associations.
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47

Scott, Paul. "We shall Fight on the Seas and the Oceans…We shall." M/C Journal 6, no. 1 (February 1, 2003). http://dx.doi.org/10.5204/mcj.2138.

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Liquidate the entire rapacious monstrosity that is the global surf industry. Eradicate the gloating, insolent, overfed, carrion-feeding surf media altogether. Destroy the overweening, insidious and growing attraction that surf fashion is for common landlubbers. Dismantle, annihilate and devastate the whole swelling, putrescent edifice of surfing once and for all. There are too many people in the water and all I want to do is go surfing with my mates goddammit (Breuchie 26). Nick Breuchie’s letter to Tracks reflects an individual’s fight against the popularity of surfing, a popularity that he sees manifested in crowded surf line-ups boosted by the images and rhetoric found in surfing magazines. Beyond surfing magazines, surfing is currently enjoying an ultra-hip status in the world of popular culture: Hollywood has recently reinvigorated the surf movie genre that started with Gidget through putting “chicks on sticks in flicks” in the surfploitation film Blue Crush; surfing scenes open the most recent James Bond film, Die Another Day. Surf fashion is seemingly ubiquitous among youth and their baby boomer parents, and the global surf industry is worth “at least $US7.4bn,” most of which is generated through sales of apparel (Gliddon 20). No longer is surfing for youth; now it is about youth. Most importantly for Breuchie and others like him, surfing saturation in popular culture has resulted in more than an excess of representation: it has resulted in an excess of participation. For the “original” members of surfing subcultures, surfing has simply become too crowded, resulting in a frustration that is too often being expressed in aggressive behaviour and surf rage. >From any point of view, it is clear that surfing has become so popular that it is increasingly difficult to find a non-remote surf break that is not overcrowded. Carrol claims in The Association of Surfing Professionals Media Guide and Statistics Booklet that “everybody surfs – mums, dads, sisters, four-year-old groms, 80-year-old great grandparents” (21). As a result of this demand for waves, surf-travel to remote locations is experiencing massive growth and at the same time, as discussed below, intense localism is rampant. Although waves suitable for surfing in many parts of the world may be considered as a public territory where access is usually on a first-come-first-serve basis, local surfers tend to behave more dominantly at their home breaks. These surfers take what might be referred to in sporting terms as the home ground advantage. Increasingly, however, waves of the ocean are not public access spaces: these surf breaks are for exclusive use by guests of resorts that have negotiated deals with governments, traditional owners or other local authorities. Surfers, frustrated by crowds at breaks in the “surf slums” in the more populated areas of the world, are increasingly prepared to pay to play in such exclusive surf resorts as those now found in the Maldives, Indonesia and Fiji. Local enforcers guard the surf breaks of these resorts and, on behalf of the resort owners, ensure that the guests maintain the privilege of the exclusivity they have paid for. For a long time now, surfers at breaks around the world have been punching each other in the head while surfing magazines have been telling the world about the individuality, the brotherhood, the beauty and the spirituality of surfing as an “art,” “lifestyle,” “religion” and “sport.” One way of maintaining the perception of individualism and freedom of the surfing experience is through protecting the local break from newbies via localism: its advocates justify it as a means of keeping hierarchical law and order in a field where game rules do not officially exist. Viewed anthropologically, localism can be viewed as territorialism important to the self-preservation and well-being of the clan; it can also be a unifying force that may bond communities together to invest in, develop and protect common interests. Localism is one of the defining concepts of modern surfing. The mythology of surf localism is that it exists to instill order and respect in the water and provides people with a sense of belonging. Its main function for surfing communities, however, is to exclude surfers who are not from the immediate vicinity of a surfing spot. This version of localism is characterized by a masculinized, xenophobic territorialism and a hostility to outsiders that can both unite and fracture others through threatened or actual violence: it is about policing and protecting “our” waves and is enacted in the water by dominant males who “hassle” surfers who are not part of the local tribe. Surfing magazines and films often encourage the siege-like tribalism and aggressive expression of localism through advocating 'the rights' of local surfers: for example, the magazines will often not reveal the source location of surfing photographs “out of respect for the locals.” Blue Crush includes the apparently obligatory fight scene found in many Hollywood surfing films: locals who claim exclusivity to the surf fight the outsider—in this case, the kooky love interest of the film’s female star. The masculine aggressiveness of surfing argot that is extensively used in surfing magazines may be better suited to a misogynistic slasher movie than a sport—surfers ride thrusters, they carve, shred, slash, tear, pull out, perform re-entries, crack and rip filthy, sick pits, and request the male surf god Huey to make mother ocean pump. The language is more reflective of a fight with the waves than an expression of how to ride them for leisure and play. In the “age of rage” (Agbayani) localism in surfing at its most extreme is manifested through surf rage. Cralle defines a local as “anyone who’s been there a day longer than you” while localism is “territorial defiance in defence of a surf spot.” Agbayani argues that “the activity was born in 1779 when angry Hawaiians killed Captain James Cook at Kealakekua Bay.” The current CEO and President of the Association of Surfing Professionals and former world champion surfer, Wayne Bartholomew, somewhat confusingly writes that a beating he received from locals in the winter of 1976-1977 on the North Shore of Oahu in Hawaii reminded him of Captain Cook. “I don’t know what happened to Captain Cook but the scene that confronted me on the beach always reminds me of Captain Cook” (151). Bartholomew claims his selfish behaviour in the water so affronted the Hawaiians that “I was held under water, pounded round the back of the head, then pulled up and pounded in the face. They knocked all my teeth out and just flattened my nose, I had cuts all over my eyes and lips” (151). Discussing a fight with an American opponent during the 1966 world championships at San Diego, Nat Young wrote in his newspaper column: “I am afraid I lost my temper and did what most other Australians would have done—I hit him—and knocked him flat” (980). Young had his own face knocked flat after a fight with another surfer at Angourie in March 2000. Coming in from the surf, he was attacked on the beach by Michael Hutchinson, a rival longboarder, who hospitalized Young with two broken eye sockets, shattered cheekbones and destroyed sinuses. Both Young and Hutchison were locals. The incident was sparked by Young, who admitted to slapping Hutchison’s son for “bad behaviour” while out in the surf. (In a cathartic moment, Young subsequently published a book entitled Surf Rage that told stories of the pointlessness of fighting for waves). Beyond (but not unconnected to) localism, the increase in confrontations, aggression and fighting in the surf may also be partly attributable to the impact of technology upon surfing. Technology is having a significant influence on when and where people can go surfing. Readily available surf craft such as bodyboards and the (rediscovered) Malibu surfboard are allowing learners quick results in developing the ability to ride waves; warmer, more comfortable wetsuits are allowing year round surfing in cold water; and the leg rope allows people to fall off surfboards without having to swim to shore to retrieve rock-damaged foam and fibreglass. In addition to these technological developments, “surfcams” show surf conditions, and non-locals can look at real time conditions all over the world (see, for example http://www.coastalwatch.com, http://www.surf-news.com or http://www.baliwaves.com). These cameras are regularly vandalised to thwart the dissemination of this information to non-local surfers. Meanwhile, surf-forecasting services notify customers via mobile phone, pager or email when the conditions for surfing are good, so there is little chance of lonely surfs. The increasing number of surfboard riders, bodyboarders, windsurfers, surf ski riders, personal watercraft and kite surfers are straining a natural resource that is open to those who can grab a surf craft and get to the beach. The use of personal watercraft in crowded breaks to provide surfers with a technological advantage is also causing uneasiness and resentment in the water, as Chronicles (2003) notes: … I was out at Currumbin Alley the other arvo, sitting among a pack of around 50 guys and girls on shortboards, longboards and the occasional wave ski and bodyboard, when I noticed a group that wasn’t equal. With one guy driving a jet ski, four surfers were getting lifts back into the line up after every wave, doing away with the sometimes horrendous paddle-back at The Alley, which can take as along as ten or 15 minutes to get back to the line-up. After a wave, the surfer was dragged back to the top of the point by the ski. He was then dropped off a few metres from the line-up and rejoined the pack. Guys were, quite rightly, getting pissed off that they were jockeying for position on the next wave with a kid who had caught a wave not even five minutes ago. And all because one surfer could afford $12,000 or whatever it costs for a Yamaha three-seater Waverunner these days. Factors other than technology have also increased the number of surfers in the water. Baby boomers have not retired from the sport, and specialist surfing magazines such as Australian Longboarder and The Surfers Journal cater for those surfers older than thirty-five. News articles and surfing magazines are claiming that more girls and women are taking up surfing for pleasure and personal fitness, although to what degree this has occurred is contestable. Such claims seem to originate largely from the public relations departments of surfing companies, whose worldwide sales of female board shorts have grown significantly in the past three years: it would be interesting to determine whether such sales reflect growth in female participation in the sport or female consumption of its symbolic commodities. No longer viewed as a deviant subculture, surfing is marketed by surfing magazines as a global lifestyle that can be achieved through the consumption of global commodities. While the peak industry and surfing competition bodies continually espouse the need for the sport to grow, the remaining cottage industries creating commodities for use by surfers are being squeezed out by global corporations. Pop-out surfboards are being mass-produced in a Thailand factory to be sold in chain stores throughout the world. Non-paying surfers are excluded from “private” surf breaks, while wave pools and artificial reefs are being created to provide simulations of the “natural” surfing experience. The frustration expressed by Breuchie in relation to the (over)popularization of surfing is being felt in oceans around the world. Additionally, individual surfers fear that the accompanying violence and fighting may result in regulation, discipline and authoritarianism. Such regulation may manifest itself via licenses, liability insurance and other restrictions, and would regulate one of the few “free” activities that remain little affected by law. But continued fighting and surf rage may provide governments with few alternatives. Works Cited Agbayani, Caroline. Annotated Bibliography on the Age of Rage. Accessed 12 January, 2003. Bartholomew, Wayne, and Baker Tim. Bustin’ Down the Door. 2nd Edition. Sydney: HarperSports, 2002. Breuchie, Nick. Tracks, March. Sydney: EMAP Publishing, 2002. Carroll, Nick. The Association of Surfing Professionals Media Guide and Statistics Booklet. Coolangatta: Association of Surfing Professionals and Chilli Industries, 2002. Chronicles, Jonas. To Ski or not to Ski Real Surf. Accessed 9 January, 2003. Cralle, Trevor, ed. The Surfin’ary. Berkely, CA: Ten Speed Press, 2001. Gliddon, Joshua. “Mad Wax.” The Bulletin, Sydney: ACP Publishing, August 13, 2002. Young, Nat. “My punch-up at San Diego.” Sunday Telegraph, Sydney, 1966. ---. Surf Rage. Angourie: Nymboida Press, 2000. Links http://www.soc.hawaii.edu/leonj/409as2001/agbayani/report1.htm http://www.coastalwatch.com http://www.realsurf.com.au/news/newsitem.php?id=106 http://www.baliwaves.com http://www.surf-news.com Citation reference for this article Substitute your date of access for Dn Month Year etc... MLA Style Scott, Paul. "We shall Fight on the Seas and the Oceans…We shall " M/C: A Journal of Media and Culture 6.1 (2003). Dn Month Year < http://www.media-culture.org.au/0302/05-weshallfight.php>. APA Style Scott, P., (2003, Feb 26). We shall Fight on the Seas and the Oceans…We shall . M/C: A Journal of Media and Culture, 6,(1). Retrieved Month Dn, Year, from http://www.media-culture.org.au/0302/05-weshallfight.html
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48

Gehrmann, Richard. "War, Snipers, and Rage from Enemy at the Gates to American Sniper." M/C Journal 22, no. 1 (March 13, 2019). http://dx.doi.org/10.5204/mcj.1506.

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The concept of war is inextricably linked to violence, and military action almost always resounds with the emotion and language of rage. Since the War on Terror began in September 2001, post-9/11 expressions of terror and rage have influenced academics to evaluate rage and its meanings (Gildersleeve and Gehrmann). Of course, it has directly influenced the lives of those affected by global conflicts in war-torn regions of the Middle East and North Africa. The populace there has reacted violently to military invasions with a deep sense of rage, while in the affluent West, rage has also infiltrated everyday life through clothes, haircuts, and popular culture as military chic became ‘all the rage’ (Rall 177). Likewise, post-9/11 popular films directly tap into rage and violence to explain (or justify?) conflict and war. The film version of the life of United States Iraq veteran Chris Kyle in American Sniper (2014) reveals fascinating depictions of rage through the perspective of a highly trained shooter who waits patiently above the battlefield, watching for hours before taking human life with a carefully planned long-distance shot. The significance of the complexities of rage as presented in this film are discussed later. Foundations of Rage: Colonial Legacy, Arab Spring, and ISISThe War on Terror may have purportedly began with the rage of Osama bin Laden’s Al Qaeda missions and the responding rage of George Bush’s America determined to seek vengeance for 9/11, but the rage simmering in the Middle East has deeper origins. This includes: the rejection of the Shah of Iran's secular dictatorship in 1979, the ongoing trauma of an Arab Palestinian state that was promised in 1947, and the blighted hopes of Gamal Abdel Nasser's Arab nationalism that offered so much in the 1950s but failed to deliver. But these events should not be considered in isolation from events of the whole 20th century, in particular the betrayal of Arab nationalism by the Allied forces, especially Britain and France after the First World War. The history of injustice that Robert Fisk has chronicled in a monumental volume reveals the complexity and nuances of an East-West conflict that continued to fracture the Middle East. In a Hollywood-based film such as American Sniper it is easy to depict the region from a Western perspective without considering the cycle of injustice and oppression that gave birth to the rage that eventually lashed out at the West. Rage can also be rage against war, or rage about the mistreatment of war victims. The large-scale protests against the war before the 2003 Iraq invasion have faded into apparent nothingness, despite nearly two decades of war. Protest rage appears to have been replaced by outrage on behalf of the victims of war; the refugees, asylum seekers, economic migrants and those displaced by the ever- spreading conflict that received a new impetus in 2011 with the Arab Spring democracy movements. One spark point for rage ignited when Tunisian street vendor Mohamed Bouazizi embarked on his act of self-immolation in protest against harassment by public officials. This moment escalated into a kaleidoscope of collective rage as regimes were challenged from Syria to Libya, but met with a tragic aftermath. Sadly, democratic governments did not emerge, but turned into regimes of extremist violence exemplified in the mediaeval misogynistic horror now known as ISIS, or IS, or the Islamic State of Iraq and Syria (Hassan). This horror intensified as millions of civilised Syrians and Iraqis sought to flee their homelands. The result was the movement of peoples, which included manipulation by ruthless people smugglers and detention by governments determined to secure borders — even even as this eroded decades of consensus on the rights of refugees. One central image, that of three-year-old Aylan Kurdi’s corpse washed up on a beach (Smith) should invoke open rage. Here, the incongruity was that a one-time Turkish party beach for affluent 18 to 35-year-olds from Western Europe would signify the death place of a Syrian refugee child, now displaced by war. The historical significance of East/West conflicts in the Middle East, recent events post- Arab Spring, the resulting refugee crisis in the region, and global anti-war protests should be foremost when examining Clint Eastwood's film about an American military sniper in Iraq.Hot Rage and Cold Rage Recent mass shootings in the United States have delineated factions within the power of rage: it seems to blow either hot or cold. US Army psychiatrist Major Nidal Malik Hasan was initially calm when he embarked on a public expression of rage, wounding 30 people and murdering 13 others in a mass shooting event in 2009 (MacAskill). Was this to be categorised as the rage of a nihilist, an Islamist - or as just another American mass shooting like events in Orlando or Sandy Hook? The war journalist and film maker Sebastian Junger authored a study on belonging, where he linked mass shootings (or rampage killings) to social stress and disunity, as a “tendency rising steadily in the US since the 1980s” (115-116). In contrast, the actions of a calm and isolated shooter on a rooftop can be justified as acceptable behaviour if this occurs during war. Now in the case of Chris Kyle, he normalised his tale of calm killing, as an example identified by action “built on a radically asymmetric violence” (Pomarede 53).Enemy at the Gates The point is that sniper killings can be presented in film as morally good. For example, the 2001 film Enemy at the Gates portrays a duel of two snipers in Stalingrad, Russia. This is a fictionalised contest of a fictionalised event, because there was only tangential evidence that Russian sniper hero Vasily Zaytsev actually engaged in a three-day sniper duel with his German enemy during the Second World War. Enemy at the Gates presents the sniper as an acceptable figure in mass popular culture (or even a hero?), which provides the justification for American Sniper. However, in this instance, viewers could recognise a clear struggle between good and evil.Politically, Enemy at the Gates, whether viewed from a conservative or a progressive perspective, presents a struggle between a soldier of the allies (the Soviet Union) and the forces of Nazism, undeniably the most evil variant of fascism. We can interpret this as a defence of the communist heartland, or the defence of a Russian motherland, or the halting of Nazi aggression at its furthest expansion point. Whichever way it is viewed, the Russian sniper is a good man, and although in the movie’s plot the actor Ralph Fiennes as political commissar injects a dimension of manipulation and Stalinist authoritarian control, this does not detract from the idea of the hero defeating evil with single aimed shots. There is rage, but it is overshadowed by the moral ‘good.’American Sniper The true story of Chris Kyle is quite simple. A young man grows up in Texas with ‘traditional’ American values, tries sport and University, tries ranch life, and joins the US Navy Special Forces. He becomes a SEAL (Sea, Air and Land) team member, and is trained as a specialist sniper. Kyle excels as a sniper in Iraq, where he self-identifies as America's most successful sniper. He kills a lot of enemies in Iraq, experiences multiple deployments followed by the associated trauma of reintegration to family life and redeployment, suffers from PTSD, returns to civilian life in America and is himself shot dead by a distressed veteran, in an ironic act of rage. Admired by many, the veracity of Kyle’s story is challenged by others, a point I will return to. As noted above, Kyle kills a lot of people, many of whom are often unaware of his existence. In his book On Killing, Lieutenant-Colonel David Grossman notes this a factor that actually causes the military to have a “degree of revulsion towards snipers” (109), which is perhaps why the movie version of Kyle’s life promotes a rehabilitation of the military in its “unambiguous advocacy of the humility, dedication, mastery, and altruism of the sniper” as hero (Beck 218). Most enlisted soldiers never actually kill their enemies, but Kyle kills well over 100 while on duty.The 2012 book memoir of United States Navy sniper Chris Kyle at war in Iraq became a national cultural artefact. The film followed in 2014, allowing the public dramatisation of this to offer a more palatable form for a wider audience. It is noted that military culture at the national level is malleable and nebulous (Black 42), and these constructs are reflected in the different variants of American Sniper. These cultural products are absorbed differently when consumed by the culture that has produced them (the military), as compared to the way that they are consumed by the general public, and the book American Sniper reflects this. Depending upon readers’ perspectives, it is a book of raw honesty or nationalistic jingoism, or perhaps both. The ordinary soldier’s point of view is reiterated and directed towards a specifically American audience. Despite controversy and criticism the book was immensely successful, with weeks on the New York Times bestseller list. While it naturally appealed to many in its primary American audience, from an Australian perspective, the jingoism of this book jars. In fact, it really jars a lot, to the point of being quite challenging to read. That Australian readers would have difficulty with this text is probably appropriate, because after all, the book was not created for Australians but for Americans.On the other hand, Americans have produced balanced accounts of the soldier experience in Iraq. A very different exemplar is Garry Trudeau’s Doonesbury blog that became the book The Sandbox (2007). Here American men and women soldiers wrote their own very revealing stories about the wars in Iraq and Afghanistan, in autobiographical accounts that ranged from nuanced explanations of the empathy for the soldier’s predicament, to simple outright patriotism. TIn their first-hand accounts of war showed a balance of ordinary pathos, humour – and the raw brutality of a soldier finding the neck stem of a human spine on the ground after a suicide bomb attack (Trudeau 161) – and even this seems more palatable to read than American Sniper. A similar book on the US military sniper experience (Cavallaro and Larsen) also shows it is possible to incorporate a variety of perspectives without patriotic jingoism, or even military propaganda being predominant.In contrast to the book, the film American Sniper narrates a more muted story. The movie is far more “saccharine”, in the words of critical Rolling Stone reviewer Matt Taibbi, but still reflects a nationalistic attitude to war and violence — appropriate to the mood of the book. American producer/director Clint Eastwood has developed his own style for skipping around the liminal space that exists between thought-provoking analysis and populism, and American Sniper is no exception. The love story of Chris Kyle and his wife Taya looks believable, and the intensity of military training and war fighting, including the dispassionate thoughts of Kyle as sniper, are far more palatable in the film version than as the raw words on the page.The Iraq War impacted on millions of Americans, and it is the compelling images shown re-living Chris Kyle’s funeral at the film’s conclusion that leaves a lasting message. The one-time footballer’s memorial service is conducted in a Texas football stadium and this in itself is poignant: but it is the thousands of people who lined the highway overpasses for over 200 miles to farewell him and show respect as his body travels towards the funeral in the stadium, that gives us an insight into the level of disenchantment and rage at America’s loss. This is a rage fuelled by losing their military ‘empire’ coupled with a traumatised search for meaning that Jerry Lembcke sees as inextricably linked to US national failure in war and the tragedy of an individual soldier’s PTSD. Such sentiments seem intimately connected to Donald Trump’s version of America, and its need to exercise global power. Kyle died before Trump’s election, but it seems evident that such rage, anger and alienation experienced by a vast segment of the American population contributed to the election result (Kluger). Calm Cold Calculation Ironically, the traditional sniper embodies the antithesis of hot-blooded rage. Firing any long- distance range weapon with accuracy requires discipline, steady breathing and intense muscle control. Olympic shooting or pentathlons demonstrate this, and Gina Cavallaro and Matt Larsen chronicle both sniper training and the sniper experience in war. So, the notion of sniper shooting and rage can only coexist if we accept that rage becomes the cold, calculating rage of a person doing a highly precise job when killing enemies. In the book, Kyle clearly has no soldierly respect for his Iraqi insurgent enemies and is content to shoot them down one by one. In the film, there is greater emphasis on Kyle having more complex emotions based around the desire to protect his fellow soldiers by shooting in a calm and detached fashion at his designated targets.Chris Kyle’s determination to kill his enemies regardless of age or gender seems at odds with the calm detached passivity of the sniper. The long-distance shooter should be dispassionate but Kyle experiences rage as he kills to protect his fellow soldiers. Can we argue he exhibits ‘cold rage’ not ‘hot rage’, but rage none the less? It would certainly seem so. War Hero and Fantasist?In life, as in death, Chris Kyle presents a figure of controversy, being praised by the political far right, yet condemned by a diverse coalition that included radicals, liberals, and even conservatives such as former soldier Michael Fumento. Fumento commented that Kyle’s literary embellishments and emphasis on his own prowess denigrated the achievements of fellow American snipers. Reviewer Lindy West described him as “a hate filled killer”, only to become a recipient of rage and hatred from Kyle supporters. Paul Rieckhoff described the film as not the most complex nor deepest nor provocative, but the best film made about the Iraq war for its accuracy in storytelling and attention to detail.Elsewhere, reviewer Mark Kermode argues that the way the film is made introduces a significant ambiguity: that we as an audience can view Kyle as either a villain, a hero, or a combination of both. Critics have also examined Kyle’s reportage on his military exploits, where it seems he received less fewer medals than he claimed, as well as his ephemeral assertion that he shot looters in the aftermath of Hurricane Katrina (Lamothe). In other claims, the US courts have upheld the assertion of former wrestler turned politician Jesse Ventura that Kyle fabricated a bar-room brawl between the two. But humans are complex beings, and Drew Blackburn sees it as “entirely plausible to become both a war hero and a liar” in his candid (Texas-based) assessment of one person who was, like many of us, a multifaceted figure.Conclusion This article has addressed the complicated issues of rage originating in the historical background of military actions that have taken place in the East/West conflicts in the Middle East that began in the region after the Second World War, and continue to the present day. Rage has become a popular trope within popular culture as military chic becomes ‘all the rage’. Rage is inextricably linked to the film American Sniper. Patriotism and love of his fellow soldiers motivated Chris Kyle, and his determination to kill his country’s enemies in Iraq and protect the lives of his fellow American soldiers is clear, as is his disdain for both his Iraqi allies and enemies. With an ever- increasing number of mass shootings in the United States, the military sniper will be a hero revered by some and a villain reviled by others. Rage infuses the film American Sniper, whether the rage of battle, rage at the moral dilemmas his role demands, domestic rage between husband and wife, PTSD rage, or rage inspired following his pointless murder. But rage, even when it expresses a complex vortex of emotions, remains dangerous for those who are obsessed with guns, and look to killing others either as a ‘duty’ or to soothe an individual crisis of confidence. ReferencesAmerican Sniper. Dir. Clint Eastwood. Warner Brothers, 2014.Beck, Bernard. “If I Forget Thee: History Lessons in Selma, American Sniper, and A Most Violent Year.” Multicultural Perspectives 17.4 (2015): 215-19.Black, Jeremy. War and the Cultural Turn. Cambridge: Polity Press, 2012.Blackburn, Drew. “How We Talk about Chris Kyle.” Texas Monthly 2 June 2016. 18 Feb. 2019 <https://www.texasmonthly.com/the-daily-post/chris-kyle-rorschach/>.Cavallaro, Gina, and Matt Larsen. Sniper: American Single-Shot Warriors in Iraq and Afghanistan. Guildford, Connecticut: Lyons, 2010. Enemy at the Gates. Dir. Jean-Jaques Annaud. Paramount/Pathe, 2001.Fisk, Robert. The Great War for Civilisation: The Conquest of the Middle East. New York: Alfred A. Knopf, 2006.Fumento, Michael. “American Sniper’s Myths and Misrepresentations.” The American Conservative 13 Mar. 2015. 18 Feb. 2019 <https://www.theamericanconservative.com/articles/clint-eastwoods-fabricated-sniper/>.Gildersleeve, Jessica, and Richard Gehrmann. “Memory and the Wars on Terror”. Memory and the Wars on Terror: Australian and British Perspectives. Eds. Jessica Gildersleeve and Richard Gehrmann. Cham: Palgrave Macmillan, 2017. 1-19.Grossman, Dave. On Killing: The Psychological Cost of Learning to Kill in War and Society. Boston: Little, Brown, 1995.Hassan, Hassan. “The True Origins of ISIS.” The Atlantic 30 Nov. 2018. 17 Feb. 2019 <https://www.theatlantic.com/ideas/archive/2018/11/isis-origins-anbari-zarqawi/577030/>.Kermode, Mark. “American Sniper Review – Bradley Cooper Stars in Real-Life Tale of Legendary Marksman.” The Guardian 18 Jan. 2015. 18 Feb. 2019 <https://www.theguardian.com/film/2015/jan/18/american-sniper-review-bradley-cooper-real-life-tale-legendary-marksman>.Kluger, Jeffrey. “America's Anger Is Out of Control.” TIME 1 June 2016. 17 Feb. 2019 <http://time.com/4353606/anger-america-enough-already>.Kyle, Chris. American Sniper. New York: Harper, 2012. Junger, Sebastian. Tribe: On Homecoming and Belonging. London: Fourth Estate, 2016.Lamothe, Dan. “How ‘American Sniper’ Chris Kyle’s Truthfulness Is in Question Once Again.” 25 May 2016. 19 Feb. 2019 <https://www.washingtonpost.com/news/checkpoint/wp/2016/05/25/how-american-sniper-chris-kyles-truthfulness-is-in-question-once-again/?noredirect=on&utm_term=.d8806f2b8d3a>.Lembcke, Jerry. PTSD: Diagnosis and Identity in Post-Empire America. Lanham: Lexington Books, 2013.Pomarède, Julien. “Normalizing Violence through Front-Line Stories: The Case of American Sniper.” Critical Military Studies 4.1 (2018): 52-71. Rall, Denise N. “Afterword: The Military in Contemporary Fashion.” Fashion and War in Popular Culture. Ed. Denise N. Rall. Bristol: Intellect, 2014. 177-179. Rieckhoff, Paul. “A Veteran's View of American Sniper.” Variety 16 Jan. 2015. 19 Feb. 2019 <https://variety.com/2015/film/opinion/a-veterans-view-of-american-sniper-guest-column-1201406349/>.Smith, Heather, and Richard Gehrmann. “Branding the Muscled Male Body as Military Costume.” Fashion and War in Popular Culture. Ed. Denise N. Rall. Bristol: Intellect, 2014. 57-71.Smith, Helena. “Shocking Images of Drowned Syrian Boy Show Tragic Plight of Refugees.” The Guardian 2 Sep. 2015. 17 Feb. 2019 <https://www.theguardian.com/world/2015/sep/02/shocking-image-of-drowned-syrian-boy-shows-tragic-plight-of-refugees>.Stanford, David (ed.). The Sandbox: Dispatches from Troops in Iraq and Afghanistan. Kansas City: Andrews McMeel Publishing, 2007.Taibbi, Matt. “American Sniper Is Almost Too Dumb to Criticise.” Rolling Stone 21 Jan. 2015. <https://www.rollingstone.com/movies/movie-news/american-sniper-is-almost-too-dumb-to-criticize-240955/>.Trudeau, Garry B. The Sandbox: Dispatches from Troops in Iraq and Afghanistan. Kansas City: Andrew McMeel Publishing, 2007.West, Lindy. “The Real American Sniper Was a Hate-Filled Killer: Why Are Simplistic Patriots Treating Him as a Hero?” The Guardian 6 Jan. 2015. 19 Feb. 2019 <https://www.theguardian.com/commentisfree/2015/jan/06/real-american-sniper-hate-filled-killer-why-patriots-calling-hero-chris-kyle>.
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49

Kabir, Nahid, and Mark Balnaves. "Students “at Risk”: Dilemmas of Collaboration." M/C Journal 9, no. 2 (May 1, 2006). http://dx.doi.org/10.5204/mcj.2601.

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Introduction I think the Privacy Act is a huge edifice to protect the minority of things that could go wrong. I’ve got a good example for you, I’m just trying to think … yeah the worst one I’ve ever seen was the Balga Youth Program where we took these students on a reward excursion all the way to Fremantle and suddenly this very alienated kid started to jump under a bus, a moving bus so the kid had to be restrained. The cops from Fremantle arrived because all the very good people in Fremantle were alarmed at these grown-ups manhandling a kid and what had happened is that DCD [Department of Community Development] had dropped him into the program but hadn’t told us that this kid had suicide tendencies. No, it’s just chronically bad. And there were caseworkers involved and … there is some information that we have to have that doesn’t get handed down. Rather than a blanket rule that everything’s confidential coming from them to us, and that was a real live situation, and you imagine how we’re trying to handle it, we had taxis going from Balga to Fremantle to get staff involved and we only had to know what to watch out for and we probably could have … well what you would have done is not gone on the excursion I suppose (School Principal, quoted in Balnaves and Luca 49). These comments are from a school principal in Perth, Western Australia in a school that is concerned with “at-risk” students, and in a context where the Commonwealth Privacy Act 1988 has imposed limitations on their work. Under this Act it is illegal to pass health, personal or sensitive information concerning an individual on to other people. In the story cited above the Department of Community Development personnel were apparently protecting the student’s “negative right”, that is, “freedom from” interference by others. On the other hand, the principal’s assertion that such information should be shared is potentially a “positive right” because it could cause something to be done in that person’s or society’s interests. Balnaves and Luca noted that positive and negative rights have complex philosophical underpinnings, and they inform much of how we operate in everyday life and of the dilemmas that arise (49). For example, a ban on euthanasia or the “assisted suicide” of a terminally ill person can be a “positive right” because it is considered to be in the best interests of society in general. However, physicians who tacitly approve a patient’s right to end their lives with a lethal dose by legally prescribed dose of medication could be perceived as protecting the patient’s “negative right” as a “freedom from” interference by others. While acknowledging the merits of collaboration between people who are working to improve the wellbeing of students “at-risk”, this paper examines some of the barriers to collaboration. Based on both primary and secondary sources, and particularly on oral testimonies, the paper highlights the tension between privacy as a negative right and collaborative helping as a positive right. It also points to other difficulties and dilemmas within and between the institutions engaged in this joint undertaking. The authors acknowledge Michel Foucault’s contention that discourse is power. The discourse on privacy and the sharing of information in modern societies suggests that privacy is a negative right that gives freedom from bureaucratic interference and protects the individual. However, arguably, collaboration between agencies that are working to support individuals “at-risk” requires a measured relaxation of the requirements of this negative right. Children and young people “at-risk” are a case in point. Towards Collaboration From a series of interviews conducted in 2004, the school authorities at Balga Senior High School and Midvale Primary School, people working for the Western Australian departments of Community Development, Justice, and Education and Training in Western Australia, and academics at the Edith Cowan and Curtin universities, who are working to improve the wellbeing of students “at-risk” as part of an Australian Research Council (ARC) project called Smart Communities, have identified students “at-risk” as individuals who have behavioural problems and little motivation, who are alienated and possibly violent or angry, who under-perform in the classroom and have begun to truant. They noted also that students “at-risk” often suffer from poor health, lack of food and medication, are victims of unwanted pregnancies, and are engaged in antisocial and illegal behaviour such as stealing cars and substance abuse. These students are also often subject to domestic violence (parents on drugs or alcohol), family separation, and homelessness. Some are depressed or suicidal. Sometimes cultural factors contribute to students being regarded as “at-risk”. For example, a social worker in the Smart Communities project stated: Cultural factors sometimes come into that as well … like with some Muslim families … they can flog their daughter or their son, usually the daughter … so cultural factors can create a risk. Research elsewhere has revealed that those children between the ages of 11-17 who have been subjected to bullying at school or physical or sexual abuse at home and who have threatened and/or harmed another person or suicidal are “high-risk” youths (Farmer 4). In an attempt to bring about a positive change in these alienated or “at-risk” adolescents, Balga Senior High School has developed several programs such as the Youth Parents Program, Swan Nyunger Sports Education program, Intensive English Centre, and lower secondary mainstream program. The Midvale Primary School has provided services such as counsellors, Aboriginal child protection workers, and Aboriginal police liaison officers for these “at-risk” students. On the other hand, the Department of Community Development (DCD) has provided services to parents and caregivers for children up to 18 years. Academics from Edith Cowan and Curtin universities are engaged in gathering the life stories of these “at-risk” students. One aspect of this research entails the students writing their life stories in a secured web portal that the universities have developed. The researchers believe that by engaging the students in these self-exploration activities, they (the students) would develop a more hopeful outlook on life. Though all agencies and educational institutions involved in this collaborative project are working for the well-being of the children “at-risk”, the Privacy Act forbids the authorities from sharing information about them. A school psychologist expressed concern over the Privacy Act: When the Juvenile Justice Department want to reintroduce a student into a school, we can’t find out anything about this student so we can’t do any preplanning. They want to give the student a fresh start, so there’s always that tension … eventually everyone overcomes [this] because you realise that the student has to come to the school and has to be engaged. Of course, the manner and consequences of a student’s engagement in school cannot be predicted. In the scenario described above students may have been given a fair chance to reform themselves, which is their positive right but if they turn out to be at “high risk” it would appear that the Juvenile Department protected the negative right of the students by supporting “freedom from” interference by others. Likewise, a school health nurse in the project considered confidentiality or the Privacy Act an important factor in the security of the student “at-risk”: I was trying to think about this kid who’s one of the children who has been sexually abused, who’s a client of DCD, and I guess if police got involved there and wanted to know details and DCD didn’t want to give that information out then I’d guess I’d say to the police “Well no, you’ll have to talk to the parents about getting further information.” I guess that way, recognising these students are minor and that they are very vulnerable, their information … where it’s going, where is it leading? Who wants to know? Where will it be stored? What will be the outcomes in the future for this kid? As a 14 year old, if they’re reckless and get into things, you know, do they get a black record against them by the time they’re 19? What will that information be used for if it’s disclosed? So I guess I become an advocate for the student in that way? Thus the nurse considers a sexually abused child should not be identified. It is a positive right in the interest of the person. Once again, though, if the student turns out to be at “high risk” or suicidal, then it would appear that the nurse was protecting the youth’s negative right—“freedom from” interference by others. Since collaboration is a positive right and aims at the students’ welfare, the workable solution to prevent the students from suicide would be to develop inter-agency trust and to share vital information about “high-risk” students. Dilemmas of Collaboration Some recent cases of the deaths of young non-Caucasian girls in Western countries, either because of the implications of the Privacy Act or due to a lack of efficient and effective communication and coordination amongst agencies, have raised debates on effective child protection. For example, the British Laming report (2003) found that Victoria Climbié, a young African girl, was sent by her parents to her aunt in Britain in order to obtain a good education and was murdered by her aunt and aunt’s boyfriend. However, the risk that she could be harmed was widely known. The girl’s problems were known to 6 local authorities, 3 housing authorities, 4 social services, 2 child protection teams, and the police, the local church, and the hospital, but not to the education authorities. According to the Laming Report, her death could have been prevented if there had been inter-agency sharing of information and appropriate evaluation (Balnaves and Luca 49). The agencies had supported the negative rights of the young girl’s “freedom from” interference by others, but at the cost of her life. Perhaps Victoria’s racial background may have contributed to the concealment of information and added to her disadvantaged position. Similarly, in Western Australia, the Gordon Inquiry into the death of Susan Taylor, a 15 year old girl Aboriginal girl at the Swan Nyungah Community, found that in her short life this girl had encountered sexual violation, violence, and the ravages of alcohol and substance abuse. The Gordon Inquiry reported: Although up to thirteen different agencies were involved in providing services to Susan Taylor and her family, the D[epartment] of C[ommunity] D[evelopment] stated they were unaware of “all the services being provided by each agency” and there was a lack of clarity as to a “lead coordinating agency” (Gordon et al. quoted in Scott 45). In this case too, multiple factors—domestic, racial, and the Privacy Act—may have led to Susan Taylor’s tragic end. In the United Kingdom, Harry Ferguson noted that when a child is reported to be “at-risk” from domestic incidents, they can suffer further harm because of their family’s concealment (204). Ferguson’s study showed that in 11 per cent of the 319 case sample, children were known to be re-harmed within a year of initial referral. Sometimes, the parents apply a veil of secrecy around themselves and their children by resisting or avoiding services. In such cases the collaborative efforts of the agencies and education may be thwarted. Lack of cultural education among teachers, youth workers, and agencies could also put the “at-risk” cultural minorities into a high risk category. For example, an “at-risk” Muslim student may not be willing to share personal experiences with the school or agencies because of religious sensitivities. This happened in the UK when Khadji Rouf was abused by her father, a Bangladeshi. Rouf’s mother, a white woman, and her female cousin from Bangladesh, both supported Rouf when she finally disclosed that she had been sexually abused for over eight years. After group therapy, Rouf stated that she was able to accept her identity and to call herself proudly “mixed race”, whereas she rejected the Asian part of herself because it represented her father. Other Asian girls and young women in this study reported that they could not disclose their abuse to white teachers or social workers because of the feeling that they would be “letting down their race or their Muslim culture” (Rouf 113). The marginalisation of many Muslim Australians both in the job market and in society is long standing. For example, in 1996 and again in 2001 the Muslim unemployment rate was three times higher than the national total (Australian Bureau of Statistics). But since the 9/11 tragedy and Bali bombings visible Muslims, such as women wearing hijabs (headscarves), have sometimes been verbally and physically abused and called ‘terrorists’ by some members of the wider community (Dreher 13). The Howard government’s new anti-terrorism legislation and the surveillance hotline ‘Be alert not alarmed’ has further marginalised some Muslims. Some politicians have also linked Muslim asylum seekers with terrorists (Kabir 303), which inevitably has led Muslim “at-risk” refugee students to withdraw from school support such as counselling. Under these circumstances, Muslim “at-risk” students and their parents may prefer to maintain a low profile rather than engage with agencies. In this case, arguably, federal government politics have exacerbated the barriers to collaboration. It appears that unfamiliarity with Muslim culture is not confined to mainstream Australians. For example, an Aboriginal liaison police officer engaged in the Smart Communities project in Western Australia had this to say about Muslim youths “at-risk”: Different laws and stuff from different countries and they’re coming in and sort of thinking that they can bring their own laws and religions and stuff … and when I say religions there’s laws within their religions as well that they don’t seem to understand that with Australia and our laws. Such generalised misperceptions of Muslim youths “at-risk” would further alienate them, thus causing a major hindrance to collaboration. The “at-risk” factors associated with Aboriginal youths have historical connections. Research findings have revealed that indigenous youths aged between 10-16 years constitute a vast majority in all Australian States’ juvenile detention centres. This over-representation is widely recognised as associated with the nature of European colonisation, and is inter-related with poverty, marginalisation and racial discrimination (Watson et al. 404). Like the Muslims, their unemployment rate was three times higher than the national total in 2001 (ABS). However, in 1998 it was estimated that suicide rates among Indigenous peoples were at least 40 per cent higher than national average (National Advisory Council for Youth Suicide Prevention, quoted in Elliot-Farrelly 2). Although the wider community’s unemployment rate is much lower than the Aboriginals and the Muslims, the “at-risk” factors of mainstream Australian youths are often associated with dysfunctional families, high conflict, low-cohesive families, high levels of harsh parental discipline, high levels of victimisation by peers, and high behavioural inhibition (Watson et al. 404). The Macquarie Fields riots in 2005 revealed the existence of “White” underclass and “at-risk” people in Sydney. Macquarie Fields’ unemployment rate was more than twice the national average. Children growing up in this suburb are at greater risk of being involved in crime (The Age). Thus small pockets of mainstream underclass youngsters also require collaborative attention. In Western Australia people working on the Smart Communities project identified that lack of resources can be a hindrance to collaboration for all sectors. As one social worker commented: “government agencies are hierarchical systems and lack resources”. They went on to say that in their department they can not give “at-risk” youngsters financial assistance in times of crisis: We had a petty cash box which has got about 40 bucks in it and sometimes in an emergency we might give a customer a couple of dollars but that’s all we can do, we can’t give them any larger amount. We have bus/metro rail passes, that’s the only thing that we’ve actually got. A youth worker in Smart Communities commented that a lot of uncertainty is involved with young people “at-risk”. They said that there are only a few paid workers in their field who are supported and assisted by “a pool of volunteers”. Because the latter give their time voluntarily they are under no obligation to be constant in their attendance, so the number of available helpers can easily fluctuate. Another youth worker identified a particularly important barrier to collaboration: because of workers’ relatively low remuneration and high levels of work stress, the turnover rates are high. The consequence of this is as follows: The other barrier from my point is that you’re talking to somebody about a student “at-risk”, and within 14 months or 18 months a new person comes in [to that position] then you’ve got to start again. This way you miss a lot of information [which could be beneficial for the youth]. Conclusion The Privacy Act creates a dilemma in that it can be either beneficial or counter-productive for a student’s security. To be blunt, a youth who has suicided might have had their privacy protected, but not their life. Lack of funding can also be a constraint on collaboration by undermining stability and autonomy in the workforce, and blocking inter-agency initiatives. Lack of awareness about cultural differences can also affect unity of action. The deepening inequality between the “haves” and “have-nots” in the Australian society, and the Howard government’s harshness on national security issues, can also pose barriers to collaboration on youth issues. Despite these exigencies and dilemmas, it would seem that collaboration is “the only game” when it comes to helping students “at-risk”. To enhance this collaboration, there needs to be a sensible modification of legal restrictions to information sharing, an increase in government funding and support for inter-agency cooperation and informal information sharing, and an increased awareness about the cultural needs of minority groups and knowledge of the mainstream underclass. Acknowledgments The research is part of a major Australian Research Council (ARC) funded project, Smart Communities. The authors very gratefully acknowledge the contribution of the interviewees, and thank *Donald E. Scott for conducting the interviews. References Australian Bureau of Statistics. 1996 and 2001. Balnaves, Mark, and Joe Luca. “The Impact of Digital Persona on the Future of Learning: A Case Study on Digital Repositories and the Sharing of Information about Children At-Risk in Western Australia”, paper presented at Ascilite, Brisbane (2005): 49-56. 10 April 2006. http://www.ascilite.org.au/conferences/brisbane05/blogs/proceedings/ 06_Balnaves.pdf>. Dreher, Tanya. ‘Targeted’: Experiences of Racism in NSW after September 11, 2001. Sydney: University of Technology, 2005. Elliot-Farrelly, Terri. “Australian Aboriginal Suicide: The Need for an Aboriginal Suicidology”? Australian e-Journal for the Advancement of Mental Health, 3.3 (2004): 1-8. 15 April 2006 http://www.auseinet.com/journal/vol3iss3/elliottfarrelly.pdf>. Farmer, James. A. High-Risk Teenagers: Real Cases and Interception Strategies with Resistant Adolescents. Springfield, Ill.: C.C. Thomas, 1990. Ferguson, Harry. Protecting Children in Time: Child Abuse, Child Protection and the Consequences of Modernity. London: Palgrave Macmillan, 2004. Foucault, Michel. Power/Knowledge: Selected Interviews and Other Writings, 1972-1977. Ed. Colin Gordon, trans. Colin Gordon et al. New York: Pantheon, 1980. Kabir, Nahid. Muslims in Australia: Immigration, Race Relations and Cultural History. London: Kegan Paul, 2005. Rouf, Khadji. “Myself in Echoes. My Voice in Song.” Ed. A. Bannister, et al. Listening to Children. London: Longman, 1990. Scott E. Donald. “Exploring Communication Patterns within and across a School and Associated Agencies to Increase the Effectiveness of Service to At-Risk Individuals.” MS Thesis, Curtin University of Technology, August 2005. The Age. “Investing in People Means Investing in the Future.” The Age 5 March, 2005. 15 April 2006 http://www.theage.com.au>. Watson, Malcolm, et al. “Pathways to Aggression in Children and Adolescents.” Harvard Educational Review, 74.4 (Winter 2004): 404-428. Citation reference for this article MLA Style Kabir, Nahid, and Mark Balnaves. "Students “at Risk”: Dilemmas of Collaboration." M/C Journal 9.2 (2006). echo date('d M. Y'); ?> <http://journal.media-culture.org.au/0605/04-kabirbalnaves.php>. APA Style Kabir, N., and M. Balnaves. (May 2006) "Students “at Risk”: Dilemmas of Collaboration," M/C Journal, 9(2). Retrieved echo date('d M. Y'); ?> from <http://journal.media-culture.org.au/0605/04-kabirbalnaves.php>.
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Brockington, Roy, and Nela Cicmil. "Brutalist Architecture: An Autoethnographic Examination of Structure and Corporeality." M/C Journal 19, no. 1 (April 6, 2016). http://dx.doi.org/10.5204/mcj.1060.

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Introduction: Brutal?The word “brutal” has associations with cruelty, inhumanity, and aggression. Within the field of architecture, however, the term “Brutalism” refers to a post-World War II Modernist style, deriving from the French phrase betón brut, which means raw concrete (Clement 18). Core traits of Brutalism include functionalist design, daring geometry, overbearing scale, and the blatant exposure of structural materials, chiefly concrete and steel (Meades 1).The emergence of Brutalism coincided with chronic housing shortages in European countries ravaged by World War II (Power 5) and government-sponsored slum clearance in the UK (Power 190; Baker). Brutalism’s promise to accommodate an astonishing number of civilians within a minimal area through high-rise configurations and elevated walkways was alluring to architects and city planners (High Rise Dreams). Concrete was the material of choice due to its affordability, durability, and versatility; it also allowed buildings to be erected quickly (Allen and Iano 622).The Brutalist style was used for cultural centres, such as the Perth Concert Hall in Western Australia, educational institutions such as the Yale School of Architecture, and government buildings such as the Secretariat Building in Chandigarh, India. However, as pioneering Brutalist architect Alison Smithson explained, the style achieved full expression by “thinking on a much bigger scale somehow than if you only got [sic] one house to do” (Smithson and Smithson, Conversation 40). Brutalism, therefore, lent itself to the design of large residential complexes. It was consequently used worldwide for public housing developments, that is, residences built by a government authority with the aim of providing affordable housing. Notable examples include the Western City Gate in Belgrade, Serbia, and Habitat 67 in Montreal, Canada.Brutalist architecture polarised opinion and continues to do so to this day. On the one hand, protected cultural heritage status has been awarded to some Brutalist buildings (Carter; Glancey) and the style remains extremely influential, for example in the recent award-winning work of architect Zaha Hadid (Niesewand). On the other hand, the public housing projects associated with Brutalism are widely perceived as failures (The Great British Housing Disaster). Many Brutalist objects currently at risk of demolition are social housing estates, such as the Smithsons’ Robin Hood Gardens in London, UK. Whether the blame for the demise of such housing developments lies with architects, inhabitants, or local government has been widely debated. In the UK and USA, local authorities had relocated families of predominantly lower socio-economic status into the newly completed developments, but were unable or unwilling to finance subsequent maintenance and security costs (Hanley 115; R. Carroll; The Pruitt-Igoe Myth). Consequently, the residents became fearful of criminal activity in staircases and corridors that lacked “defensible space” (Newman 9), which undermined a vision of “streets in the sky” (Moran 615).In spite of its later problems, Brutalism’s architects had intended to develop a style that expressed 1950s contemporary living in an authentic manner. To them, this meant exposing building materials in their “raw” state and creating an aesthetic for an age of science, machine mass production, and consumerism (Stadler 264; 267; Smithson and Smithson, But Today 44). Corporeal sensations did not feature in this “machine” aesthetic (Dalrymple). Exceptionally, acclaimed Brutalist architect Ernö Goldfinger discussed how “visual sensation,” “sound and touch with smell,” and “the physical touch of the walls of a narrow passage” contributed to “sensations of space” within architecture (Goldfinger 48). However, the effects of residing within Brutalist objects may not have quite conformed to predictions, since Goldfinger moved out of his Brutalist construction, Balfron Tower, after two months, to live in a terraced house (Hanley 112).An abstract perspective that favours theorisation over subjective experiences characterises discourse on Brutalist social housing developments to this day (Singh). There are limited data on the everyday lived experience of residents of Brutalist social housing estates, both then and now (for exceptions, see Hanley; The Pruitt-Igoe Myth; Cooper et al.).Yet, our bodily interaction with the objects around us shapes our lived experience. On a broader physical scale, this includes the structures within which we live and work. The importance of the interaction between architecture and embodied being is increasingly recognised. Today, architecture is described in corporeal terms—for example, as a “skin” that surrounds and protects its human inhabitants (Manan and Smith 37; Armstrong 77). Biological processes are also inspiring new architectural approaches, such as synthetic building materials with life-like biochemical properties (Armstrong 79), and structures that exhibit emergent behaviour in response to human presence, like a living system (Biloria 76).In this article, we employ an autoethnographic perspective to explore the corporeal effects of Brutalist buildings, thereby revealing a new dimension to the anthropological significance of these controversial structures. We trace how they shape the physicality of the bodies interacting within them. Our approach is one step towards considering the historically under-appreciated subjective, corporeal experience elicited in interaction with Brutalist objects.Method: An Autoethnographic ApproachAutoethnography is a form of self-narrative research that connects the researcher’s personal experience to wider cultural understandings (Ellis 31; Johnson). It can be analytical (Anderson 374) or emotionally evocative (Denzin 426).We investigated two Brutalist residential estates in London, UK:(i) The Barbican Estate: This was devised to redevelop London’s severely bombed post-WWII Cripplegate area, combining private residences for middle class professionals with an assortment of amenities including a concert hall, library, conservatory, and school. It was designed by architects Chamberlin, Powell, and Bon. Opened in 1982, the Estate polarised opinion on its aesthetic qualities but has enjoyed success with residents and visitors. The development now comprises extremely expensive housing (Brophy). It was Grade II-listed in 2001 (Glancey), indicating a status of architectural preservation that restricts alterations to significant buildings.(ii) Trellick Tower: This was built to replace dilapidated 19th-century housing in the North Kensington area. It was designed by Hungarian-born architect Ernő Goldfinger to be a social housing development and was completed in 1972. During the 1980s and 1990s, it became known as the “Tower of Terror” due to its high level of crime (Hanley 113). Nevertheless, Trellick Tower was granted Grade II listed status in 1998 (Carter), and subsequent improvements have increased its desirability as a residence (R. Carroll).We explored the grounds, communal spaces, and one dwelling within each structure, independently recording our corporeal impressions and sensations in detailed notes, which formed the basis of longhand journals written afterwards. Our analysis was developed through co-constructed autoethnographic reflection (emerald and Carpenter 748).For reasons of space, one full journal entry is presented for each Brutalist structure, with an excerpt from each remaining journal presented in the subsequent analysis. To identify quotations from our journals, we use the codes R- and N- to refer to RB’s and NC’s journals, respectively; we use -B and -T to refer to the Barbican Estate and Trellick Tower, respectively.The Barbican Estate: Autoethnographic JournalAn intricate concrete world emerges almost without warning from the throng of glass office blocks and commercial buildings that make up the City of London's Square Mile. The Barbican Estate comprises a multitude of low-rise buildings, a glass conservatory, and three enormous high-rise towers. Each modular building component is finished in the same coarse concrete with burnished brick underfoot, whilst the entire structure is elevated above ground level by enormous concrete stilts. Plants hang from residential balconies over glimmering pools in a manner evocative of concrete Hanging Gardens of Babylon.Figure 1. Barbican Estate Figure 2. Cromwell Tower from below, Barbican Estate. Figure 3: The stairwell, Cromwell Tower, Barbican Estate. Figure 4. Lift button pods, Cromwell Tower, Barbican Estate.R’s journalMy first footsteps upon the Barbican Estate are elevated two storeys above the street below, and already an eerie calm settles on me. The noise of traffic and the bustle of pedestrians have seemingly been left far behind, and a path of polished brown brick has replaced the paving slabs of the city's pavement. I am made more aware of the sound of my shoes upon the ground as I take each step through the serenity.Running my hands along the walkway's concrete sides as we proceed further into the estate I feel its coarseness, and look up to imagine the same sensation touching the uppermost balcony of the towers. As we travel, the cold nature and relentless employ of concrete takes over and quickly becomes the norm.Our route takes us through the Barbican's central Arts building and into the Conservatory, a space full of plant-life and water features. The noise of rushing water comes as a shock, and I'm reminded just how hauntingly peaceful the atmosphere of the outside estate has been. As we leave the conservatory, the hush returns and we follow another walkway, this time allowing a balcony-like view over the edge of the estate. I'm quickly absorbed by a sensation I can liken only to peering down at the ground from a concrete cloud as we observe the pedestrians and traffic below.Turning back, we follow the walkways and begin our approach to Cromwell Tower, a jagged structure scraping the sky ahead of us and growing menacingly larger with every step. The estate has up till now seemed devoid of wind, but even so a cold begins to prickle my neck and I increase my speed toward the door.A high-ceilinged foyer greets us as we enter and continue to the lifts. As we push the button and wait, I am suddenly aware that carpet has replaced bricks beneath my feet. A homely sensation spreads, my breathing slows, and for a brief moment I begin to relax.We travel at heart-racing speed upwards to the 32nd floor to observe the view from the Tower's fire escape stairwell. A brief glance over the stair's railing as we enter reveals over 30 storeys of stair casing in a hard-edged, triangular configuration. My mind reels, I take a second glance and fail once again to achieve focus on the speck of ground at the bottom far below. After appreciating the eastward view from the adjacent window that encompasses almost the entirety of Central London, we make our way to a 23rd floor apartment.Entering the dwelling, we explore from room to room before reaching the balcony of the apartment's main living space. Looking sheepishly from the ledge, nothing short of a genuine concrete fortress stretches out beneath us in all directions. The spirit and commotion of London as I know it seems yet more distant as we gaze at the now miniaturized buildings. An impression of self-satisfied confidence dawns on me. The fortress where we stand offers security, elevation, sanctuary and I'm furnished with the power to view London's chaos at such a distance that it's almost silent.As we leave the apartment, I am shadowed by the same inherent air of tranquillity, pressing yet another futuristic lift access button, plummeting silently back towards the ground, and padding across the foyer's soft carpet to pursue our exit route through the estate's sky-suspended walkways, back to the bustle of regular London civilization.Trellick Tower: Autoethnographic JournalThe concrete majesty of Trellick Tower is visible from Westbourne Park, the nearest Tube station. The Tower dominates the skyline, soaring above its neighbouring estate, cafes, and shops. As one nears the Tower, the south face becomes visible, revealing the suspended corridors that join the service tower to the main body of flats. Light of all shades and colours pours from its tightly stacked dwellings, which stretch up into the sky. Figure 5. Trellick Tower, South face. Figure 6. Balcony in a 27th-floor flat, Trellick Tower.N’s journalOutside the tower, I sense danger and experience a heightened sense of awareness. A thorny frame of metal poles holds up the tower’s facade, each pole poised as if to slip down and impale me as I enter the building.At first, the tower is too big for comprehension; the scale is unnatural, gigantic. I feel small and quite squashable in comparison. Swathes of unmarked concrete surround the tower, walls that are just too high to see over. Who or what are they hiding? I feel uncertain about what is around me.It takes some time to reach the 27th floor, even though the lift only stops on every 3rd floor. I feel the forces of acceleration exert their pressure on me as we rise. The lift is very quiet.Looking through the windows on the 27th-floor walkway that connects the lift tower to the main building, I realise how high up I am. I can see fog. The city moves and modulates beneath me. It is so far away, and I can’t reach it. I’m suspended, isolated, cut off in the air, as if floating in space.The buildings underneath appear tiny in comparison to me, but I know I’m tiny compared to this building. It’s a dichotomy, an internal tension, and feels quite unreal.The sound of the wind in the corridors is a constant whine.In the flat, the large kitchen window above the sink opens directly onto the narrow, low-ceilinged corridor, on the other side of which, through a second window, I again see London far beneath. People pass by here to reach their front doors, moving so close to the kitchen window that you could touch them while you’re washing up, if it weren’t for the glass. Eye contact is possible with a neighbour, or a stranger. I am close to that which I’m normally separated from, but at the same time I’m far from what I could normally access.On the balcony, I have a strong sensation of vertigo. We are so high up that we cannot be seen by the city and we cannot see others. I feel physically cut off from the world and realise that I’m dependent on the lift or endlessly spiralling stairs to reach it again.Materials: sharp edges, rough concrete, is abrasive to my skin, not warm or welcoming. Sharp little stones are embedded in some places. I mind not to brush close against them.Behind the tower is a mysterious dark maze of sharp turns that I can’t see around, and dark, narrow walkways that confine me to straight movements on sloping ramps.“Relentless Employ of Concrete:” Body versus Stone and HeightThe “relentless employ of concrete” (R-B) in the Barbican Estate and Trellick Tower determined our physical interactions with these Brutalist objects. Our attention was first directed towards texture: rough, abrasive, sharp, frictive. Raw concrete’s potential to damage skin, should one fall or brush too hard against it, made our bodies vulnerable. Simultaneously, the ubiquitous grey colour and the constant cold anaesthetised our senses.As we continued to explore, the constant presence of concrete, metal gratings, wire, and reinforced glass affected our real and imagined corporeal potentialities. Bodies are powerless against these materials, such that, in these buildings, you can only go where you are allowed to go by design, and there are no other options.Conversely, the strength of concrete also has a corporeal manifestation through a sense of increased physical security. To R, standing within the “concrete fortress” of the Barbican Estate, the object offered “security, elevation, sanctuary,” and even “power” (R-B).The heights of the Barbican’s towers (123 metres) and Trellick Tower (93 metres) were physically overwhelming when first encountered. We both felt that these menacing, jagged towers dominated our bodies.Excerpt from R’s journal (Trellick Tower)Gaining access to the apartment, we begin to explore from room to room. As we proceed through to the main living area we spot the balcony and I am suddenly aware that, in a short space of time, I had abandoned the knowledge that some 26 floors lay below me. My balance is again shaken and I dig my heels into the laminate flooring, as if to achieve some imaginary extra purchase.What are the consequences of extreme height on the body? Certainly, there is the possibility of a lethal fall and those with vertigo or who fear heights would feel uncomfortable. We discovered that height also affects physical instantiation in many other ways, both empowering and destabilising.Distance from ground-level bustle contributed to a profound silence and sense of calm. Areas of intermediate height, such as elevated communal walkways, enhanced our sensory abilities by granting the advantage of observation from above.Extreme heights, however, limited our ability to sense the outside world, placing objects beyond our range of visual focus, and setting up a “bizarre segregation” (R-T) between our physical presence and that of the rest of the world. Height also limited potentialities of movement: no longer self-sufficient, we depended on a working lift to regain access to the ground and the rest of the city. In the lift itself, our bodies passively endured a cycle of opposing forces as we plummeted up or down numerous storeys in mere seconds.At both locations, N noticed how extreme height altered her relative body size: for example, “London looks really small. I have become huge compared to the tiny city” (N-B). As such, the building’s lift could be likened to a cake or potion from Lewis Carroll’s Alice in Wonderland. This illustrates how the heuristics that we use to discern visual perspective and object size, which are determined by the environment in which we live (Segall et al.), can be undermined by the unusual scales and distances found in Brutalist structures.Excerpt from N’s journal (Barbican Estate)Warning: These buildings give you AFTER-EFFECTS. On the way home, the size of other buildings seems tiny, perspectives feel strange; all the scales seem to have been re-scaled. I had to become re-used to the sensation of travelling on public trains, after travelling in the tower lifts.We both experienced perceptual after-effects from the disproportional perspectives of Brutalist spaces. Brutalist structures thus have the power to affect physical sensations even when the body is no longer in direct interaction with them!“Challenge to Privacy:” Intersubjective Ideals in Brutalist DesignAs embodied beings, our corporeal manifestations are the primary transducers of our interactions with other people, who in turn contribute to our own body schema construction (Joas). Architects of Brutalist habitats aimed to create residential utopias, but we found that the impact of their designs on intersubjective corporeality were often incoherent and contradictory. Brutalist structures positioned us at two extremes in relation to the bodies of others, forcing either an uncomfortable intersection of personal space or, conversely, excessive separation.The confined spaces of the lifts, and ubiquitous narrow, low-ceilinged corridors produced uncomfortable overlaps in the personal space of the individuals present. We were fascinated by the design of the flat in Trellick Tower, where the large kitchen window opened out directly onto the narrow 27th-floor corridor, as described in N’s journal. This enforced a physical “challenge to privacy” (R-T), although the original aim may have been to promote a sense of community in the “streets in the sky” (Moran 615). The inter-slotting of hundreds of flats in Trellick Tower led to “a multitude of different cooking aromas from neighbouring flats” (R-T) and hence a direct sensing of the closeness of other people’s corporeal activities, such as eating.By contrast, enormous heights and scales constantly placed other people out of sight, out of hearing, and out of reach. Sharp-angled walkways and blind alleys rendered other bodies invisible even when they were near. In the Barbican Estate, huge concrete columns, behind which one could hide, instilled a sense of unease.We also considered the intersubjective interaction between the Brutalist architect-designer and the inhabitant. The elements of futuristic design—such as the “spaceship”-like pods for lift buttons in Cromwell Tower (N-B)—reconstruct the inhabitant’s physicality as alien relative to the Brutalist building, and by extension, to the city that commissioned it.ReflectionsThe strength of the autoethnographic approach is also its limitation (Chang 54); it is an individual’s subjective perspective, and as such we cannot experience or represent the full range of corporeal effects of Brutalist designs. Corporeal experience is informed by myriad factors, including age, body size, and ability or disability. Since we only visited these structures, rather than lived in them, we could have experienced heightened sensations that would become normalised through familiarity over time. Class dynamics, including previous residences and, importantly, the amount of choice that one has over where one lives, would also affect this experience. For a full perspective, further data on the everyday lived experiences of residents from a range of different backgrounds are necessary.R’s reflectionDespite researching Brutalist architecture for years, I was unprepared for the true corporeal experience of exploring these buildings. Reading back through my journals, I'm struck by an evident conflict between stylistic admiration and physical uneasiness. I feel I have gained a sympathetic perspective on the notion of residing in the structures day-to-day.Nevertheless, analysing Brutalist objects through a corporeal perspective helped to further our understanding of the experience of living within them in a way that abstract thought could never have done. Our reflections also emphasise the tension between the physical and the psychological, whereby corporeal struggle intertwines with an abstract, aesthetic admiration of the Brutalist objects.N’s reflectionIt was a wonderful experience to explore these extraordinary buildings with an inward focus on my own physical sensations and an outward focus on my body’s interaction with others. On re-reading my journals, I was surprised by the negativity that pervaded my descriptions. How does physical discomfort and alienation translate into cognitive pleasure, or delight?ConclusionBrutalist objects shape corporeality in fundamental and sometimes contradictory ways. The range of visual and somatosensory experiences is narrowed by the ubiquitous use of raw concrete and metal. Materials that damage skin combine with lethal heights to emphasise corporeal vulnerability. The body’s movements and sensations of the external world are alternately limited or extended by extreme heights and scales, which also dominate the human frame and undermine normal heuristics of perception. Simultaneously, the structures endow a sense of physical stability, security, and even power. By positioning multiple corporealities in extremes of overlap or segregation, Brutalist objects constitute a unique challenge to both physical privacy and intersubjective potentiality.Recognising these effects on embodied being enhances our current understanding of the impact of Brutalist residences on corporeal sensation. This can inform the future design of residential estates. Our autoethnographic findings are also in line with the suggestion that Brutalist structures can be “appreciated as challenging, enlivening environments” exactly because they demand “physical and perceptual exertion” (Sroat). Instead of being demolished, Brutalist objects that are no longer considered appropriate as residences could be repurposed for creative, cultural, or academic use, where their challenging corporeal effects could contribute to a stimulating or even thrilling environment.ReferencesAllen, Edward, and Joseph Iano. Fundamentals of Building Construction: Materials and Methods. 6th ed. 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Let Him Be Our Guest.” The Telegraph, 20 Jun. 2015. 16 Feb. 2016 <http://www.telegraph.co.uk/culture/art/architecture/11687078/Lord-Rogers-would-live-on-this-estate-Let-him-be-our-guest.html>.Smithson, Alison, and Peter Smithson. “But Today We Collect Ads.” Reprinted in L’Architecture Aujourd’hui Jan./Feb (2003): 44.Smithson, Alison, and Peter Smithson. “Conversation with Jane Drew and Maxwell Fry.” Zodiac 4 (1959): 73-81.Sroat, Helen. “Brutalism: An Architecture of Exhilaration.” Presentation at the Paul Rudolph Symposium. University of Massachusetts Dartmouth, MA, 13 Apr. 2005. Stadler, Laurent. “‘New Brutalism’, ‘Topology’ and ‘Image:’ Some Remarks on the Architectural Debates in England around 1950.” The Journal of Architecture 13.3 (2008): 263-81.The Great British Housing Disaster. Dir. Adam Curtis. BBC Documentaries. BBC, London. 4 Sep. 1984.The Pruitt-Igoe Myth. Dir. Chad Friedrichs. First Run Features, 2012.
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