Journal articles on the topic 'Headquarters, Georgetown, D.C'

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1

Zainol, Rosilawati, Chen Wang, Azlan Shah Ali, Faizah Ahmad, Abdul Wafey Mohd Aripin, and Hafez Salleh. "Pedestrianization and Walkability in a Fast Developing Unesco World Heritage City." Open House International 41, no. 1 (March 1, 2016): 112–19. http://dx.doi.org/10.1108/ohi-01-2016-b0016.

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A walkability friendly environment is crucial in historical towns and cities built with minimal number of motor vehicles. This research aims to assess physical attributes of pedestrianization in Georgetown, Penang, a UNESCO World Heritage Site regarding walkability. A structured interview was conducted among 170 respondents at six different streets to examine citizens' satisfaction on the pedestrian facilities using six walkability features including a) pathway, b) zebra crossing, c) signage, d) personal safety, e) traffic flow and, f) aesthetics & amenities. Relative Importance Index (RII) analysis show that existing pathways do not meet acceptable standards in promoting a walkable environment. Aesthetic and amenities scores the lowest in satisfactory level and zebra crossing scores the highest in unsatisfactory level. The level of walkability in the World Heritage Site in Georgetown, Penang are found inadequate. Provision of physical walking and built heritage features without providing sufficient activities along the streets do not yield high walkability.
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Oudiz, Ronald J., Robert Naeije, Virginia D. Steen, Hunter C. Champion, and David Systrom. "Controversies and Consensus: Identifying the Key Issues in Exercise Testing." Advances in Pulmonary Hypertension 7, no. 4 (December 1, 2008): 412–17. http://dx.doi.org/10.21693/1933-088x-7.4.412.

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This discussion was moderated by Ronald J. Oudiz, MD, Associate Professor of Medicine, UCLA School of Medicine and Director, Liu Center for Pulmonary Hypertension, Division of Cardiology, Los Angeles Biomedical Research Institute at Harbor-UCLA Medical Center, Torrance, California. Participants included: Hunter C. Champion, MD, PhD, Assistant Professor, Department of Medicine, Division of Cardiology, Johns Hopkins University School of Medicine, Baltimore, Maryland; Robert Naeije, MD, PhD, Professor and Chairman of the Department of Physiology and Pathophysiology at Erasme University Hospital, Brussels, Belgium; Virginia D. Steen, MD, Professor of Medicine and Director of the Rheumatology Fellowship Program, Georgetown University School of Medicine, Washington, DC; and David Systrom, MD, Director, Cardiopulmonary Exercise Lab, Department of Medicine, Pulmonary Critical Care, Massachusetts General Hospital, Boston, Massachusetts.
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Alpert, Eugene J. "Expanding the Beltway: Developing a Washington Resource Center." News for Teachers of Political Science 48 (1986): 1–6. http://dx.doi.org/10.1017/s0197901900003342.

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“Inside the Beltway” is the phrase most often used by observers of national politics to capital area. Apparently, according to critics, the only people who really follow or care about the “inside baseball” of Washington intrigue are the people who live within the 257 sq. miles of roadway. The rest of the country is either unconcerned or unaware, since a) the Washington Post is not available for home delivery in their area, b) they are not invited to Georgetown cocktail parties or intimate Chevy Chase dinners, c) they aren't in contact with the 40,000 plus lawyers in D.C. or d) all of the above.Despite the difficulty of following Washington politics on a daily basis, it is something that cannot be totally avoided.
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Salgado, Alfonso. "Making Friends and Making Out:The Social and Romantic Lives of Young Communists in Chile (1958–1973)." Americas 76, no. 2 (March 27, 2019): 299–326. http://dx.doi.org/10.1017/tam.2018.95.

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“B. D. Q. C.,” as he signed his letter, must have felt pretty special that New Year's Eve of 1973. Some time that evening, the 15-year-old Communist boy from Santiago de Chile kissed a 17-year-old Communist girl admired for her beauty by all the young Communists from the local headquarters of the Juventudes Comunistas de Chile (JJCC), or Jota, as the youth wing of the Partido Comunista de Chile (PCCH) was nicknamed. He had never dated an older woman before, and though he bragged about having kissed thousands of other girls, he had never truly fallen in love until then. “I dated her for only 13 days. We broke up, but every day that goes by I love her more and more,” he confessed in a letter to the editor of the young Communists’ magazine a few days later. To make matters worse for our lovelorn teenager, the object of his affection did not stay single for long. “She is now dating another guy from the Jota. Every day that goes by I grow more jealous of him and of everyone who talks to her, because even though I'm not with her any more, I dream we are still together, and I have hopes to be with her again.” The existence of a place like the JJCC local headquarters, which all the people involved in this romantic affair visited regularly, was the cause of both solace and affliction for this young man: “I waste the whole afternoon in the headquarters waiting for her to arrive and greet her, so my eyes can take her in. I think about her every minute, while she has thousands of things to think about, and I have only one.”
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RUGRAFF, ERIC. "A PATENT ANALYSIS OF FOREIGN DIRECT INNOVATIVE R&D ACTIVITIES IN CENTRAL EUROPE: THE CZECH CASE." International Journal of Innovation Management 21, no. 02 (February 2017): 1750013. http://dx.doi.org/10.1142/s136391961750013x.

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This paper questions the nature of the foreign direct R&D investments in Central Europe. Do the affiliates of the multinationals still undertake adaptive R&D? Have they recently engaged in innovative R&D activities in their Central European affiliates? Because patents result from the firm's investments in basic research and applied development, we consider patent data as a good proxy of the firm's genuine inventive activity. We build a sample made of the 10 multinationals representing the most active R&D investors in the Czech Republic — the Central European leader as regards of foreign direct R&D investments — and in the major foreign direct R&D sectors — electronics, electrical equipment, machinery and motor vehicles — and assess the recent evolution of their patenting activity. We suggest that (a) even these major R&D investors still only marginally apply for patents in their Czech affiliates; (b) there is no under-evaluation of the innovation activity of the Czech affiliates due to a geographical separation of inventions — in the Czech Republic — and patent location — in Western Europe; (c) the researchers working in the Czech affiliates are still not sufficiently oriented towards innovation activities to be integrated in the patenting-oriented international teams built by the multinationals. Foreign direct R&D investments in Central Europe remain mostly production supportive and associated with the international exploitation of technology produced in the Western headquarters and affiliates. Despite the strong engagement of the Czech government towards foreign direct R&D, real innovative R&D increases very slowly.
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Tarraço, Elisangela Lazarou, Roberto Carlos Bernardes, Felipe Mendes Borini, and Dennys Eduardo Rossetto. "Innovation capabilities for global R&D projects in subsidiaries." European Journal of Innovation Management 22, no. 4 (August 5, 2019): 639–59. http://dx.doi.org/10.1108/ejim-08-2018-0185.

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Purpose Is the development of local innovation capabilities enough for foreign subsidiaries in emerging markets to be able to integrate into global R&D projects? The authors argue that it is not. The purpose of this paper is to show the central role of R&D capacities when it comes to inserting foreign subsidiaries in emerging markets into global R&D projects. Design/methodology/approach The study investigated 131 foreign multinational subsidiaries operating in Brazil. For each subsidiary, the authors surveyed two to five directors or C-level executives from innovation, R&D, engineering, product development and projects. the authors used structural equation modeling for analysis. Findings The results indicate that product and process innovations alone do not guarantee the insertion of the emerging market subsidiaries into global innovation projects. Such insertion depends on the subsidiary’s accumulation of R&D capacities. Practical implications The results reinforce the central issue of building product and process innovation capabilities as the first step toward a blueprint for global projects. However, the effort is not limited to these initiatives. Product and process innovation efforts need be reverted in headquarters’ eyes in order for subsidiaries to gain R&D center status. To achieve this, subsidiaries must align their technological innovations with multinational corporations’ innovation strategies. Originality/value In authors’ view, this study contributes to the literature in three main areas: the evolutionary process of innovation capability in subsidiaries, the reverse innovation debate and the discussion of subsidiaries’ initiatives.
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IQBAL, JAVED, MUHAMMAD ARIF MANN, and MUHAMMAD SHAHID. "SCABIES." Professional Medical Journal 16, no. 02 (June 10, 2009): 263–69. http://dx.doi.org/10.29309/tpmj/2009.16.02.2933.

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All the conventional scabicidal drugs are used topically and have poor compliance. In several reports and studies,ivermectin, an oral antiparasitic drug, has been shown to be an effective scabicide without any major side effect. Objective: To evaluatethe efficacy and safety of oral ivermectin in the treatment of scabies. D e s i g n : An open, randomized clinical trial (convenience sampling).Settings: Dermatology Department, Divisional Headquarters (DHQ) and Allied Hospitals, Punjab Medical College, Faisalabad, Pakistan,from 1st September 2002 to 28th February 2003. Material a n d m e t h o d s : The study comprised of 100 outdoor patients of scabies, 5-60years of age, diagnosed on history, clinical examination and light microscopy. They and their affected family members were given a singleoral dose of ivermectin 200 mg /kg body weight. Patients were followed up at intervals of 1,2,4 and 8 weeks. R e s u l t s : Fifty-seven patients(57%) had complete recovery at 2 weeks whereas 93 patients (93%) had complete recovery at 4 weeks. Seven (7%) failure cases weregiven a second dose all of which had complete recovery at 8 weeks. No patient developed any major adverse effect. Blood, urineexaminations and liver function tests did not show any significant abnormality. C o n c l u s i o n : Oral ivermectin, in a single dose of 200 mg/kgbody weight, was effective and safe in the treatment of scabies and could be a useful substitute to conventional topical antiscabietics.However further large scale studies are required to further evaluate its safety.
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Peter, John M., Maina Mohammed, A. A. Bello, F. W. Burari, and A. Tijjani. "GOODNESS OF FIT TEST FOR WIND ENERGY POTENTIAL USING FIVE PROBABILITY DENSITY FUNCTIONS FOR SOME SELECTED CITIES IN NIGERIA." FUDMA JOURNAL OF SCIENCES 6, no. 1 (March 31, 2022): 81–92. http://dx.doi.org/10.33003/fjs-2022-0601-882.

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This research gives a better understanding on wind energy availability for some selected cities in Nigeria, such as Katsina, Sokoto, Bauchi, Maiduguri, Abuja, Jos, Abeokuta, Lagos, Enugu, Owerri, Calabar and Benin City respectively. Twenty Years (2000-2020) average wind speed data obtained from NIMET Headquarters Abuja, were analysed and fitted with five probability density functions such as normal, Weibull, Rayleigh, lognormal and Gamma Function with fixed shape parameter (K), but different scale parameters (C) in the model. The results of goodness of fit test based on Kolmogorov-Smirnov and Anderson – Darling shows that all the probability distribution functions are accepted at maximum difference, less than their critical values, (= 0.0853 and 0.0855). While in the A-D tests, all the distribution functions hold except lognormal distribution function which is satisfactory for Jos and Abuja with an observed significant level (OSL) ranging from (0.7497 - 0.7497). Therefore, this results can be used for investors on wind power and also improve wind farm project for surface wind electrification
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9

King, Ruth. "Language Varieties and Situations - P. Lowenberg (ed.), Language spread and language policy: Issues, implications, and case studies. Washington, D C.: Georgetown University Press. 1988, Pp. 408." Language in Society 20, no. 3 (September 1991): 471–75. http://dx.doi.org/10.1017/s0047404500016638.

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10

Panozzo, Giacomo, Maria Vittoria Cicinelli, Albert J. Augustin, Maurizio Battaglia Parodi, Josè Cunha-Vaz, Giuseppe Guarnaccia, Laurent Kodjikian, et al. "An optical coherence tomography-based grading of diabetic maculopathy proposed by an international expert panel: The European School for Advanced Studies in Ophthalmology classification." European Journal of Ophthalmology 30, no. 1 (November 12, 2019): 8–18. http://dx.doi.org/10.1177/1120672119880394.

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Aims: To present an authoritative, universal, easy-to-use morphologic classification of diabetic maculopathy based on spectral domain optical coherence tomography. Methods: The first draft of the project was developed based on previously published classifications and a literature search regarding the spectral domain optical coherence tomography quantitative and qualitative features of diabetic maculopathy. This draft was sent to an international panel of retina experts for a first revision. The panel met at the European School for Advanced Studies in Ophthalmology headquarters in Lugano, Switzerland, and elaborated the final document. Results: Seven tomographic qualitative and quantitative features are taken into account and scored according to a grading protocol termed TCED-HFV, which includes foveal thickness (T), corresponding to either central subfoveal thickness or macular volume, intraretinal cysts (C), the ellipsoid zone (EZ) and/or external limiting membrane (ELM) status (E), presence of disorganization of the inner retinal layers (D), number of hyperreflective foci (H), subfoveal fluid (F), and vitreoretinal relationship (V). Four different stages of the disease, that is, early diabetic maculopathy, advanced diabetic maculopathy, severe diabetic maculopathy, and atrophic maculopathy, are based on the first four variables, namely the T, C, E, and D. The different stages reflect progressive severity of the disease. Conclusion: A novel grading system of diabetic maculopathy is hereby proposed. The classification is aimed at providing a simple, direct, objective tool to classify diabetic maculopathy (irrespective to the treatment status) even for non-retinal experts and can be used for therapeutic and prognostic purposes, as well as for correct evaluation and reproducibility of clinical investigations.
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Kotaki, Akira, and Fumio Takeda. "Study on the National Disaster Management Administration System Against Huge Disasters – A Discussion Based on the Initial and Emergency Responses to the Great East Japan Earthquake –." Journal of Disaster Research 14, no. 5 (August 1, 2019): 843–60. http://dx.doi.org/10.20965/jdr.2019.p0843.

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Based on Japan’s experience of establishing and operating the Extreme Disaster Management Headquarters following the Great East Japan Earthquake of 2011, the authors conclude that it is necessary to deepen the discussion on the following issues and identify a proper direction to be pursued for establishing a disaster management administration system capable of responding appropriately to huge disasters in the future: 1) Expansion and strengthening of the Disaster Management Bureau of the Cabinet Office; 2) Establishment of the Ministry of Disaster Management or Disaster Management Agency [(a) Its relation to the Cabinet Secretariat and Cabinet Office, (b) Jurisdiction (matters related to overall coordination and duties)]; 3) Organizational design that will contribute towards establishing an effective disaster management administration system [(a) Mandatory and full-time appointment of Minister of Disaster Management, (b) Staffing system of designated posts and higher-ranking senior officials, (c) Establishment of Regional Disaster Management Bureaus, (d) Staff size, (e) Desirable approaches to human resources management (accumulation and deepening of experience in disaster response, clarifying working conditions etc.)]; etc.
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Lawal, Fatai, Randall Thompson, and Elizabeth Thompson. "Leadership Training at First Bank of Nigeria: A Case Study." Journal of Education and Learning 5, no. 2 (February 23, 2016): 9. http://dx.doi.org/10.5539/jel.v5n2p9.

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<p>The purpose of this qualitative exploratory case study was to identify components of an exemplary leadership development program that might serve as a framework for training leaders for banking organizations in Nigeria. We recruited 30 managers, supervisors, and officers with at least 10 years of banking experience to explore leadership development at First Bank of Nigeria’s headquarters in Lagos, Nigeria. Face-to-face interviews focused on exploring what type of corporate leadership training strategies worked for First Bank of Nigeria. Four major leadership development strategies that worked best for First Bank emerged from analysis of the qualitative data obtained: (a) classroom, online, and on-the-job training; (b) mentoring; (c) coaching by a shadow manager; and (d) personal development and work-life balance. First Academy, the training arm at First Bank of Nigeria, has made valuable contributions to developing leaders in the fast-paced Nigerian banking industry. Other banking organizations in Nigeria may want to incorporate leadership training strategies used by First Bank of Nigeria.</p>
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Cochran, Clarke E. "Morals and Technique - Andrea L. Bonnicksen: Crafting a Cloning Policy: From Dolly to Stem Cells. (Washington, D. C.: Georgetown University Press, 2002. Pp. Xii, 220. $39.95. $21.95, paper.)." Review of Politics 65, no. 2 (2003): 311–13. http://dx.doi.org/10.1017/s0034670500050129.

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Borchert, J. "Port Town to Urban Neighborhood: The Georgetown Waterfront of Washington, D. C. 1880-1920. By Kathryn Schneider Smith (Dubuque, Iowa: Kendall/Hunt Publishing Company, 1989. xii plus 148 pp.)." Journal of Social History 25, no. 3 (March 1, 1992): 668–69. http://dx.doi.org/10.1353/jsh/25.3.668.

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Lynch, Patrick. "The Sacred and the Sovereign: Religion and International Politics. Edited by John D. Carlson and Erik C. Owens. Washington, DC: Georgetown University Press, 2003. xxi + 290 pages. $26.95 (paper)." Horizons 31, no. 2 (2004): 475–76. http://dx.doi.org/10.1017/s0360966900001997.

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Cervantes, Renata, Marta Dias, Bianca Gomes, Elisabete Carolino, and Carla Viegas. "Development of an Indexed Score to Identify the Most Suitable Sampling Method to Assess Occupational Exposure to Fungi." Atmosphere 13, no. 7 (July 15, 2022): 1123. http://dx.doi.org/10.3390/atmos13071123.

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The sampling approach is of utmost importance to obtain data regarding microbial viability and truly assess workers’ potential health effects. The purpose of this assessment is to create a score which will provide up-to-date information to identify the most suitable sampling method to assess occupational exposure to fungi. Data from a sampling campaign performed at Firefighters Headquarters (FFH) was analysed and a score was calculated from one (1) to three (3) for five (5) distinct sample parameters: (a) accuracy; (b) complexity of the field work; (c) cost; (d) complexity in laboratory work; and (e) time taken since the fieldwork until obtaining the fungal contamination characterization. The statistical analysis allowed us to conclude that settled dust and Andersen six-stage were the best sampling methods to perform the assessment of the occupational exposure to fungi at FFH, when considering the number of species. As for the final score, the results showed that surface swabs were the best sampling method. The results obtained for surface swabs highlights the low complexity of this processing combined with the fact that it is a low-cost sampling method. This study reinforces the need to use a wide array of sampling methods when assessing occupational exposure to fungal contamination to ensure an accurate risk characterization.
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Azka, Hafizha, Yunita Setyoningrum, and Ferlina Sugata. "PREFERENSI PRIVASI VISUAL PADA RUANG KERJA TIM REDAKSI KANTOR PUSAT SURAT KABAR PIKIRAN RAKYAT BANDUNG." Serat Rupa Journal of Design 3, no. 2 (July 25, 2019): 134–49. http://dx.doi.org/10.28932/srjd.v3i2.1192.

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This research explores how the open-plan office space in the Pikiran Rakyat Bandung head office influences the visual privacy preferences of the editorial staff. The aim is to find out what visual privacy is needed by the employees and the factors that might cause visual privacy disturbance on the employees of the open-plan office. The research observed several workstations with the potential of visual privacy disturbances, namely workstations that: a) is back-to-back with the walkway, b) is located at a walkway junction, c) is directly adjacent to the door, d) is adjacent to joint work facilities, e) is facing other coworkers, and f) is close to other co-workers on the right or left side. The research method was descriptive qualitative, using field observations and interviews to collect data. The result shows that: a) The interior settings of the workspace in open office space adjacent to coworkers both on the right side and left side are the most dominant factors that cause disruption to employees in visual privacy; b) Characteristics of employee’s task which need solitude condition influence visual privacy preferences the most, especially in the work layout (monitor). Thus, office space planning in an open office space at the Bandung People's Mind headquarters should consider the need for visual privacy by a) Rearranging the interior settings of the workspace with the ideal amount of workspace, b) Adding physical barriers between workspaces, and c) Arranging centralized shared work facilities for employees in open office space, hence minimalize disturbance from the conducted activities.
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Gormally, Luke. "Book Reviews : The Christian Virtues in Medical Practice, by Edmund D. Pellegrino and David C. Thomasma. Washington, DC: Georgetown University Press,1996. 176 pp. hb. £21.75. ISBN 0-87840-566-6." Studies in Christian Ethics 11, no. 2 (August 1998): 136–40. http://dx.doi.org/10.1177/095394689801100219.

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Switankowsky, Irene Sonia. "Biotechnology and the Human Good. By C. Ben Mitchell, Edmund D. Pellegrino, Jeane Bethke Elshtain, John F. Kilner, and Scott B. Rae. Pp. 210, Washington, DC, Georgetown University Press, 2007, $24.95." Heythrop Journal 53, no. 5 (August 8, 2012): 874–75. http://dx.doi.org/10.1111/j.1468-2265.2012.00757_24.x.

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Drieu, Michael, Patrick Lynch, Pete Jensen, Chris Doane, John Brolin, and Chris Zukowski. "Lessons Learned from 2002 Spill of National Significance (SONS) Exercise Gulf of Mexico." International Oil Spill Conference Proceedings 2003, no. 1 (April 1, 2003): 1269–73. http://dx.doi.org/10.7901/2169-3358-2003-1-1269.

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ABSTRACT The U.S. Coast Guard (USCG) hosted the 2002 SONS Gulf National Incident Commander (NIC) Exercise in New Orleans, Louisiana on 23–25 April 2002 and the 2002 SONS Gulf Executive Seminar in Washington, D. C. on 26 April 2002. This massive effort was accomplished through almost two years of planning by a government/industry workgroup representing the USCG, Texas General Land Office (TGLO), Louisiana Oil Spill Coordinator's Office, ExxonMobil, Stolt-Nielsen Transportation Group, and Environmental Protection Agency Region VI. The original SONS exercise was scheduled to exercise the Nation's ability to respond to a SONS in a two-part format. The terrorist attacks at the Pentagon and the World Trade Center in September 2001 required that the original SONS exercise plans be delayed and amended. The final SONS exercise format was a three-part series. The first part involved tabletop discussions with port-level responders to determine what actions and issues would result from the exercise scenarios. The second part was a multi-day NIC tabletop exercise to understand the roles and responsibilities of the NIC by exploring the NIC's reactions to the scenarios and the issues raised by the affected ports. The third part was an executive-level seminar attended by senior federal government and industry executives as well as elected officials to discuss reactions to national-level issues identified by the NIC and to enhance interagency communication at the headquarters level.
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Timol, Riyaz. "Religious Authority, Popular Preaching and the Dialectic of Structure-Agency in an Islamic Revivalist Movement: The Case of Maulana Tariq Jamil and the Tablighi Jama’at." Religions 14, no. 1 (December 29, 2022): 60. http://dx.doi.org/10.3390/rel14010060.

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This article provides the first academic analysis of the popular Pakistani Islamic scholar and Urdu-speaking preacher Maulana Tariq Jamil. Drawing on years of ethnographic study of the Tablighi Jama’at, the revivalist movement to which Jamil belongs, as well as content analysis of dozens of his recorded lectures, the article presents a detailed biography of the Maulana in five stages. These comprise: (a) his upbringing and early life (1953–1972); (b) his conversion to the Tablighi Jama’at and studies at the Raiwind international headquarters (1972–1980); (c) his meteoric rise to fame and ascendancy up the movement’s leadership ranks (1980–1997); (d) his development into a national celebrity (1997–2016); and (e) major causes of controversy and criticism (2014–present). Tracing his narrative register within the historical archetypes of the quṣṣāṣ (storytellers) and wuʿʿāẓ (popular preachers), the paper identifies core tenets of the Maulana’s revivalist discourse, key milestones in his life—such as the high-profile conversion to the Tablighi Jama’at of Pakistani popstar Junaid Jamshed—and subtle changes in his approach over the years. The article deploys the classical sociological framework of structure-agency to explore how Maulana Tariq Jamil’s increasing exercise of agency in preaching Islam has unsettled structural expectations within traditionalist ʿulamāʾ (religious scholars) circles as well as the Tablighi leadership. It situates his emergence within a broader trend of Islamic media-based personalities who embrace contemporary technological tools to reach new audiences and respond to the challenges of postcolonial modernity.
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García-Caballero, Alfonso, Fernando Lahoz, Miquel Àngel Cuevas-Diarte, Santiago García-Granda, Pilar Gómez-Sal, Vicente Esteve-Cano, Jorge Pasán, Sol López de Andrés, and Juan Manuel García-Ruiz. "Crystallization Competition in the School: An innovative teaching/outreach tool." Acta Crystallographica Section A Foundations and Advances 70, a1 (August 5, 2014): C1040. http://dx.doi.org/10.1107/s2053273314089591.

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The Crystallization Competition in the School is an innovative contest on Crystallography and Crystallization for young students aged 12-16, successfully tried in five yearly editions. During the 2013/2014 school year, the Competition is coordinated by the Specialized Spanish Group of Crystallography and Crystal Growth throughout Spain in seven hosting areas, culminating in a National Final with a selection of the best crystallization projects. Objectives: a) To stimulate scientific vocations amongst secondary school pupils through an enjoyable and enriching activity; b) To explain basic concepts of Crystallography and Crystallization taking advantage of the natural attraction of crystal growth; c) To communicate how researchers work and compete in a scientific environment; d) To bridge the gap between science and society by conveying the importance of Crystallography in everyday life. Development: 1. Training of secondary school teachers (October-November 2013). A number of workshops entitled `Crystallography in the School' are organised to provide school teachers with specific training in Crystallography and Crystallization; 2. Laboratory work and experimental follow-up (December 2013-March 2014). The students grow spectacular large crystals using an innovative crystallization kit of ADP under the guidance of their teachers, while developing a solid understanding of the concepts involved: solubility, supersaturation, nucleation and crystal growth. Students may also develop other crystallization projects related to the formation of geodes, common salt crystallization in its different habits, and crystallization in gels; 3. Intermediate/Regional Finals (April 2014). The best crystallization projects nationwide are selected to present their crystallization projects at the National Final in Madrid; 4. National Final (10 May 2014, headquarters of CSIC). The format is similar to a `Scientific Congress', where the students have to present a crystal model and a poster of their work. * Organized by: GE3C, CSIC and The Crystallization Factory. * Sponsored by: FECYT, MINECO and Triana Science & Technology.
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Jahan Zeb Baber, Imran Ali, Zahida Qasim, Noore Saba, Sara Akram, Muhammad Nouman, Usman Waheed, and Akhlaaq Wazeer. "Epidemiology of Molecular Probes in Xpert MTB/RIF Assay in AJK, Pakistan." Annals of PIMS-Shaheed Zulfiqar Ali Bhutto Medical University 19, no. 2 (May 30, 2023): 72–78. http://dx.doi.org/10.48036/apims.v19i2.519.

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Objective: This study aimed to detect rifampicin-resistant tuberculosis cases and assess the frequency of missing probes in different study populations in Azad Jammu and Kashmir (AJK), Pakistan. Methodology: The study was conducted at the State TB Reference Laboratory, District Headquarters Teaching Hospital, Mirpur, AJK. A total of 2,790 specimens collected between March 2016 to August 2019 were analyzed. Pulmonary TB (PTB) accounted for 94% of the cases, while 6% were classified as extra-pulmonary cases. All respiratory and non-respiratory samples underwent fluorescence smear microscopy (AFB) and a real-time PCR test (Xpert MTB/RIF assay) to detect Mycobacterium tuberculosis (MTB) and rifampicin resistance. Results: Among the 2,790 suspected MTB patients, 734 (26%) were confirmed to have MTB using the Xpert MTB/RIF assay, while 564 (20%) tested positive by fluorescence microscopy. Of the MTB-positive patients, 720 (98%) were diagnosed with pulmonary TB, and 14 (2%) had extra-pulmonary TB. Rifampicin resistance (RR) was detected in 66 (9%) cases, with 97% of the resistant cases being pulmonary and 3% extra-pulmonary. The most frequently missing probe was E (Codon 529-533), accounting for 34% of the cases, followed by probe D (Codon 523-529) at 26%. The least frequently missing probe was C (Codon 523-529), observed in 3% of the cases. Probe B (Codon 512-518) was missing in 15.4% of cases, while probe A (Codon 518-523) was missing in 9.4% of cases. Conclusion: The utilization of molecular diagnostic techniques, such as the Xpert MTB/RIF assay, enables rapid identification of MTB and detection of rifampicin resistance. This study provides valuable baseline data on the prevalence of 81 bp mutations in the rpoB gene, highlighting the need for further evaluation of mutation patterns in AJK.
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Martin Hernandez, Maria, and Nereidy Velásquez Solórzano. "Vulgarización científica en cuentos ecológicos: problemas y peligros // Scientific popularization of ecological tales: problems and dangers." Ciencia Unemi 10, no. 23 (October 4, 2017): 90. http://dx.doi.org/10.29076/issn.2528-7737vol10iss23.2017pp90-103p.

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Este trabajo tuvo como propósito determinar los problemas y peligros que corre la producción de cuentos orientados a propiciar la conciencia ecológica. Es un estudio documental de naturaleza descriptiva e interpretativa. Para estructurar el corpus se revisó y asumió, como punto de partida, el trabajo realizado por los profesores Rojas y DeLa Cruz(2010), en el cual se detectó problemas que obstaculizan la sana vulgarización científica. Ellos analizaron textos ganadores del concurso de cuentos ecológicos desarrollado en todas las sedes, a nivel nacional, dela Universidad NacionalAbierta de Venezuela, organizado por el Subprograma Extensión Universitaria, durante los años 2004-2005-2006. A partir del mencionado estudio, se establecieron categorías para realizar un análisis de contenido. Surgieron como características que delimitan la presencia del pseudocientifismo en los cuentos ecológicos: (a) convicciones erróneas y falsas creencias; (b) manejo ambiguo de la información científica; (c) exageraciones de las nociones ecológicas; y (d) restricciones. Entre los peligros más inminentes se halló: (a) la transmisión al lector de falsas y distorsionadas imágenes de los elementos de la naturaleza; (b) el establecimiento de nociones erróneas y convicciones perjudiciales. En atención al trabajo realizado,la Comisión Organizadoradel mencionado concurso incorporó como miembro del jurado a un especialista en Ciencias Naturales. ABSTRACT This work aimed to determine the problems and dangers that the production of stories oriented to promote the ecological conscience runs. It is a documentary study of descriptive and interpretative nature. To structure the corpus, it was revised and assumed, as a starting point, the work done by teachers Rojas and De La Cruz (2010), in which it was detected problems that hamper healthy scientific popularization. They analyzed winning texts of the contest of ecological stories developed in all the national headquarters of the Universidad Nacional Abierta de Venezuela, which was organized by the Extension University Subprogram, during the years 2004-2005-2006. From this study, categories were established to perform a content analysis. Some characteristics emerged which delimit the presence of pseudo-scientism in the ecological stories: (a) erroneous convictions and false beliefs; (b) ambiguous management of scientific information; (c) exaggerations of ecological notions; and (d) restrictions. Among the most imminent dangers were found: (a) the transmission to the reader of false and distorted images of the elements of nature; (b) the establishment of erroneous notions and prejudicial convictions. Due to the work done, the Organizing Commission of the previously mentioned competition incorporated as a member of the jury a specialist in Natural Sciences.
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Haeril, Haeril, Ruslan Renggong, and Yulia A. Hasan. "PELAKSANAAN FUNGSI DIREKTORAT KEPOLISIAN PERAIRAN DAERAH SULAWESI SELATAN DALAM PENEGAKAN TINDAK PIDANA ILLEGAL FISHING DI WILAYAH PERAIRAN SULAWESI SELATAN." Indonesian Journal of Legality of Law 5, no. 2 (June 30, 2023): 454–61. http://dx.doi.org/10.35965/ijlf.v5i2.2623.

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Penelitian ini bertujuan untuk menganalisis efektivitas penegakan hukum terhadap tindak pidana Illegal Fishing oleh Direktorat Kepolisian Perairan (Ditpolair) Polda Sulsel dan menganalisis hambatan dan upaya penyelesaian dalam proses penegakan hukum terhadap tindak pidana illegal fishing. Metode penelitianayang di gunakan adalah penelitian hukum yuridis-empiris. Hasil penelitian menunjukkan 1) Pelaksanaan Penegakan hukum di wilayah hukum Ditpolair Polda Sulawesi Selatan yang sering dihadapkan berbagai pelanggaran atau kejadian yang terjadi di wilayah satuan kerja masih kurang efektif, karena terdapat beberapa kendala dalam penyelesaian dan proses penegakan hukum, pelanggaran hukum serta adanya pengulangan suatu tindak pidana yang hanya dijatuhi sanksi administratif. 2) Kendala yang dihadapi antara lain : a) cuaca buruk yang tidak menentu, b) ukuran dan perlatan kapal patroli yang belum memadai untuk menjangkau pulau-pulau terluar Sulawesi Selatan, c) adanya suatu tindakan melawan hukum di wilayah hukum yang ditangani, d) jumlah patroli yang cenderung sedikit, e) kurangnya sumber daya manusia (SDM) penyidik dalam proses penegakan hukum yang dilakukan oleh ditpolair Polda Sulsel. Upaya penyelesaian adalah Meningkatkan jumlah dan kecangihan armada kapal patroli yang digunakan patroli untuk menjangkau wilayah perairan yang jauh dari jangkauan, Memberikan studi lanjutan kepada penyidik (Pelatihan) fokus kepada penyidik Ditpolair, dan Melakukan sosialisasi terkait aturan-aturan terbaru dan yang masih berlaku dalam penegakan hukum dilingkup perairan dan kelautan. This study aims to determine: 1) analyze law enforcement's effectiveness against Illegal Fishing by the Directorate of Water Police (Ditpolair) Polda Sulsel. 2) identify and analyze obstacles and settlement efforts in law enforcement processes against illegal fishing crimes. The research method used is juridical-empirical legal research. The results of the study show 1) The implementation of law enforcement in the jurisdiction of the Ditpolair Polda South Sulawesi, which is often faced with various violations or incidents that occur in the work unit area, is still ineffective because there are several obstacles in the settlement and process of law enforcement, violations of the law and the repetition of an act punishment which is only subject to administrative sanctions. 2) Obstacles faced include a) unpredictable bad weather, b) inadequate size and equipment of patrol boats to reach the outer islands of South Sulawesi, c) the existence of an illegal act in the jurisdiction being handled, d) the number of patrols tends to be small, e) the lack of human resources (HR) for investigators in the law enforcement process carried out by the South Sulawesi Regional Police Headquarters. Efforts to resolve this are to increase the number and sophistication of the fleet of patrol boats used by patrols to reach waters that are far from reach, provide further studies for investigators (training) focusing on Ditpolair investigators, and conduct outreach regarding the latest and still valid rules in law enforcement in waters and oceans.
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Caspary, Almut. "Book Review: C. Ben Mitchell, Edmund D. Pellegrino, Jean Bethke Elshtain, John F. Kilner and Scott B. Rae, Biotechnology and the Human Good (Washington, DC: Georgetown University Press, 2007). xiv + 210 pp. US$24.95/£14.75 (pb), ISBN 978—1—58901—138—0." Studies in Christian Ethics 22, no. 2 (May 2009): 239–42. http://dx.doi.org/10.1177/09539468090220020704.

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Selvanesan, Benson, Sheelu Varghese, Justyna Andrys, Ricardo Arriaza, Rahul Prakash, Purushottam Tiwari, Cara Olsen, et al. "Abstract P2-17-04: Pharmacological inhibition of LY6K induced cell cycle arrest and DNA damage by disrupting the LY6K-Histone-Aurora B signaling axis." Cancer Research 83, no. 5_Supplement (March 1, 2023): P2–17–04—P2–17–04. http://dx.doi.org/10.1158/1538-7445.sabcs22-p2-17-04.

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Abstract Pharmacological inhibition of LY6K induced cell cycle arrest and DNA damage by disrupting the LY6K-Histone-Aurora B signaling axis Benson C. Selvanesan1,2, Sheelu Varghese1,2, Justyna Andrys5, Ricardo H. Arriaza6, Rahul Prakash6, Purushottam B Tiwari7, Cara Olsen8, Daniel Hupalo2,4, Yuriy Gusev5, Megha N. Patel6, Sara Contente1, Miloslav Sanda9, Aykut Uren7, Matthew D. Wilkerson3,4, Clifton L. Dalgard3,4, Linda S. Shimizu6, Maksymilian Chruszcz6, Tomasz Borowski5, Geeta Upadhyay 1,3,7. Affiliations 1 Department of Pathology, 2 Henry M. Jackson Foundation, 3 Murtha Cancer Center, 4 Department of Anatomy, Physiology, and Genetics 8 Department of Preventive Medicine and Biostatistics Uniformed Services University of the Health Sciences, Bethesda, MD, USA. 5 Jerzy Haber Institute of Catalysis and Surface Chemistry Polish Academy of Sciences, Cracow, Poland. 6 Department of Chemistry and Biochemistry, University of South Carolina, Columbia, SC, USA. 7 Department of Oncology, Georgetown University Medical Center, Washington, DC, USA. 9 Max Planck Institute for Heart and Lung Research, Ludwigstrasse, 43, 61231 Bad Nauheim, Germany. Correspond Disclaimer The opinions expressed herein are those of the authors and are not necessarily representative of the official policies of the Uniformed Services University of the Health Sciences (USUHS), the Department of Defense (DOD), the United States Army/Navy/Air Force, the U.S. Government, or any other funding agencies Conflict of Interest None Acknowledgments NIH, NCI, R01 CA227694. NIH, NCI, R21CA256424. DOD, USUHS, VPR-NFP-74-9824. Biomedical Instrumentation Center, USUHS. The American Genome Center, USUHS. Antibody Characterization Program, Clinical Proteomics Tumor Analysis Consortium (CPTAC), National Cancer Institute, National Institute of Health. The Polish Grid Infrastructure, Cracow, Poland. NIH P30CA51008 and 1S10OD019982-01 to Biacore Molecular Interaction Shared Resource (BMISR), Georgetown University. ABSTRACT Increased expression of LY6K is significantly associated with poor survival outcomes in many solid cancers, including triple-negative and estrogen receptor-positive breast, ovarian, gastric, head and neck, neuroblastoma, bladder, and lung cancers. Inhibition of LY6K signaling is an ideal therapeutic approach for cancer, since the LY6K protein is not involved in vital organ function. Previously, we identified the small molecule NSC243928 as a binder of LY6K using surface plasmon resonance screening and showed that its activity was dependent on LY6K expression in triple-negative breast cancer cells. Here, we demonstrate the structural basis of the molecular interaction of NSC243928 with LY6K protein and the subsequent inhibition of LY6K function in mitosis and cell division via Aurora B-histone pathway. We observed that LY6K interacts with phosphorylated histones and Aurora B kinases during mitosis and that this interaction was disrupted in the presence of NSC243928. Disruption of LY6K function in mitosis/cytokinesis leads to DNA damage, senescence, and apoptosis of cancer cells. We observed that NSC243928 led to increased binding of LY6K to phosphorylated gammaH2X at S139, which was dependent on NSC243928 interaction with LY6K on phenylalanine 79. Furthermore, we observed increased levels of phosphorylated gammaH2X at S139 and increased caspase-3 activation in the tumor isografts of 4T1 and E0771 mammary tumors treated with NSC243928. These data reveal that LY6K is a novel cell cycle target for therapeutic development in triple-negative breast cancer and other solid cancers with high expression of LY6K, such as bladder cancer, head and neck, and lung cancer. Citation Format: Benson Selvanesan, Sheelu Varghese, Justyna Andrys, Ricardo Arriaza, Rahul Prakash, Purushottam Tiwari, Cara Olsen, Daniel Huplo, yuriy Gusev, Megha Patel, Sara Contente, Miloslav Sanda, Matthew Wilkerson, Clifton Dalgard, Linda S. Shimizu, Maksymilian Chruszcz, Tomasz Borowski, Geeta Upadhyay. Pharmacological inhibition of LY6K induced cell cycle arrest and DNA damage by disrupting the LY6K-Histone-Aurora B signaling axis [abstract]. In: Proceedings of the 2022 San Antonio Breast Cancer Symposium; 2022 Dec 6-10; San Antonio, TX. Philadelphia (PA): AACR; Cancer Res 2023;83(5 Suppl):Abstract nr P2-17-04.
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Bîlbîie, Răduţ. "The Professionalization of Public Relations in the Romanian Army." International conference KNOWLEDGE-BASED ORGANIZATION 22, no. 2 (June 1, 2016): 401–6. http://dx.doi.org/10.1515/kbo-2016-0069.

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Abstract The communication structures of the Ministry of National Defense have a considerable seniority and have played an important role both in different historical, critical periods for the country (wars, political crises) or institutional building (the forming of the Romanian army, of the modern command structures, etc.) as well as during the transition period after 1989. The first military publication, Observatorul Militar, (Military Observer), was released in 1859, being followed by a few thousands of magazines, newsletters, specialized directories, or during the war years of information and opinion journals such as Romania, organ of the General Headquarters, in the years of World War I, or Soldatul (The Soldier), Santinela (The Sentry), during the years of World War II. One after another, others followed such as: since 1916 Studioul Cinematografic al Armatei (Army Cinema Studio), originally, a photo-cinema structure, then specialized in the documentary film: history, presentation or training, and, since 1940, on public radio frequencies Ora Ostaşului (Ora Armatei), (Soldier’s Hour, Army’s Hour), then since 1968, a television broadcast on public television station broadcasting frequencies, since 1996 the web products (the first web site of an army in Eastern Europe, the first site of a ministry within the Government of Romania). The force and the role of the structures varied from period to period Studioul cinematografic (The Cinematographic Studio) had in 1989, 217 employed people, military and civilians, today there are less than 15), according to the budgets and the importance of what they were given by the management structures. The revolution of December 1989 marked the depoliticization of the communication act and the switch to the professionalization of the specialized structures, transforming their propaganda tools into products and means of Public Relations. The years 1990-1995 have marked this process through: (a) the establishment of structures, (b), staff training (in France, Switzerland, Germany, but especially in the United States), (c) the completion of the first guides, instructions, procedures for the field, (d) the opening of the first course for specialists, (e) the initiation of a quarterly specialized magazine Panoramic militar, (Military Panorama), (f) a code of ethics for practitioners.
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Готцева, Маріана. "A Neurocognitive Perspective on Language Acquisition in Ullman’s DP Model." East European Journal of Psycholinguistics 4, no. 2 (December 28, 2017): 24–33. http://dx.doi.org/10.29038/eejpl.2017.4.2.got.

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In the last few decades, the studies in second language acquisition have not answered the question what mechanisms a human’s brain uses to make acquisition of language(s) possible. A neurocognitive model which tries to address SLA from such a perspective was suggested by Ullman (2005; 2015), according to which, “both first and second languages are acquired and processed by well-studied brain systems that are known to subserve particular nonlanguage functions” (Ullman, 2005: 141). The brain systems in question have analogous roles in their language and nonlanguage functions. This article is meant to critically analyse the suggested DP model within the context of neurocognitive studies of L2; and evaluate its contribution to the field of SLA studies. References Aboitiz, F. (1995). Working memory networks and the origin of language areas in the human brain. Medical Hypothesis, 25, 504-506. Aboitiz, F. & Garcia, R. (1977). The anatomy of language revisited. Biological Research, 30, 171-183. Aboitiz, F., Garcia, R., Brunetti, E. & Bosman, C. (2006). The origin of Broca’s area and its connections from an ancestral working memory network. In: Broca’s Region, (pp. 3-16). Y.Grodzinsky and K. Amunts, (Eds.). Oxford: Oxford University Press. Alexander, M. P. (1997). Aphasia: clinical and anatomic aspects. In: Behavioral Neurology and Neuropsychology, (pp. 133–150). T. E. Feinberg, & M. J. Farah, (Eds.). New York: McGraw-Hill. Alexander, G.E., DeLong, M.R. & Strick, P.L. (1986). Parallel organisation of functionally segregated circuits linking basal ganglia and cortex. Annual Review of Neuroscience, 9, 357-381. Anderson, J. R., Bothell, D., Byrne, M. D., Douglass, S., Lebiere, C., Qin, Y. (2004). An integrated theory of the mind. Psychological Review, 111, 1036–1060. Birdsong, D., ed. (1999). Second Language Acquisition and the Critical Period Hypothesis. Mahwah, NJ: Lawrence Erlbaum Associates. Buckner, R. L., & Wheeler, M. E. (2001). The cognitive neuroscience of remembering. Nature Review Neuroscience, 2(9), pp. 624–634. Calabresi, P., Centonze, D., Gubellini, P., Pisani, A. & Bernardi, G. (2000). Acetyl-chlorine-ediated modulation of striatal function. Trends in Neurosciences, 23(3), 120-126. Cepeda, N.J., Vul. E., Rohrer, D., Wixted, J. T., Pashler, H. (2008) Spacing effects in learning: A temporal ridgeline of optimal retention. Psychological Science, 19, 1095-1102. Chun, M.M. (2000). Contextual cueing of visual attention. Trends in Cognitive Science, 4(5), 170-178.Crosson, B., Benefield, H., Cato, M. A., Sadek, R. J., Moore, A. B., Auerbach, E. J., Gokcay, D., Leonard, C.M. & Briggs, R.W. (2003). Left and right basal ganglia activity during language generation: contributions to lexical, semantic and phonological processes. Journal of the International Neuropsychological Society, 9, 1061-1077. Devescovi, A., Caselli, M. C., Marchione, D., Pasqualetti, P., Reilly, J., & Bates, E. (2005). A crosslinguistic study of relationship between grammar and lexical development. Journal of Child Language, 32, 759–786. Di Giulio, D.V., Seidenberg, M., O’Leary, D. S. & Raz, N. (1994). Procedural and declarative memory: a developmental study. Brain and Cognition, 25(1), 79-91. Dionne, G., Dale, P., Boivin, M., & Plomin, R. (2003). Genetic evidence for bidirectional effects of early lexical and grammatical development. Child Development, 74, 394–412. Eichenbaum, H. & Cohen, N.J. (2001). From Conditioning to Conscious Recollection: Memory Systems of the Brain. Oxford: Oxford University Press. Ellis, N.C. (1994). Implicit and Explicit Learning of Languages. New York: Academic Press. Ellis, N.C. (2002). Reflections on frequency effects in language processing. Studies in Second language acquisition, 24, 297-339. Ellis, R., Loewen, S., Elder, C., Erlam, R., Philp, J., Reinders, H. (2009). Implicit and Explicit Knowledge in Second Language Learning, Testing and Teaching. Bristol: Multilingual Matters. Embick, D., Marantz, A., Miyashita, Y., O’Neil, W., & Sakai, K. L. (2000). A syntactic specialization for Broca’s area. Proceedings of the National Academy of Sciences USA, 97, (6150–6154). Fabbro, F., Clarici, A., Bava, A. (1996). Effects of left basal ganglia lesions on language production. Perceptual and Motor Skills, 82(3), 1291–1298. Ferman, S., Olshtain, E., Schechtman, E. & Karni, A. (2009). The acquisition of a linguistic skill by adults: procedural and declarative memory interact in the learning of an artificial morphological rule. Journal of Neurolinguistics, 22, 384-412. Retrieved from: http://www.elsevier.com/locate/jneuroling. Fredriksson, A. (2000). Maze learning and motor activity deficits in adult mice induced by iron exposure during a critical postnatal period. Developmental Brain Research, 119(1), 65-74. Friederici, A. (2002). Towards a neural basis of auditory sentence processing. Trends in Cognitive Sciences, 6(2), 78–84. Friederici, A., von Cramon, D., Kotz, S. (1999). Language related brain potentials in patients with cortical and subcortical left hemisphere lesions. Brain, 122, 1033-1047. Goodale, M. A. (2000). Perception and action in the human visual system. In: The New Cognitive Neurosciences, (pp. 365-378). M. S. Gazzaniga, (ed.). Cambridge, MA: MIT Press, Hahne, A., Friederichi, D. (2003). Processing a second language: late learners’ comprehension strategies as revealed by event-related brain potentials. Bilingualism: Language and Cognition, 4, 1-42. Henke, K (2010) A model for memory systems based on processing modes rather than consciousness. Nature Reviews Neuroscience, 11, 523–532. Hikosaka, O., Sakai, K., Nakahara, H., Lu, X., Miyachi, S., Nakamura, K., Rand, M. K. (2000). Neural mechanisms for learning of sequential procedures. In: The New Cognitive Neurosciences, (pp. 553-572). M. S. Gazzaniga, (ed.). Cambridge, MA: MIT Press. Joanisse, M.F., Seidenberg, M.S. (1999). Impairments in verb morphology after brain injury: a connectionist model. Proceedings of the National Academy of Science USA. 96, (7592 –7597). Middleton, F.A., Strick, P.L. (2000). Basal ganglia and cerebral loops: motor and cognitive circuits. Brain research reviews, 31, 236-250. Moro, A., Tettamanti, M., Perani, D., Donati, C., Cappa, S. F., & Fazio, F. (2003). Syntax and the brain: disentangling grammar by selective anomalies. Neuroimage, 13(1), 110–118. Neurolinguistic and Psycholinguistic Perspectives on SLA. (2010). Arabski, J. & Wojtaszek, A. (Eds.), Bristol: Multilingual Matters. Newport, E. (1993). Maturational constraints on language learning. Cognitive Science, 14(1), 11-28. Opitz, B. & Friederichi, A.D. (2003). Interactions of the hippocampal system and the prefrontal cortex in learning language-like rules. Neuroimage, 19(4), 1730-1737. Packard, M.& Knowlton, B. (2002). Learning and memory functions of the basal ganglia. Annual Review of Neuroscience, 25, 563–593. Park, D., Lautenschlager, G., Hedden, T., Davidson, N., Smith, A. & Smith, P. (2002). Models of visuospatial and verbal memory across the adult life span. Psychology and Aging, 16, 299-320. Peelle, J.E., McMillan, C., Moore, P., Grossman, M. & Wingfield, A. (2004). Dissociable patterns of brain activity during comprehension of rapid and syntactically complex speech: evidence from fMRI. Brain and Language, 91, 315-325. Pinker, S. (1994). The Language Instinct. New York: William Morrow. Poldrack, R., Packard, M. G. (2003). Competition among multiple memory systems: converging evidence from animal and human brain studies. Neuropsychologia, 41(3), 245–251. Roediger, H.L., Butler, A.C. (2011). The critical role of retrieval practice in long-term retention. Trends in Cognitive Science, 15, 20-27. Schlaug, G. (2001). The brain of musicians: a model for functional and structural adaptation. Annals of the New York Academy of Sciences, 930(1), 281-299. Squire, L.R., Knowlton, B.J. (2000). The medial temporal lobe, the hippocampus, and the memory systems of the brain. In: The New Cognitive Neurosciences. (pp. 765-780). M. S. Gazzaniga, Ed. Cambridge, MA: MIT Press, Squire, L. R., Zola, S. M. (1996). Structure and function of declarative and nondeclarative memory systems. Proceedings of the National Academy of Sciences USA, 93. (13515–13522). Sun, R., Zhang, X. (2004). Top-down versus bottom-up learning in cognitive skill acquisition. Cognitive Systems Research, 5, 63–89. Ullman, M.T. (2004). Contributions of memory circuits to language: the declarative/procedural model. Cognition, 92(1-2), 231-70. Ullman, M.T. (2005). A cognitive neuroscience perspective on second language acquisition: the declarative/procedural model. In: Adult Second Language Acquisition, (pp. 141-178). C. Sanz, (ed.). Washington, DC: Georgetown University Press. Ullman, M.T. & Pieport, E.I. (2005). Specific language impairment is not specific to language: the procedural deficit hypothesis. Cortex, 41, 399-433. Ullman, M. (2006). Is Broca’s area part of a basal ganglia thalamocortical circuit? In: The Cortex: Integrative Models of Broca’s Area and the Ventral Premotor Cortex. (pp. 480-485). R. Schubotz & C. Fiebach, (Eds.). Milan: Masson. Ullman, M. (2015) The declarative / procedural model: A neurobiologically motivated theory of first and second language. In: Theories in Second Language Acquisition: An Introduction, (pp. 135-158.) VanPatten, B. and J. Williams, (Eds.). 2nd ed. New York: Routledge. Ullman, M. and Lovelett, J. (2016). Implications of the declarative / procedural model for improving second language learning: The role of memory enhancement techniques. Second Language Research, Special issue, 1-27. Zurowski, B., Gostomzyk, J., Gron, G., Weller, R., Schirrmeister, H., Neumeier, B., Spitzer, M., Reske, S.N. & Walter, H. (2002). Dissociating a common working memory network from different neural substrates of phonological and spatial stimulus processing. 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Bansal, Shivani, Shu Wang, Yaoxiang Li, Sunil Bansal, Jill Smith, John B. Tyburski, Keith Unger, and Amrita Cheema. "Abstract 1074: Plasma EV profiling facilitates low abundance biomarker discovery in pancreatic cancer." Cancer Research 84, no. 6_Supplement (March 22, 2024): 1074. http://dx.doi.org/10.1158/1538-7445.am2024-1074.

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Abstract The lack of reliable biomarkers for early detection of pancreatic ductal adenocarcinoma (PDAC) results in poor prognosis due to advanced disease at diagnosis. Biopsies for pancreatic cancer are known to be particularly difficult to perform because of the location of the pancreas and low volume of primary tumors that metastasize aggressively. Currently, there is no blood test or other screening modality in use, for stratification of individuals with higher-than-average risk (5-8-fold) of developing PDAC in their lifetime. Given this existing void in the US and worldwide, an FDA-compliant, minimally invasive, quantitative biomarker test for the early detection of PDAC would be critical for screening subpopulations with, a) inherent genetic or familial predisposition; history of chronic pancreatitis; c) precursor lesions of pancreas; and d) older patients (&gt;50 years) with new onset diabetes or sudden weight loss. Extracellular vesicles (EVs) are shed by normal and cancer cells and carry a rich molecular cargo that can be leveraged for biomarker discovery. Whereas molecular profiling of bio-fluids poses intrinsic limitations for detection of low abundant, disease-specific biomarkers due to matrix effects; EVs, on the other hand, offer promise as a robust and minimally invasive biomarker resource. Mass spectrometry data were developed in our laboratory, based on multi-omics (proteomics, lipidomics and metabolomics) analyses of plasma EVs derived from patients diagnosed with early-stage PC (N=60), pancreatitis (N=39), precursor lesions of pancreas (N=45) as well as normal controls (N=50). These clinically annotated samples were made available by the Georgetown University Medical Center (GUMC) repository. Feature selection using a training-validation design allowed the development of a multiplexed biomarker panel comprising of 12-analytes (5-lipids, 2-metabolites and 5-proteins) that can robustly stratify early-stage PC from normal controls with high accuracy (AUC&gt;95%). Availability of a FDA compliant, multi-analyte-based classification algorithm that can stratify patients with precursor lesions of the pancreas that are at potential risk of progression to PC with &gt; 90% specificity and sensitivity is a critical clinical need. Refinement of panel to improve positive predictive value as well as identification of markers predictive of progression of precursor lesions to malignant transformation is ongoing. Citation Format: Shivani Bansal, Shu Wang, Yaoxiang Li, Sunil Bansal, Jill Smith, John B. Tyburski, Keith Unger, Amrita Cheema. Plasma EV profiling facilitates low abundance biomarker discovery in pancreatic cancer [abstract]. In: Proceedings of the American Association for Cancer Research Annual Meeting 2024; Part 1 (Regular Abstracts); 2024 Apr 5-10; San Diego, CA. Philadelphia (PA): AACR; Cancer Res 2024;84(6_Suppl):Abstract nr 1074.
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Yusof, Ismail bin, and Abd Rahman Abdul Rahim. "Aircraft Acquisition Conceptual Framework." Asian Social Science 13, no. 4 (March 24, 2017): 37. http://dx.doi.org/10.5539/ass.v13n4p37.

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The Royal Malaysian Air Force (RMAF) has faced difficulties in achieving and sustaining at least 70% of its aircraft availability (Av) in order to support its operational requirements. The head start for this research is to discuss with a focus group (FG) which comprise of eight officers and one moderator and supported by observation on the field. The FG highlighted that the low Av was due to the ineffectiveness and inefficiency of the through life cycle support (TLCS) as a result of weaknesses in the acquisition conceptual framework (ACF). Three research questions were put forward; Q1: Why has the RMAF not achieved its aircraft Av as its desired objectives? Q2: How do the RMAF’s present acquisition practices given a significant impact to Av? And Q3: What is the recommended ACF to be used to ensure higher aircraft Av? The mix mode method (quantitative and qualitative) data collection was used. The literature review focused on critical success factors (CSFs) in terms of acquisition, terms and definition, and present practices in the Royal Malaysian Army (RMA), the Royal Malaysian Navy (RMN), the Malaysian public sector, the Department of Defence of the United States of America (DoD USA), the Ministry of Defence of United Kingdom (MoD UK) and the Australian Defence Force (ADF). Based on the CSFs from the literature review, a preliminary ACF I was developed. The RMAF case study had focused on Type A, Type B, Type C and Type D aircraft. Data on aircraft status for FY 2011 to 2015 was gathered from the Air Support Command Headquarters (ASHQ). The survey was achieved through 16 self-administered structured questionnaires which are close-ended involving 120 out of 150 respondents from the Worker Group (WG). The interviewer collected qualitative data using 21 semi-structured questionnaires with open-ended answers on 20 respondents from the Management Group (MG). The survey and interview results were presented in a matrix table and categorized in accordance with themes and their relationships. Based on the results of the case study, the preliminary ACF I was modified to ACF II. Then, ACF II was validated by four experts who comprise of two senior officers and two senior managers from the aviation industry. After validation, the ACF II was modified to ACF III (final) and was proposed for implementation. Three project objectives were put forward. Objective 1: To identify the cause of low Av.
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Anis, Chintya Stefanny, Agnes E. Loho, and Grace A. J. Rumagit. "ANALISIS PENGELOLAAN RANTAI PASOK TEPUNG KELAPA PADA PT. XYZ DI SULAWESI UTARA." AGRI-SOSIOEKONOMI 13, no. 1 (January 26, 2017): 81. http://dx.doi.org/10.35791/agrsosek.13.1.2017.14922.

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The purpose of this study are: (1) Identify the supply chain model of coconut desiccated at PT. XYZ and (2) to analyze the supply chain management of desiccated coconut at PT. XYZ. The research was conducted over 2 months ie from September to November 2016 and is located in PT. XYZ (pseudonym), in North Sulawesi. The data used in this research are primary and secondary data. The primary data obtained through field observation and direct interviews. Interviews were conducted with the company related logistics company to find a picture of the supply chain and supply chain management is done by the company. In addition, the researchers also conducted interviews with coconut farmers and collectors to determine the condition of the current coconut price as well as the flow of raw material coconuts from the famers to supplier. Secondary data were obtained from the relevant literature, as well as documents and reports that are owned by companies and agencies. This study focuses on the management of the flow of material and information flow of the supply chain of coconut flour at PT. XYZ. The results of observations and interviews were analyzed with descriptive qualitative analysis methods. The results showed that (1) Members of coconut flour supply chain at. XYZ, namely (a) the raw material supplier of coconut spread in some areas, (b) PT. XYZ for purchasing, sales, shipping and production, (c) Expediting Services to send products from Bitung harbor, next to the port of Tanjung Priok to be exported to the country of destination, (d) The customer, in this case the food companies that require raw materials coconut flour to be produced into chocolate bars, cookies, dessert, and so forth. (2) (a) Selection of supplier PT. XYZ is good enough, because every supplier who will supply the raw material to go through the interview stage, made a deal with the company and agree to the terms proposed by the company. PT. XYZ also maintain good relations with its suppliers with visits annually; (b) the flow of material and information flow is managed by PT. XYZ is good enough. Any information purchasing, sales, shipping and finance centered PT.XYZ headquarters is located in Manado and PT. XYZ manage information about the quantity of raw materials available in the warehouse and general condition of the plant.
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Ribadeneira Páez, María Gracia, Oswaldo Sebastian Vega Perez, and Jonathan Luis Cruz Pierard. "Market share analysis: International direct offer to and from Bogota’s International Airport El Dorado (2017-2019)." Universidad Ciencia y Tecnología 25, no. 110 (August 25, 2021): 58–64. http://dx.doi.org/10.47460/uct.v25i110.476.

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The objective of this research is to measure the market share generated by commercial passenger transport airlines that operate direct international routes to and from El Dorado International Airport during the study period 2017-2019, as well as to identify the size of airlines' offer and the market leader, and observing its behavior; considering this airport as the main and most important one in Colombia, as well as cataloged and awarded as one of the best airports in South America by the criteria of the recognized and significant Skytrax awards of the aviation industry; Likewise, this work handles a qualitative-quantitative, exploratory and descriptive bibliographic approach based on the synthetic and deductive-inductive methods applied in the process for obtaining the results and revealed in the analysis presented about the market share reflected by the studied airlines, through the quantitative data collected about the direct international routes handled by each one of them, the size of the market and its evolution throughout the study period. Keywords: Market share, international direct routes, airlines, airport. References [1]Aeronáutica Civil- Unidad Administrativa Especial de Colombia, «Current Challenges un Inernational Air Transportation,» La Aviación en Cifras, vol. I, nº 1, pp. 4-59, 2017. [2]S. Suñol, «Asepctos Teóricos de la Competitividad,» Ciencia y Sociedad, vol. XXXI, nº 2, pp. 179-198, 2006. [3]C. Agostini, «El Mercado del Transporte Aéreo: Lecciones de Política de una Revisón de Literatura,» Journal o Transport Literature, vol. VI, nº 3, pp. 239-277, 2012. [4]M. G. Ribadeneira Páez, S. Vega- Pérez y J. Cruz- Pierard, «Conectividad aerocomercial internacional: Análisis comparativo- Aeropuerto Internacional Mariscal Sucre frente a El Dorado y Arturo Merino Benítez (2017-2019),» Dominio de las Ciencias, vol. VII, nº 1, pp. 810-830, 2021. [5]Aeropuerto Internacional El Dorado, Aeropuerto El Dorad parte de la historia de Colombia, Bogotá, 2019. [6]OPAIN S.A, Consesionario del Aeropuerto Internacional El Dorado. [7]Atlassian Confluence Community, Colombia El Dorado Aeropuerto Internacional. [8]Notrimérica, El Aeropuerto El Dorado de Bogotá eleva su capacidad a 43 millones de pasajeros anuales, 2017. [9]Caracol Radio, El Dorado ya cuenta con tecnología que permite aterrizar con baja visibilidad en Bogotá, 2017. [10]Aeropuerto Internacional El Dorado, Certificados y Reconocimientos otorgados a El Dorado. [11]International Air Transportation Assosiation, Glossary, 2018. [12]R. Lim, Aviation in Transition: Challenges & Opportunities of Liberalization- Session 4: Safeguards and Sustainability, Montreal: ICAO Headquarters, 2003. [13]D. Babié, J. Kuljanin y M. Kalié, «Market Share modeling in airline industry: An emerging market economies application,» Transportation Research Procedia, vol. III, pp. 384-392, 2014. [14]E. Acero, E. Fajardo y H. Romero, «El mercado de transporte aéreo en América,» Espacios, vol. XXXIX, nº 3, 2017. [15]J. Cruz Cañón y D. Beltrán Hernández, La estrategia en la perdurabilidad empresarial. Un estudio de la segunda aerolínea más antigua del mundo: Avianca., Bogotá: Universidad del Rosario, 2016.
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Yamamoto, Hajime. "Aerial Surveys and Geographic Information in Modern China." Abstracts of the ICA 1 (July 15, 2019): 1–2. http://dx.doi.org/10.5194/ica-abs-1-414-2019.

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<p><strong>Abstract.</strong> Today when online satellite images are just a click away, access to geographic information showing the latest images of the globe has dramatically expanded, and historico-geographic research based on such information is flourishing. However, in the study of Chinese history, historical research employing GIS or similar technologies is still in its infancy, since “historical” geographic information with a high degree of precision are lacking. From within the ambit of Chinese geographic information, this report specifically highlights aerial surveys effected during the Republic of China era. To start, we review the history of domestic aerial surveys during R. O. C. period. Then, focusing on Nanjing as an example, we proceed to introduce maps that were actually created based on aerial surveys.</p><p>Chinese aerial surveys date back to around 1930. At the Nationalist Party’s General Assembly in 1929, partisans proposed for the need for aerial surveys. In 1930, the “Aerial Photography and Survey Research Team” was formed within the General Land Survey Department at General Staff Headquarters (National Army of the Republic of China). Consequently, foreign technicians were invited to provide relevant education/training. In June 1931, China’s pioneer initiative in aerial photography took place in Zhejiang province. The aim of aerial surveys in those early days was to create maps for military purposes. Between 1932 and 1939, topographic maps of fortifications located in areas such as the Jiangnan district were prepared. Further, starting from around the same period until the Sino-Japanese War, land registry maps based on aerial surveys were also produced. After the Sino-Japanese War ended, the above-mentioned directorate handed over responsibility for aerial surveys to the Naval General Staff. However, in 1949 the Chinese Communist Party confiscated the maps theretofore produced.</p><p>Although the aerial photographs and the geographic information produced therefrom during the R. O. C. era were seized by the People’s Republic of China, in actuality, some had previously been transferred to Taiwan. The topographic maps of the Nanjing metropolitan area (一萬分一南京城廂附近圖), based on aerial surveys and drawn in 1932, are currently archived at Academia Historica in Taipei. Comprising a total of 16 sheets, these maps were drawn on a scale of 1:10,000 by the General Land Survey Department.</p><p>Similarly, other maps (各省分幅地形圖) produced by the General Land Survey Department, comprising a total of 56 sheets and partly detailing Nanjing, are now in the possession of Academia Sinica in Taipei. There was no information about photographing or making in these maps. But almost the same maps were archived at Library of Congress in Washington D. C. According to those maps at LC, based on aerial photographs taken and surveys conducted in 1933, these topographic maps (1:10,000 scale) were completed in 1936.</p><p>The examples introduced above are topographic maps based on aerial photography. However, starting in 1937, land registry maps were also created. Detailing the outskirts of Nanjing (1:1,000 scale) and comprising a total of 121 sheets, they are now archived at Academia Historica. While the land registry maps were produced in 1937, supplementary surveys were effected following the Sino-Japanese War in 1947.</p><p>Since the geographic information based on aerial surveys during the R. O. C. era in China were precise, they can serve as a source of manifold information. This report only delved into information developed by the Government of the R. O. C., but it is becoming evident that U. S. Armed Forces and Japan also produced geographic information of their own based on aerial surveys. If the comprehensive panorama captured by all three protagonists can be illuminated, further advances in Chinese historico-geographic studies employing geographic information will be forthcoming.</p>
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KITLV, Redactie. "Book Reviews." New West Indian Guide / Nieuwe West-Indische Gids 67, no. 1-2 (January 1, 1993): 109–82. http://dx.doi.org/10.1163/13822373-90002678.

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-Louis Allaire, Samuel M. Wilson, Hispaniola: Caribbean chiefdoms in the age of Columbus. Tuscaloosa: University of Alabama Press, 1990. xi + 170 pp.-Douglas Melvin Haynes, Philip D. Curtin, Death by migration: Europe's encounter with the tropical world in the nineteenth century. Cambridge: Cambridge University Press, 1989. xviii + 251 pp.-Dale Tomich, J.H. Galloway, The sugar cane industry: An historical geography from its origins to 1914. Cambridge: Cambridge University Press, 1989. xii + 266 pp.-Myriam Cottias, Dale Tomich, Slavery in the circuit of sugar: Martinique and the world economy, 1830 -1848. Baltimore: John Hopkins University Press, 1990. xiv + 352 pp.-Robert Forster, Pierre Dessalles, La vie d'un colon à la Martinique au XIXe siècle. Pré-senté par Henri de Frémont. Courbevoie: s.n., 1984-1988, four volumes, 1310 pp.-Hilary Beckles, Douglas V. Armstrong, The old village and the great house: An archaeological and historical examination of Drax Hall Plantation, St Ann's Bay, Jamaica. Chicago: University of Illinois Press, 1990. xiii + 393 pp.-John Stewart, John A. Lent, Caribbean popular culture. Bowling Green OH: Bowling Green State University Popular Press, 1990. 157 pp.-W. Marvin Will, Susanne Jonas ,Democracy in Latin America: Visions and realities. New York: Bergin & Garvey Publishers, 1990. viii + 224 pp., Nancy Stein (eds)-Forrest D. Colburn, Kathy McAfee, Storm signals: Structural adjustment and development alternatives in the Caribbean. London: Zed books, 1991. xii + 259 pp.-Derwin S. Munroe, Peggy Antrobus ,In the shadows of the sun: Caribbean development alternatives and U.S. policy. Carmen Diana Deere (coordinator), Peter Phillips, Marcia Rivera & Helen Safa. Boulder CO: Westview Press, 1990. xvii + 246 pp., Lynne Bolles, Edwin Melendez (eds)-William Roseberry, Louis A. Pérez, Jr., Lords of the mountain: Social banditry and peasant protest in Cuba, 1878-1918. Pittsburgh: University of Pittsburgh Press, 1989. xvii + 267 pp.-William Roseberry, Rosalie Schwartz, Lawless liberators, political banditry and Cuban independence. Durham NC: Duke University Press, 1989. x + 297 pp.-Robert L. Paquette, Robert M. Levine, Cuba in the 1850's: Through the lens of Charles DeForest Fredricks. Tampa: University of South Florida Press, 1990. xv + 86 pp.-José Sánchez-Boudy, Gustavo Pérez Firmat, The Cuban condition: Translation and identity in modern Cuban literature. Cambridge: Cambridge University Press, 1989. viii + 185 pp.-Dick Parker, Jules R. Benjamin, The United States and the origins of the Cuban revolution: An empire of liberty in an age of national liberation. Princeton: Princeton University Press, 1990. xi + 235 pp.-George Irvin, Andrew Zimbalist ,The Cuban economy: Measurement and analysis of socialist performance. Baltimore: John Hopkins University Press, 1989. xiv + 220 pp., Claes Brundenius (eds)-Menno Vellinga, Frank T. Fitzgerald, Managing socialism: From old Cadres to new professionals in revolutionary Cuba. New York: Praeger, 1990. xiv + 161 pp.-Patricia R. Pessar, Eugenia Georges, The making of a transnational community: Migration, development, and cultural change in the Dominican republic. New York: Columbia University Press, 1990. xi + 270 pp.-Lucía Désir, Maria Dolores Hajosy Benedetti, Earth and spirit: Healing lore and more from Puerto Rico. Maplewood NJ: Waterfront Press, 1989. xvii + 245 pp.-Thomas J. Spinner, Jr., Percy C. Hintzen, The costs of regime survival: Racial mobilization, elite domination and control of the state in Guyana and Trinidad. Cambridge: Cambridge University Press, 1989. x + 240 pp.-Judith Johnson, Morton Klass, Singing with the Sai Baba: The politics of revitalization in Trinidad. Boulder CO: Westview, 1991. xvi + 187 pp.-Aisha Khan, Selwyn Ryan, The Muslimeen grab for power: Race, religion and revolution in Trinidad and Tobago. Port of Spain: Inprint Caribbean, 1991. vii + 345 pp.-Drexel G. Woodson, Patrick Bellegarde-Smith, Haiti: The Breached Citadel. Boulder CO: Westview Press, 1990. xxi + 217 pp.-O. Nigel Bolland, Howard Johnson, The Bahamas in slavery and freedom. Kingston, Jamaica: Ian Randle; London: James Currey, 1991. viii + 184 pp.-Keith F. Otterbein, Charles C. Foster, Conchtown USA: Bahamian fisherfolk in Riviera beach, Florida. (with folk songs and tales collected by Veronica Huss). Boca Raton: Florida Atlantic University Press, 1991. x + 176 pp.-Peter van Baarle, John P. Bennett ,Kabethechino: A correspondence on Arawak. Edited by Janette Forte. Georgetown: Demerara Publishers, 1991. vi + 271 pp., Richard Hart (eds)-Fabiola Jara, Joop Vernooij, Indianen en kerken in Suriname: identiteit en autonomie in het binnenland. Paramaribo: Stichting Wetenschappelijke Informatie (SWI), 1989. 178 pp.-Jay Edwards, C.L. Temminck Groll ,Curacao: Willemstad, city of monuments. R.G. Gill. The Hague: Gary Schwartz/SDU Publishers, 1990. 123 pp., W. van Alphen, R. Apell (eds)-Mineke Schipper, Maritza Coomans-Eustatia ,Drie Curacaose schrijvers in veelvoud. Zutphen: De Walburg Pers, 1991. 544 pp., H.E. Coomans, Wim Rutgers (eds)-Arie Boomert, P. Wagenaar Hummelinck, De rotstekeningen van Aruba/The prehistoric rock drawings of Aruba. Utrecht: Uitgeverij Presse-Papier, 1991. 228 pp.-J.K. Brandsma, Ruben S. Gowricharn, Economische transformatie en de staat: over agrarische modernisering en economische ontwikkeling in Suriname, 1930-1960. Den Haag: Uitgeverij Ruward, 1990. 208 pp.-Henk N. Hoogendonk, M. van Schaaijk, Een macro-model van een micro-economie. Den Haag: STUSECO, 1991. 359 pp.-Bim G. Mungra, Corstiaan van der Burg ,Hindostanen in Nederland. Leuven (Belgium)/ Apeldoorn (the Netherlands): Garant Publishers, 1990. 223 pp., Theo Damsteegt, Krishna Autar (eds)-Adrienne Bruyn, J. van Donselaar, Woordenboek van het Surinaams-Nederlands. Muiderberg: Dick Coutinho, 1989. 482 pp.-Wim S. Hoogbergen, Michiel Baud ,'Cultuur in beweging': creolisering en Afro-Caraïbische cultuur. Rotterdam: Bureau Studium Generale, 1989. 93 pp., Marianne C. Ketting (eds)
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Normandeau, André, and Denis Szabo. "Synthèse des travaux." Acta Criminologica 3, no. 1 (January 19, 2006): 143–70. http://dx.doi.org/10.7202/017013ar.

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Abstract SYNTHESIS OF THE FIRST INTERNATIONAL SYMPOSIUM FOR RESEARCH IN COMPARATIVE CRIMINOLOGY Introduction At the beginning of the development of the social sciences there was a considerable vogue for comparative research. A long period of empirical studies and almost total preoccupation with methodological problems followed. Once again, however, psychology, political science, sociology, and above all anthropology, have taken up the thread of this tradition, and the bibliography in these fields is becoming ever more abundant. The study of deviance, of various manifestations of criminality, and of social reaction against crime are, however, noticeably missing in the picture, even though there is nothing in the nature of criminology which precludes the development of comparative research. To many research workers in criminology, the time seemed ripe to take up the comparative tradition once again. Two imperatives were considered : the generalization of norms of deviance which are tied to the standard of living set by industrial civilization, thus putting the problem of criminality in a global light ; and, second, the development and standardization of methods of studying these phenomena, drawing on the experience of allied disciplines. The response of the participants in this Symposium and the results of their discussions were not unexpected. A consensus was arrived as to the problems it was thought important to study, and agreement was reached about the strategies of research to be undertaken. Priorities, however, were not established since too much depends on the availability of research teams, funds, etc. But the broad, overall look at the main problems in comparative criminology will, hopefully, open a new chapter in the history of crimino-logical research and in our continuing search for knowledge of man and society. The brief resume which follows should give the reader an idea of the extent of the problems tackled. The detailed proceedings of the Symposium will be published at a later date, in mimeographed form. Sectors of research proposed In a sense, this Symposium was prepared by all the participants. The organizers had requested that each person invited prepare a memorandum setting out the problems in comparative criminology which he considered to be most important. The compilation of their replies, reported to the plenary session at the opening of the Symposium, produced the following results : Summary of suggestions for research activities Note : In all that follows, it should be understood that all of these topics should be studied in a cross-cultural or international context. 1) Definitions and concepts : a) Social vs legal concept of deviance ; b) Distinction between political and criminal crimes ; c) The law : a moral imperative or a simple norm ; d) The concepts used in penal law : how adequate ? e.g. personality of criminal ; e) Who are the sinners in different cultures and at different times. 2) Procedures : a) Working concepts of criminal law and procedure ; b) Differentiating between factors relating to the liability-finding process and the sentencing process ; c) Behavioural manifestations of the administration of criminal justice ; d) Judicial decisions as related to the personality of the judges and of the accused ; e) Sentencing in the cross-national context (2 proposals) ; f) In developing countries, the gap between development of the legal apparatus and social behaviour ; g) Determination of liability ; h) The problem of definition and handling of dangerous offenders ; i) Decision-making by the sentencing judges, etc. (2 proposals) ; ;) Medical vs penal committals ; k) Law-enforcement, policing. 3) Personnel : a) Professionalization in career patterns ; b) Criteria for personnel selection ; c) Greater use of female personnel. 4) Causation. Situations related to criminality : a) How international relations and other external factors affect crime ; 6) Hierarchy of causes of crime ; c) Migrants. Minorities in general ; d) Relation to socio-economic development in different countries ; e) A biological approach to criminal subcultures, constitutional types, twin studies, etc. ; f) Cultural and social approach : norms of moral judgment, ideals presented to the young, etc. ; g) Effect of social change : crime in developing countries, etc. (6 proposals) ; h) Effects of mass media, rapid dissemination of patterns of deviant behaviour (2 proposals). 5) Varieties of crime and criminals : a) Traffic in drugs ; b) Prison riots ; c) Violence particularly in youth (7 proposals) ; d) Dangerousness ; e) Relation to the rights of man (including rights of deviants); f) Female crime (2 proposals) ; g) Prostitution ; i) The mentally ill offender ; ;) Cultural variations in types of crime ; k) Organized crime ; /) Use of firearms ; m) Gambling ; n) Victims and victimology. 6) Treatment : evaluation : a) Social re-adaptation of offenders ; b) Statistical research on corrections, with possible computerization of data ; c) Comparisons between prisons and other closed environments ; d) Extra-legal consequences of deprivation of liberty ; e) Rehabilitation in developing countries ; f ) Criteria for evaluation of programs of correction ; g) Biochemical treatment (2 proposals) ; i) Differential treatment of different types of offense. Evaluation ; /) Prisons as agencies of treatment ; k) Effects of different degrees of restriction of liberty ; /) Environments of correctional institutions ; m) Study of prison societies ; n) Crime as related to the total social system. 7) Research methodology : a) Publication of what is known regarding methodology ; b) Methods of research ; c) Culturally-comparable vs culturally-contrasting situations ; d) Development of a new clearer terminology to facilitate communication ; e) Actual social validity of the penal law. 8) Statistics : epidemiology : a) Need for comparable international statistics ; standardized criteria (3 proposals) ; b) Difficulties. Criminologists must collect the data themselves. 9) Training of research workers : Recruiting and training of « com-paratists ». 10) Machinery : Committee of co-ordination. Discussions The discussions at the Symposium were based on these suggestions, the main concentration falling on problems of manifestations of violence in the world today, the phenomenon of student contestation, and on human rights and the corresponding responsibilities attached thereto. Although the participants did not come to definite conclusions as to the respective merits of the problems submitted for consideration, they did discuss the conditions under which comparative studies of these problems should be approached, the techniques appropriate to obtaining valid results, and the limitations on this type or work. Four workshops were established and studied the various problems. The first tackled the problems of the definition of the criteria of « danger » represented by different type of criminals ; the problem of discovering whether the value system which underlies the Human Rights Declaration corresponds to the value system of today's youth; the problem of the treatment of criminals ; of female criminality ; and, finally, of violence in the form of individual and group manifestations. The second workshop devoted its main consideration to the revolt of youth and to organized crime, also proposing that an international instrument bank of documentation and information be established. The third workshop considered problems of theory : how the police and the public view the criminal ; the opportunity of making trans-cultural comparisons on such subjects as arrest, prison, etc. ; and the role of the media of information in the construction of value systems. The fourth workshop blazed a trail in the matter of methodology appropriate to research in comparative criminology. The period of discussions which followed the report of the four workshops gave rise to a confrontation between two schools of thought within the group of specialists. The question arose as to whether the problem of student contestation falls within the scope of the science of criminology. Several experts expressed the opinion that criminologists ought not to concern themselves with a question which really belongs in the realm of political science. On the other hand, the majority of the participants appeared to feel that the phenomenon of student contestation did indeed belong in the framework of criminological research. One of the experts in particular took it upon himself to be the spokesman of this school of thought. There are those, he said, who feel that criminology should confine itself and its research to known criminality, to hold-ups, rape, etc. However, one should not forget that penal law rests on political foundations, the legality of power, a certain moral consensus of the population. Today, it is exactly this « legitimate » authority that is being contested. Is it not to be expected, therefore, that criminology should show interest in all sociological phenomena which have legal and criminal implications ? Contestation and violence have consequences for the political foundations of penal law, and therefore are fit subjects for the research of the criminologist. International Centre {or Comparative Criminology The First International Symposium for Research in Comparative Criminology situated itself and its discussions within the framework and in the perspectives opened by the founding of the International Centre for Comparative Criminology. The Centre is sponsored jointly by the University of Montreal and the International Society for Criminology, with headquarters at the University of Montreal. As one of the participants emphasized, criminologists need a place to retreat from the daily struggle, to meditate, to seek out and propose instruments of research valid for the study of problems common to several societies. Viewing the facts as scientists, we are looking for operational concepts. Theoreticians and research workers will rough out the material and, hopefully, this will inspire conferences and symposiums of practitioners, jurists, sociologists, penologists, and other specialists. Above all, it will give common access to international experience, something which is lacking at present both at the level of documentation and of action. A bank of instruments of method- ology in the field of comparative criminology does not exist at the present time. The Centre will undertake to compile and analyse research methods used in scientific surveys, and it will establish such an instrument bank. It will also gather and analyse information pertaining to legislative reforms now in progress or being contemplated in the field of criminal justice. Through the use of computers, the Centre will be able to put these two projects into effect and make the results easily accessible to research workers, and to all those concerned in this field. The participants at the Symposium were given a view of the extent of the problems envisaged for research by the future Centre. It is hoped that this initiative will be of concrete use to research workers, private organizations, public services and governments at many levels, and in many countries.
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Pradana, Muhammad Erza. "What Drives Nuclear-Aspiring States? The Cases of Iran and North Korea." Jurnal Sentris 4, no. 1 (June 16, 2023): 61–72. http://dx.doi.org/10.26593/sentris.v4i1.6425.61-72.

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Why do states want to acquire nuclear weapons? In other words, what drives nuclear-aspiring states? This is the basic question that the author seeks to address in this research. To do so, this research will focus on two standout cases: Iran and North Korea. By employing structural realism as a tool of analysis, the author argues that it is the structure of the international system that drives both Iran and North Korea to acquire nuclear weapons of their own. Specifically, it is the highly unequal distribution of power both regionally and globally that encourages both states to go nuclear. At the global level, both Iran and North Korea found themselves in hostilities with a much more powerful state, the United States. The hostilities and the fact that the United States is way more powerful increase the fear of being attacked in both countries. Similarly, at the regional level, both states face neighbors that are relatively more powerful and have alliances with the United States. Thus, this imbalance of power and the fear it created in both Iran and North Korea give them great incentive to go nuclear, as nuclear weapons would act as a deterrent against any possible aggression. This research is qualitative and based on the literature study data collection method. Keywords: Nuclear proliferation; national security; distribution of capabilities; structural realism REFERENCES Abulof, Uriel. 2014. "Revisiting Iran’s nuclear rationales." International Politics 51(3), 404-415. Albright, David, and Andrea Stricker. 2010. "Iran’s Nuclear Program." In The Iran Primer: Power, Politics, and US Policy, edited by Robin Wright, 77-81. Washington, D.C.: United States Institute of Peace Pres. Bowen, W.Q., and J. Brewer. 2011. "Iran’s nuclear challenge: Nine years and counting." International Affairs 87(4): 923–943. Chubin, S. 2007. "Iran: Domestic politics and nuclear choices." In Strategic Asia 2007–08: Domestic Political Change and Grand Strategy, edited by A.J. Tellis, M. Wills and N. Bisley, 301–340. Washington DC: National Bureau of Asian Research. Cronin, Patrick M. 2008. "The Trouble with North Korea." In Double Trouble: Iran and North Korea as Challenges to International Security, edited by Patrick M. Cronin, 79-89. Wesport: Praeger Security International Buszynski, Leszek. 2021. "North Korea's Nuclear Diplomacy." In Routledge Handbook of Contemporary North Korea, edited by Adrian Buzo, -170. Oxon: Routledge. Donnelly, Jack. 2005. "Realism." In Theories of International Relations, edited by Scott Burchill, Andrew Linklater, Richard Devetak, Jack Donnelly, Christian Reus-Smit Matthew Paterson and Jacqui True, 29-54. Basingstoke: Palgrave Macmillan. Greitens, Sheena Chestnut. 2020. "Proliferation of weapons of mass destruction." In The Globalization of World Politics: An Introduction to International Relations, by John Baylis, Steve Smith and Patricia Owens, 465-480. Oxford: Oxford University. Hobbs, Christopher, and Matthew Moran. 2014. Exploring Regional Responses to a Nuclear Iran. Basingstoke: Palgrave Macmillan. Ikenberry, G. John, Michael Mastanduno, and William C. Wohlforth. 2011. "Introduction: unipolarity, state, and systemic consequenses." In International relations theory and the consequences of unipolarity, edited by G. John Ikenberry, Michael Mastanduno and William C. Wohlforth, 1-32. Cambridge: Cambridge University Press. Jackson, Robert, and Georg Sørensen. 2013. Introduction to International Relations: Theories and Approaches. Oxford: Oxford University Press. Jackson, Van. 2018. On the Brink: Trump, Kim, and the Threat of Nuclear War. Cambridge: Cambridge University Press. Jørgensen, Knud Erik. 2018. International Relations Theory: A New Introduction. London: Palgrave. Kaufman, Joyce P. 2021. A Concise History of U.S. Foreign Policy. Lanham, Maryland: Rowman & Littlefield Krauthammer, Charles. 1990. "The Unipolar Moment." Foreign Affairs 70(1), 23-33. Mærli, Morten Bremer, and Sverre Lodgaard. 2007. "Introduction." In Nuclear Proliferation and International Security, edited by Morten Bremer Mærli and Sverre Lodgaard, 1-5. Oxon: Routledge. Mearsheimer, John J. 2018. The Great Delusion: Liberal Dreams and International Realities. New Haven: Yale University Press. —. 2001. The Tragedy of Great Power Politics. New York: WW Norton & Company. Mearsheimer, John J., and Stephen M. Walt. 2007. The Israel Lobby and US Foreign Policy. New York: Farrar, Straus and Giroux. Pollack, Jonathan D. 2011. No Exit: North Korea, Nuclear Weapons and International Security. New York: Routledge. Popoola, Michael Akin, Deborah Ebunoluwa Oluwadara, and Abiodun A. Adesegun. 2019. "North Korea Nucler Proliferation in the Context of the Realist Theory: A Review." European Journal of Social Sciences 58(1), 75-82. Porter, Patrick. 2015. The Global Village Myth: Distance, War and the Limits of Power. Washington, D.C.: Georgetown University Press. Sharma, Anu. 2022. Through the Looking Glass: Iran and Its Foreign Relations. New York: Routledge Smith, Shane. 2021. "Nuclear Weapons and North Korean Foreign Policy." In Routledge Handbook of Contemporary North Korea, edited by Adrian Buzo, 141-154. Oxon: Routledge. Tagma, Halit M. E. 2020. "Realism and Iran’s Nuclear Program." In Understanding and Explaining the Iranian Nuclear 'Crisis', by Halit M. E. Tagma and Paul E. Lenze Jr., 65-103. Lanham: Lexington Books. Tagma, Halit M.E, and Paul E. Lenze Jr. Understanding and Explaining the Iranian Nuclear 'Crisis'. Lanham: Lexington Books, 2020. Taylor, Steven J., Robert Bogdan, and Marjorie L. DeVault. 2016. Introduction to Qualitative Research Methods: A Guidebook and Resource. New Jersey: John Wiley & Sons, Inc. Thomas, Garth. 2017. " Realism And Its Impact To The North Korean, South Korean, And Chinese Nuclear Programs (." Master's Thesis. Baltimore, Maryland: Johns Hopkins University, August. Accessed June 27, 2022. https://jscholarship.library.jhu.edu/bitstream/handle/1774.2/60434/THOMAS-THESIS 2017.pdf?sequence=1&isAllowed=y. Viotti, Paul R., and Mark V. Kauppi. 2012. International Relations Theory. Boston: Longman. Vromen, Ariadne. 2010. "Debating Methods: Rediscovering Qualitative Approaches." In Theory and Methods in Political Science, edited by David Marsh and Gerry Stoker, 249-266. Basingstoke: Palgrave Macmillan. Waltz, Kenneth N. 1979. Theory of International Politics. Reading: Addison-Wesley Publishing Company, Inc. Waltz, Kenneth. 2000. "Structural Realism after the Cold War ." International Security 25(1), pp. 5– 41. Yonhap News Agency. 2018. N. Korea will not give up nuclear weapons: Mearsheimer . March 20. Accessed May 18, 2023. https://en.yna.co.kr/view/AEN20180320010200315.
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Loma, Svetlana. "Two epigraphic-historical notes." Starinar, no. 58 (2008): 189–96. http://dx.doi.org/10.2298/sta0858189l.

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Recently a monograph appeared dealing with Roman epigraphical monuments from the West-Serbian town of Cacak and its neighbourhood (S. Ferjancic / G. Jeremic / A. Gojgic, Roman Epigraphic Monuments from Cacak and its Vicinity Cacak 2008, Engl. Summary pp. 103-107). Authored by one specialist in Roman history and epigraphy and two archaeologists, the book is rather thin and does not provide much new data, apart from the identification of the equestrian officer Tiberius Claudius Gallus with Severus' senator - which was taken from my PhD thesis without citing it - and from two inscriptions, ? 20 and ? 21, forming the subject of the present paper. Published here for the first time, they both contain important information which the co-authors failed to notice. The consuls of 227 A.D. in an inscription from Cacak The ? 21 (fig. 1) was found in the site of Gradina on the mountain Jelica, S. of Cacak. It is engraved on a whitish limestone monument, apparently an ara, the middle and lower parts of which are preserved after it has been reshaped to be used as building material. The four-line inscription was read by the editors as follows: [- - -] Aur(elius) F[- - - v(otum)] l(ibens) p(osuit) Mal+[- - -]et Al[- - - co(n)s(ulibus)] Idibus [- - -]. Unable to identify the pair of consuls mentioned in lines two and three, the authors interpret the inscription as a funerary one: [- - -]Aur(elius or -elio) F[- - - vix(it) ann(is)] L P. Mal+[- - -]et Al[- - - f(ecerunt) ? die ?] Idibus [- - -]. In fact, they misread the final cluster of the line two, by having mistaken for L the long right serif of M (in ligature with A) together with a trace of a subsequent letter, which proves to be an X. The alignment of the letters at the beginning of the lines suggests that the left side of the inscription is entirely preserved. The inscription reads as folows: ] \ Aur(elius) F+[ -] \ l(ibens) p(osuit) Max[imo] \ et Al[bino co(n)s(ulibus)] \ Idibus [ -]. M. Laelius Maximus Aemilianus (PIR2 L56) - probably son of Marcus Laelius Maximus (PIR2 L55), one of the leading senators under Septimius Severus - and M. Nummius Senecio Albinus (PIR2 N235) were the eponymous consuls of 227. The pair is attested in several inscriptions, e.g. CIL VIII 18831 from Numidia which resembles this one in recording the exact date: Bacaci Aug(usto) \ sac(rum) \ Albino et Ma\ximo co(n)s(ulibus) \ Kal(endis) Mai(is) [3] Si\ttius Novellus \ et Q. Galerius Mu\stianus magg(istri) \ [Thib(ilitanorum?)]. Here Albinus' name precedes that of Maximus, which is usually the case. Nevertheless, a parallel with Maximus named before Albinus is provided by an inscription from Dacia (ILD 774, near Cluj): Deae Ne\mesi sac\rum Aur(elius) Ru[f]inus \ be(ne)f(iciarius) co(n)s(ularis) \ leg(ionis) XIII Gem(inae) \ Sever(ianae) v(otum) l(ibens) p(osuit) Maximo et Albi\[no] co(n)s(ulibus). Consequently, ? 21 is a votive inscription, largely restorable and precisely datable. The Collegium curatorum of the Cohors II Delmatarum in an inscription from Cacak Forty years ago within the Ascension Church yard in Cacak the lower part of a Roman limestone monument has been accidentally unearthed, bearing an inscription, three last lines of which are partially preserved (? 20 of the catalogue, (fig. 2), wherein only the mention of a cohort was recognized by the editors, who read: ]\[- - -]ALB[- - -| -]GIATI +[- - -|- - -co]h(ortis) eiusde(m) [- - -|- - - The elegant, shaded letters are lined up one below the other, which suggests that the text was arranged following the principle of centering. Above the L in the first line there is a trace of an O or a Q, unnoticed by the editors. So, there are 4 lines partially preserved. The space left between the lines 2 and 3 being larger than that between 1-2 and 3-4 respectively, the two last lines seem to constitute a separate entry. The genitive case cohortis eiusdem implies a preceding designation of the dedicant(s), and what we have before is a nominative plural ending in ?giati followed by a word of which only the first letter, C or O, is still discernible. As the most probable, if not the only possible, we propose the following restoration of the last two lines (fig. 8): [colle]giati c[urat(ores)]|[co]h(ortis) eiusde[m] possibly with a p(osuerunt) or d(edicaverunt) in the end. Despite its fragmentariness, the present inscription bears an important testimony to the existence, within the Roman army, of professional associations (collegia militaria) independent of regular military structures. The evidence for them is based solely on epigraphic sources; some hundred inscriptions contradict the paragraph of the Digesta (47.22) forbidding the soldiers to organize corporate associations in the camps. The cohort in question is doubtless the cohors II Aurelia Delmatarum milliaria equitata, which is known to have been stationed permanently, from the seventies of the second century A.D. to the fifties of the third century, in the eastern part of Dalmatia around the modern city of Cacak. It was a mixed infantry and cavalry unit, and the rank of curator (curator equitum singularium, curator alae, curator cohortis) is attested exclusively in the mounted units of the Roman army. It was higher than the simple eques; in the auxiliary troops, the curators may have been charged with special tactical or economic-administrative tasks. The lower officers (principales) and the soldiers with special tasks were allowed to form private associations fostering loyalty to the Emperor. All Roman collegia including the military ones, had their religious purpose and their official meeting room (schola) was also a sanctuary of their patron deity. It might be a part of the headquarters building, as in the case of the Castra Nova equitum singularium in Rome, where, beneath the Basilica of St John Lateran an Ionic capitel was uncovered with inscription on it dated with AD 197 recording the dedication of the schola curatorum to Minerva Augusta (AE 1935 156 = AE 1968, 8b).
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García Carpintero López de Mota, Jaime. "Las casas de la encomienda de la Orden de Santiago en La Mancha a finales de la Edad Media (siglos XV y principios del XVI)." Vínculos de Historia Revista del Departamento de Historia de la Universidad de Castilla-La Mancha, no. 11 (June 22, 2022): 354–74. http://dx.doi.org/10.18239/vdh_2022.11.16.

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Las denominadas casas de la encomienda constituyen uno de los ejemplos más representativos de la arquitectura vinculada a las órdenes militares. Herederos del castillo, estos inmuebles característicos del período bajomedieval actuaron como las sedes de las encomiendas, las células básicas de administración señorial de las milicias. Como tales, debían servir como residencia a los comendadores, lo que les confirió cierto carácter palatino y una notable entidad en el entramado urbano de las villas. Pero al mismo tiempo actuaban como lugar de percepción y almacenamiento de rentas, para lo que necesitaron de espacios como bodegas o graneros. Finalmente, también aglutinaban toda una serie de dependencias para el servicio de la casa.En este estudio ponemos el foco sobre un conjunto de casas de la encomienda vinculadas a la Orden Militar de Santiago y situadas en sus señoríos de La Mancha. A partir de la información extraída de los Libros de Visita, en conjunción con otro tipo de fuentes y con una metodología interdisciplinar, analizaremos la evolución de estos inmuebles entre la segunda mitad del siglo XV y las primeras décadas del siglo XVI. Seguidamente, trataremos sobre diversas cuestiones comunes a estos singulares edificios como su localización, disposición o los distintos espacios que respondían a las funciones residencial, económica y de servicios. Palabras clave: Órdenes Militares, Orden de Santiago, Cultura Material, Arquitectura, EncomiendasTopónimos: La ManchaPeríodo: Baja Edad Media ABSTRACTThe so-called commandery houses are one of the most representative examples of architecture associated with military orders. Heirs to the castle, these buildings, characteristic of the late medieval period, served as the headquarters of the commanderies, the basic units of seigneurial administration of the militias. As such, they functioned as the residence of the commanders, which lent them a certain palatial character and considerable prominence within the urban structure of the villages. At the same time, they also served as a place for collecting and storing revenue, for which they needed spaces such as cellars or granaries. Finally, they also included a whole series of outbuildings to serve the house.This study focuses on a group of commandery houses linked to the Military Order of Santiago and located in their seigneuries in La Mancha. On the basis of information obtained from the Libros de Visita in conjunction with other types of sources, and employing an interdisciplinary methodology, there is analysis of the evolution of these buildings between the second half of the 15th and the early decades of the 16th century. This is followed by discussion of various issues common to these singular buildings, such as their location, layout and the different spaces that fulfilled residential, economic and service function. Keywords: Military Orders, Order of Santiago, Material Culture, Architecture, CommanderiesPlace names: La ManchaPeriod: Late Middle Ages REFERENCIASArcos Franco, J. M. (2002), “Tipologías de la arquitectura civil de la Orden de Alcántara: la casa de encomienda en el partido de la Serena”, Norba: revista de arte, 22, pp. 101-118.Ayala Martínez, C. (2003), Las órdenes militares hispánicas en la Edad Media (siglos XII-XV), Madrid, La Torre Literaria.Carrero Pérez, L. M. (1990), El castillo y la villa de Fuentidueña de Tajo (Crónica de un asentamiento Santiaguista), Madrid, Comunidad de Madrid.Eiroa Rodríguez, J. A. (2005), “La interpretación arqueológica de los Libros de Visita de la Orden de Santiago: el complejo fortificado medieval de Socovos (Albacete)”, II Congreso de Castellología Ibérica Alcalá de la Selva (Teruel), 8-11 noviembre 2001, Asociación Española de Amigos de los Castillos, pp. 543-562.Ferreras Fincias, F. J. (1996), “Castrotorafe (Zamora): conservación y ruina de la fortaleza santiaguista, 1494-1736”, Actas del I Congreso Nacional de Historia de la Construcción, Madrid, Ministerio de Fomento, pp. 203-209.García Carpintero López de Mota, J. (2020), “La historia de la construcción a través de los Libros de Visita de la Orden de Santiago”, La construcción fortificada medieval: historia, conservación y gestión: Jornadas Técnicas sobre Historia de la Construcción Medieval Montiel (Ciudad Real), 20-22 de septiembre de 2017, Madrid, Instituto Juan de Herrera, Universidad de Castilla-La Mancha, Fundación Cárdenas, Fundación Castillo de la Estrella de Montiel, pp. 113-132.García Carpintero López de Mota, J. y Gallego Valle, D. (2018), “La arqueología de órdenes militares en Castilla-La Mancha y la reconstrucción virtual de su patrimonio”, Virtual Archaeology Review, 9.19, pp. 76-88.Garrido Santiago, M. (1989), Arquitectura Militar de la Orden de Santiago en Extremadura, Mérida, Junta de Extremadura.Gómez de Terreros Guardiola, M. V. (ed.) (2011), La arquitectura de las órdenes militares en Andalucía: conservación y restauración, Huelva, Universidad de Huelva.Gómez de Terreros Guardiola, M. V. y Gómez de Terreros Guardiola M. G. (2010), “Casas tercias o de bastimento de la Orden de Santiago en Andalucía: La Almona de Guadalcanal (Sevilla)”, Temas de estética y arte, 24, pp. 113-142.Josserand, P. (2004), Église et pouvoir dans la Péninsule ibérique. Les ordres militaires dans le royaume de Castille (1252-1369), Madrid, Casa de Velázquez.Matellanes Merchán, J. V. (2000), “Estructuración orgánica del espacio santiaguista en la submeseta sur (1170-1350)”, Las órdenes militares en la Península Ibérica, Cuenca, Ediciones de la Universidad de Castilla-La Mancha, 1, pp. 723-738.Molero García, J. (2006), “Castillos-casas de la Encomienda en el Campo de Calatrava”, Actas del III Congreso de Castellología Ibérica, Madrid, Asociación Española de Amigos de los Castillos; Diputación Provincial de Guadalajara, pp. 657-680.— (2014), “El binomio castillo-casa de la encomienda en la administración señorial de la Orden de Calatrava (siglos XII-XV)”, Castelos das Ordens Militares. Encontro Internacional, Lisboa, Direção-Geral do Património Cultural, 1, pp. 229-250.Molero García J. y García Carpintero López de Mota, J. (2020), “La reconstrucción del castillo y casa de la encomienda de la Orden de Calatrava en Daimiel a finales de la Edad Media”, V Jornadas de Historia de Daimiel, Museo Comarcal de Daimiel, pp. 15-30.Moya García, C. y Fernández-Pacheco Sánchez-Gil, C. (2016), “Las casas de Bastimento y Encomienda del Campo de Montiel en los siglos XV y XVI”, II Congreso Nacional Ciudad Real y su provincia, Ciudad Real: Instituto de Estudios Manchegos, pp. 158-175.Navareño Mateos, A. (1987), Arquitectura Militar de la Orden de Alcántara en Extremadura, Mérida, Dirección General de Patrimonio Cultural, 1987.Oliveira, L. F. (2014), “Dos castelos às Ordens Militares: Os espaços da vida religiosa e comunitária”, Castelos das Ordens Militares. Encontro Internacional, Lisboa, Direção-Geral do Património Cultural, 2, pp. 389-407.Ortiz Rico, I. M. (1996), “Los libros de visitas de órdenes militares como fuentes historiográficas. La Orden de Santiago en Castilla-La Mancha”, La investigación y las fuentes documentales de los archivos: I y II Jornadas sobre Investigación en Archivos, Guadalajara: Asociación de Amigos del Archivo Histórico Provincial de Castilla La Mancha, 2, pp. 1101-1112.Palacios Ontalva, S. (2000), “Los libros de visita de la Orden de Santiago: fuente para una Historia de la arquitectura militar”, Actas del Tercer Congreso Nacional de Historia de la construcción: Sevilla, 26 a 28 de octubre de 2000, Instituto Juan de Herrera, 2, pp. 751-760.— (2006), Fortalezas santiaguistas: la orden en la ribera del Tajo (siglos XII-XVI), Cuenca, J. S. Palacios.Pérez Monzón, O. (2010), “La arquitectura religiosa y civil de las órdenes militares en la Castilla Medieval”, Del silencio de la cartuja al fragor de la orden militar, Aguilar de Campoo, Fundación Santa María la Real, pp. 201-234.Rodríguez-Picavea Matilla, E. (2007), “El proceso de aristocratización de la Orden de Calatrava (siglos XIII-XV)”, Hispania sacra, 59.120, pp. 493-535.— (2008), Los monjes guerreros en los reinos hispánicos: Las órdenes militares en la Península Ibérica durante la Edad Media, Madrid, La Esfera de los Libros.Rodríguez-Picavea Matilla, E. y Pérez Monzón, O. (2006), “Mentalidad, cultura y representación del poder de la nobleza Calatrava en la Castilla del Siglo XV”, Hispania: Revista española de historia, 66.222, pp. 199-242.Ruiz Mateos, A. (1985), Arquitectura civil de la Orden de Santiago en Extremadura: la casa de la Encomienda: su proyección en Hispanoamérica, Badajoz, Diputación Provincial de Badajoz.— (1988), “Un ejemplo de arquitectura santiaguista en Castilla: Alhambra y La Solana”, I Congreso de Historia de Castilla-La Mancha, Junta de Comunidades de Castilla-La Mancha, 5, pp. 261-271.— (1990), “Arquitectura civil de la Orden de Santiago en la provincia de Madrid”, El Madrid medieval: sus tierras y sus hombres, Madrid, Asociación Cultural Al-Mudayna, pp. 213-237.— (2003), “La Casa Tercia de Consuegra”, Actas del Primer Simposio Histórico de la Orden de San Juan en España, Toledo, Diputación Provincial de Toledo, pp. 387-390.
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Marques, Mário C. "Five years in Sports Sciences." Motricidade 12, no. 4 (May 3, 2017): 1. http://dx.doi.org/10.6063/motricidade.11883.

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I was glad to read today, on December 16th of 2016, that the Sports Sciences Department of the University of Beira Interior (UBI) appears in an outstanding place in the Shanghai Ranking's Global Ranking for Sport Science Schools and Departments. We could indicate that this small department is actually in the top 80 of the sports schools of the world, which is something that should be highlighted.In 2007, the head of the Department of Sports Sciences at UBI and currently president of the Faculty of Social Sciences and Humanities (UBI) called for the development of internal research in the field of sports sciences, not only on the national panorama, but above all on an international level. This wish was strongly based on a complete lack of research in the department, in which until 2007 there was no single publication with indexing, much less with ISI or Scopus or any relevant project or book recognized by the scientific community. It was a herculean and risky challenge, but today we think that it has been more than achieved. At that time the cornerstones for the development and sustainability of the investigation in the department were based on three key-vectors: selection and recruitment of more teachers with experience and research potential; acquisition of equipment, laboratory software and reformulation of the advanced training proposal (reformulation of the Master course and Doctoral study plan).As a complement to the quality of the existing teachers, external professors were hired. The rectory was present in the creation of an R & D unit in consortium with UTAD, UMa and 5 Polytechnics Schools, under the designation of CIDESD with headquarters in UTAD and a center in UBI. As far as the equipment is concerned, the department has acquired high quality material and diversification through internal funds (Department / Faculty) and also with the individual scientific production funds of the research unit CIDESD/UBI. Between 2008 and 2013, these acquisitions encouraged the exponential writing of articles, the development of projects and the conclusion with high quality of masters and doctoral theses. This was only possible due to the high scientific production carried out, which was strictly thought in favor of our students and the Department of Sports Sciences. The acquisition of research material had not only a typical laboratory concern but also an ecological one, that is, most of the acquired equipment was portable, allowing us to carry out several studies outside the Department, going to the places where the individuals that composed the samples were. Finally, since 2009, there has been a strong internationalization policy for the Masters course, especially with the arrival of highly qualified teachers from worldwide, which has allowed the promotion of research policies and a significant increase in quantity, but above all in the quality of the published articles. In this research policies project - it was sought to present a line of concrete study that addressed some pertinent problems to which the international literature has not yet shown any final conclusions.In the last two decades, scientific research in Sport Sciences has grown exponentially in the department. Unfortunately, most of the resources, such as critical mass or equipment (laboratories) are still scarce in our country, although some universities have taken important steps in order to reverse this situation. Thus, UBI could not remain unaware of this "revolution". We had a young department with quality and capacity to perform quality research. To this purpose, it was urgent to develop protocols and / or connect with universities and researchers of international reference, which would transport us to higher levels of research. Since our field of study was so vast and complex, we had to focus on the following points of interest: A) preparing research projects in the field of sports performance; B) drawing short - term strategies for the construction of a root laboratory that would be able to transport us to the "front line"; C) helping integrate our young doctoral students (teachers) into the "world" of research. Considering the opening of the European university space resulting from the Maastricht Treaty, one of the pillars of the internationalization policy has been the focus on European cooperation activities. Numerous protocols were developed with the University of Pitesti, the Public University of Navarra, the Pablo de Olavide University, and the University of Barry State. These contacts were a result from the social and academic networks established with members of these universities.After hiring the new professors whose doctorates were concluded between 2007 and 2009, the mission of equating a course development strategy and improving its attractiveness was crucial. Given the fact that, at the level of the 2nd cycle offer, the demand was low, it was therefore necessary to attract students from other schools of the country. It was obvious that this would only be possible with the use of previous personal knowledge networks and the support of the Center for Research in Sport, Health and Human Development (CIDESD), a research center where UBI is an integrated member.The 2nd cycle of studies of the Master’s Degree in Sports Sciences was created in the 1st year of the Bologna Process adjustments of the courses given at the UBI. At that time, the Department's doctoral faculty was exiguous and very little diversified. For this reason, the Curricular Units proposed for the curriculum were based in the possibility of hiring other human resources. National and international teachers of recognized pedagogical and scientific value were recruited, with special emphasis on the prestigious curriculum of publications in the area of Sports Sciences. Provisional calls were launched and readily accepted on the condition that they taught concentrated classes, similar to what already being done in many foreign universities and also in some national ones.In the main scientific area of the cycle of studies (Sports Sciences) all the teachers integrated in the service distribution are effective members or collaborators of CIDESD. CIDESD is a research unit accredited by FCT (since the 12th of December of 2009) with the initial classification of GOOD and nowadays of VERY GOOD. Also worth mentioning is the collaboration with the Center for Excellence in Studies, Research and Sports Medicine and the Navarro Institute of Sport, Government of Navarra.The approach to scientific research has also been a point of honor of this department, carried out in a sustainable way, mainly through teaching / learning methodologies specific to each curricular unit (CU), mostly through research seminars. This approach begins in the 1st semester of the 1st year, encouraging the student to the good practices of scientific research, particularly in his area of interest. However, the ultimate milestone of his effective integration into the scientific research can only be consolidated if the student is qualified to prepare or eventually to submit a scientific paper in an ISI-indexed journal provided by the Seminar CUs. Finally, we must highlight the involvement in the implementation of technical-scientific events allowing contact with basic and applied science, of which the Research Seminar of CIDESD and CIDESD Junior is the best example. It should also be said that the scientific activity produced by teachers and students is strongly implemented in the methodological orientation of teaching / research and in the provision of services and advice to the academic community and to civil society in general. Regarding to the research-community relationship, the type of research developed is powerfully applied by integrating and transmitting immediately the produced knowledge to the stakeholders (e.g., clubs, municipalities, gymnasiums and swimming pools). Therefore, this applied research par excellence in the physical activity context of exercise and sport in its most diverse fields of application brings economic benefits to the partners of the course.It should be mentioned that in the last two years there has been a significant increase in the publication of scientific articles in journals indexed to the ISI Web of Knowledge, a true and successful Case Study at the national level. Also note that part of the articles published during the last years were launched in magazines with an impact factor higher than 1.0. Also noteworthy are the publications in book or chapter format of books with scientific review. There are also dozens of abstracts published in national and international conferences (with scientific review). In fact, we consider this type of publication as an excellent measure of dissemination of the work produced by senior researchers and 3rd cycle students. In some cases, even for the 2nd cycle students.We succeeded in spreading knowledge through the range of articles available in worldwide renowned journals, i.e.: Original Research, Brief Reviews, Reviews, Methodological Reports, Research Notes, and Letters to Editor. In terms of impact, if we consider that the UBI Teaching Activity Regulation defined 0.4 as the impact reference median to the Sports Sciences, the publications in question are clearly above this level with an average close to 1.0 impact, a high value for the sports sciences. It should be emphasized that more than 50 percent of the articles refer to 1.8-1.9 impact journals, and that we have had a review - recently published in the highest impact factor journal of the area (Sports Medicine: 5.2).With this philosophy of publications, it was intended to carry out a large number of scientific studies that addressed a panoply of issues considered more relevant like the ones related to the effectiveness of Strength Training and Physical Condition on performance improvements in High Performance Sports, Public School and Exercise /Health. Consequently, this line of thought / intervention, in addition to discussing in a pragmatic and scientific way different topics related to the methodology of Strength Training and Physical Condition, tried to do a parallelism between theory and practice, that is, most of the abovementioned articles are of a highly practical nature in order to daily assist coaches, physical education teachers and health / sport professionals. We also analyzed the Simultaneous Training of Strength and Aerobic thematic, as well as the problematic of the Detraining. These are two hot topics as both are far from consensus in the scientific community.Since the origin of the Department (1994), the first four experimental studies conducted in our laboratories have been published in two of the best sports training magazines. In the five-year period in question, the level of scientific production was exponential with more 100 international ISI articles published or accepted for publication in journals indexed to international reference databases by the end of 2013. The participation in conferences such as the American College of Sports Medicine (ACSM) and the European College of Sport Science (ECSS) as well as the positive evaluation of 2 R & D projects by international panels (with emphasis on the project approved in call 2010) seem to indicate that the scientific community recognizes the efforts done to contribute for a better understanding of the sportive phenomenon, both in theoretical as in empirical terms. We should also note the level of involvement in the scientific community with referee reports for international reference journals and with several coauthors affiliated to different universities (national and international).The research networks developed in 5 years and the funding of the international R & D Projects planned for the coming years, will not only allow the renewal of equipment and software, but also bring the possibility of hiring highly qualified human resources, guaranteeing important conditions to continue in the line of international merit investigation. It is also an important incentive to further progress in the worldwide scientific production, recognized by the scientific community as well as helping UBI to consolidate its role in the country and in the world, in this scientific area. However, there are still some teachers who feel some lack of motivation to publish regularly.
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Troncoso Reigada, Antonio. "La bandera y la capitalidad // The flag and the capital." Revista de Derecho Político 1, no. 103 (December 16, 2018): 29. http://dx.doi.org/10.5944/rdp.103.2018.23197.

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Resumen:En este artículo se abordan dos elementos que han estado presentes en la conformación de nuestra identidad nacional: la bandera y la capitalidad.En primer lugar, se analiza el papel de los símbolos en la relación entre socialización e individualidad, entre lo racional y lo emocional, lo mítico o lo intuitivo, algo esencial en los Estados democráticos para alejarnos de los totalitarismos, teniendo en cuenta la capacidad de los nacionalismos, los fascismos y los populismos de manipular en ese espacio. En segundo lugar se estudia la bandera como símbolo del Estado tanto desde una perspectiva de derecho comparado y de historia constitucional como teniendo en cuenta su actual regulación constitucional. Igualmente se analiza la exhibición de la bandera como elemento de integración voluntaria y consciente de los ciudadanos en la comunidad y como defensa de la unidad de España y de reivindicación de la CE y de las libertades de todos, también de los ciudadanos catalanes, ante el problema de libertad que ha supuesto la declaración unilateral de independencia, como ha ocurrido recientemente con la presencia masiva de la bandera española en los balcones. También se estudia la constitucionalización de las banderas autonómicas y el establecimiento de una obligación de utilización conjunta de éstas junto a la bandera de España, símbolo de una España constitucional y democrática, que reconoce un alto nivel de autogobierno a sus nacionalidades y regiones. Asimismo se abordan los conflictos por el uso de las banderas —la llamada guerra de las banderas— , analizándose las Sentencias más recientes, que ponen de manifestó la crisis en el sentido de pertenencia a España derivada de nuestra diversidad territorial. Así, se analiza el incumplimiento de la obligación de utilizar la bandera de España en edificios públicos y actos oficiales. También se aborda la bandera como bien jurídico merecedor deprotección penal y el cuestionamiento del delito de ultrajes a la bandera, un límite a la libertad de expresión querido por el legislador, lo que proscribe una conducta expresiva como la quema de la bandera. Igualmente se analiza la doctrina de la JEC sobre la prohibición de la exhibición de banderas esteladas en edificios públicos en aplicación del principio de neutralidad política de la Administración Pública, sin perjuicio de su uso legítimo por entidades privadas en virtud de la libertad de expresión, así como la prohibición de la utilización de la bandera de España como símbolo oficial de un partido político, que traslada a la sociedad la idea de que la bandera es patrimonio de una parte de la población. En tercer lugar, se analiza el concepto constitucional de capitalidad. La capitalidad no es en puridad un símbolo aunque tiene un importante componente simbólico. Atribuir a una ciudad la capitalidad significa convertirla en cabeza política de un territorio y concederle una posición central dentro del Estado. Igualmente la capitalidad hace referencia a un lugar fijo donde se ejerce la soberanía y, por tanto, sede de los órganos de poder del Estado. Este estudio aboga por una interpretación flexible que no vacíe de contenido constitucional la noción de capitalidad y que al mismo tiempo permita un margen de maniobra al legislador en el marco de un Estado fuertemente descentralizado. Así, los órganos de poder del Estado y los órganos constitucionales deben tener su sede en Madrid, si bien la existencia de alguna excepción no vulneraría el precepto constitucional. Finalmente el trabajo aborda cuáles son las materias objeto del régimen de capitalidad y las otras singularidades de Madrid.Summary:I. The symbols. II. The flag. 1. The flag as a symbol of the State and as an element of integration of citizens in the community and the constitutionalization of regional flags 2. The conflicts over the use of the flags: the flags war. a) The obligation to use the Spanish flag in public buildings and official acts and their non-compliance. b) The criminal protection of the flag and its questioning as a limit to freedom of expression. c) The prohibition of the display of partisan flags in public buildings and the partisan use of the Spanish flag. d) Conflicts over the use of the flags of the Autonomous Communities. III. The capital. 1. The constitutional concept of the capital: the seat of the general institutions of the State. 2. Competences regulated by the Capital Law. The singularity of Madrid.Abstract:This article deals with two elements that have been present in the shaping of our national identity: the flag and the capital. Firstly, it analyzes the role of symbols in the relationship between socialization and individuality, between the rational and the emotional, the myth or the intuitive, something essential in democratic states to steer ourselves away from totalitarianism, taking into account the capacity of the nationalisms, fascism and populisms to manipulate in that space. Secondly, it studies the flag as a symbol of the State, both from the point of view of Comparative Law and constitutional history, as well as considering its current constitutional regulation. Thus, the display of the flag is also analyzed as an element of voluntary and conscious integration of citizens in the community, and as a defense of Spain`s unity and the Constitution and the freedoms of allcitizens, including Catalan citizens, in response to the problem of freedom that the unilateral declaration of independence of Catalonia has implied, as we have seen recently with a massive presence of the Spanish flag on the balconies. The article also studies the constitutionalization of the regional flags and the establishment of an obligation of the joint use of these together with the flag of Spain, which is a symbol of a constitutional and democratic Spain, that recognizes a high level of self-government towards its nationalities and regions. Furthermore, it also studies the conflicts that arise from the use of flags —the so-called «war of the flags»— , analyzing the most recent cases, which highlights the crisis in the sense of belonging to Spain derived from our territorial diversity. In the same manner, it also examines the breach of the obligation to use the Spanish flag in public buildings and official acts. Moreover the flag is also analysed as a constitutional value worthy of criminal protection; this also study the crime for flag desecration as a limit on the freedom of speech, which outlaws the burning of the flag as expressive conduct. It also discusses the JEC doctrine on the prohibition of the display of the «estelladas» in public buildings as a result of the application of the principle of political neutrality of the Public Administration, even though they can be used legitimately under the freedom of expression by private entities. Furthermore, the article also examines the prohibition of the use of the flag of Spain as an official symbol of a political party, which consequently conveys to society the idea that the flag belongs to a part of the population rather than to the entire country. Thirdly, the study analyzes the constitutional concept of the capital. The capital is not strictly speaking a symbol, but it has an important symbolic meaning. To attribute to a city the capitality means to turn it into the political head of a territory and to grant it a central position within the State. Likewise, the capital status refers to a fixed place where sovereignty is exercised and, thus, is the seat of the general institutions of the State. This study pleads for a flexible interpretation that does not empty the constitutional content of the notion of capital and at the same time allows a margin of freedom to the legislator in the framework of a strongly decentralized State. Therefore, the organs of state power and constitutional bodies must have their headquarters in Madrid, although the existence of any exception would not violate the constitutional provision. Finally, the paper addresses which the competences regulated by the Capital Law are as well as other singularities of Madrid.
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"Workshop on Progestin Action and Progesterone Receptors in Breast Cancer April 6-7, 1989 Holiday Inn Georgetown, Washington D. C." Endocrinology 124, no. 2 (February 1989): 660. http://dx.doi.org/10.1210/endo-124-2-660.

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Lugo [1], Hna Elena. "Bioética: Los Sistemas De Salud Y Sus Responsabilidades Solidarias Ante Una Catástrofe Natural. Caso Puntual: Huracán Marí­a (Puerto Rico, 20 De Septiembre, 2017)." Xihmai 15, no. 29 (October 16, 2020). http://dx.doi.org/10.37646/xihmai.v15i29.334.

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ResumenSe presentan los objetivos fundamentales de una institución hospitalaria y los desafí­os que esta enfrenta ante un desastre natural. Se intenta responder a los desafí­os desde la óptica de una bioética centrada en la dignidad inherente a cada persona y en apertura al bien común. Finalmente, se ilustra y evalúa el intento de cumplir con las responsabilidades bioéticas de parte de una institución hospitalaria en Puerto Rico antes, durante y después del Huracán Marí­a (20 de septiembre de 2017).Palabras clave: desastre natural, triage, beneficencia, justicia, prevención, prudencia, bioética personalista. AbstractThe main goals of a healthcare institution are outlined as well as the challenges it faces in view of a natural disaster. A response from the perspective of person centered bioethics, based on the intrinsic dignity of the person and open to the common good, is proposed. Finally a reference to a hospital in Puerto Rico that faced tropical hurricane Maria serves to illustrate the efforts to comply with the bioethical responsibilities before, during and after the adverse event.Keywords: natural disaster, triage, beneficence, justice, prevention, prudence, personalistic bioethics. [1] Ph. D (Filosofí­a) Georgetown University, Washington, D. C., U. S. A. Miembro de la Comisión de Bioética Padre José Kentenich. Miembro del Instituto Secular de Schoenstatt Hermanas de Marí­a.
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Vázquez Hoys, Ana María. "Petra : la ciudad rosa del desierto (Historia y urbanismo)." Espacio Tiempo y Forma. Serie II, Historia Antigua, no. 10 (January 1, 1997). http://dx.doi.org/10.5944/etfii.10.1997.4312.

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Petra, la ciudad rosa del desierto jordano, es conocida, sobre todo, por el bello color de sus piedras. A menudo se olvida su importancia histórica, como sede de los edomitas, enemigos de Israel en el Antiguo Testamento y más tarde de los nabateos, pueblo nómada árabe de excelentes comerciantes, intermediarios entre el Próximo Oriente y Occidente. Sólo el pueblo romano, en el siglo ii d. C. cambió la suerte de Petra, que permaneció olvidada durante diez y siete siglos. En los últimos tiempos, el esfuerzo de los viajeros y arqueólogos ha permitido conocer quienes eran sus habitantes, donde vivían, qué pensaban y cuales eran sus dioses.Petra, the «pink town» of the Jordán desert, is mainly known for its beautifully colored stones. Often, we may forget about its historical significance as headquarters of the edomites —Israel's enemies in the Oíd Testament— and, aftenvards, royal city of the nabateans, Arabian nomads mainly known for their comercial importance as intermediarles between the near East and Occident. It was only on the II century after J.C. that the Román people changed Petra's chance, letting the city remain «forgotten» during almost seventeen centuries. On the last two centuries, Petra was awakened of its lethargic sieep by unfatigable travelers and archaeclogists. Thanks to them, we have got to know about Petra's inhabitants, their thoughts, their ways of thinking, how they were living, and the ñame of their gods.
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Flutur, Alexandru. "Clădirile comandamentului din castrul de legiune traianic de la Berzobis / Headquarters Buildings in the Trajanic Legionary Fortress at Berzobis." Analele Banatului XIX 2011, January 1, 2011. http://dx.doi.org/10.55201/zciv5255.

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The fortress of legio IIII Flavia Felix at Berzobis (Berzovia, Caraş–Severin county) was most likely founded betweenthe Dacian wars and functioned until the start of Hadrian`s reign, when the legion left Dacia (see note 2).Archaeological excavations carried out in principia over 1998–2005 identified three construction periods: two intimber and one in stone. We may estimate that the first timber building included as follows: basilica 42.50 × 8.50 m– and armamentaria rooms (NW corner) – 3 × 4 m. In phase II, basilica measured approx. 46.30 × 8 m and the roomexcavated in armamentaria, 2.50 × 4 m. Traces of two rooms: 3.60 × 4 m, 2.70 × 4 m respectively were found onthe cross-hall south side. The basilica front is suggested by holes of strong posts, about 40 cm thick, inserted at1.30 m depth from the ancient humus. No wall prints (foundation ditches) were identified in-between these posts;most likely, there was a board wall, as in Inchtuthil case. It seems these phase I posts were preserved for the timberbuilding II. At 60–100 cm distance from the posts line, a ca. 20 cm deep, 50–60 cm wide trench was identified,serving presumably as drainage.The layout of the stone headquarters building overlay almost entirely the foundation trenches, the stone beingremoved in the XVIII century when the Habsburg administration displaced the old village to its current location.The following areas were distinguished: aedes principiorum + aerarium (10.30 × 10 m); rooms A = 6.15 × 10.30 m,B = 5.90 × 10.30 m, hall C = 2.15 × 10.30 m, D = 6.80 × 10.30 m (D1 = 6.80 × 4.25 m, D2 = 6.80 × 5.75 m).Basilica measures 51 × 14 m between the foundation trenches. Still, the building width, given by the rear range ofrooms, is 63 m. An outer porticus probably existed, since a stone base bound with cement (70 × 90 cm) that mighthave belonged to a pilaster was found on its south side, in connection with a reduction of basilica sizes. Additionally,the measurements of the following sectors may be proposed: inner courtyard – 27 × 49 m –, armamentaria galleries– 5.30 m wide (the first room on the north side would be 5.30 × 4 m) – and the internal portico with depth of4.60 m. k e overall sizes of the stone HQ is presumed to be of 63 × 90 m.The research of the legionary fortress at Berzobis provides a very clear image of the military architecture underTrajan. The headquarters buildings there are representative for the start of the 2nd century AD, however they arewithin the framework of implementing the layout of this building type (see Diaconescu 2008) in Principate fortresses.
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"Characterization of cocaine-induced potentiation of heart rate increases produced by electrical stimulation of cardiac sympathetic nerves , M.K. Jain, A. Lewis, R.A. Gillis, Ph.D. Departments of Pharmacology and Medicine (Cardiology) Georgetown Univ., School of Med., Washington, D. C., 20007." Journal of Molecular and Cellular Cardiology 21 (April 1989): S197. http://dx.doi.org/10.1016/0022-2828(89)92089-0.

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Green, Lelia. "Reviewing the Scourge of Self-Plagiarism." M/C Journal 8, no. 5 (October 1, 2005). http://dx.doi.org/10.5204/mcj.2426.

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The task of the unpaid reviewer in academic publishing has always been a taxing one. Although the notion is one of blind peer review, the selection of reviewers is far from random. Journals try to balance a prospective reviewer’s expertise with their availability, and with their track record of returning a useful review on time. Ideally, the reviewer should have a specific (reasonably expert) knowledge of the paper’s topic, but should also retain enough in common with the interested, but jargon-averse, academic reader to empathise with non-specialist journal subscribers. Reviewers should be able to judge the quality of the argument, of the writing, and of the contribution of the article to the field. It’s a tough ask, and now there is a further layer of concern: will the reviewer – having satisfied all the foregoing – be able to spot ‘self-plagiarism’? Self-plagiarism is a relatively new evil – at least, few people in the author’s circle appear aware of it. Googling the term results in some 8,000 hits (whereas plagiarism scores 3,150,000). At first blush, the usual interpretation of plagiarism – the pinching of some one else’s intellectual property without acknowledgement – seems to rule out the possibility of self-plagiarism. Surely, if the ideas and words are your own, a little judicious re-purposing is all grist to the mill? Indeed, most of the anti-plagiarism sites, for example: What is Plagiarism? (Georgetown University), don’t include the term at all. Instead, the site offers examples of five types of plagiarism, most of them familiar to seasoned markers of student work, which are sufficiently rigorous to include “the ‘apt phrase’”, defined as the lifting of a part sentence. Their comment on the example they give for ‘apt phrase’ plagiarism involves four words in an original paragraph: “This passage is almost entirely original, but the phrase ‘dissolved into a conglomeration’ is taken directly from Arendt [the example used for illustration]. Even though this is a short phrase, it must be footnoted. Only phrases that have truly become part of general usage can be used without citation.” Georgetown University, then, sees plagiarism predominantly as a matter of correct attribution of authorship. Most journals have a requirement that no work offered to them for review should previously have been published, and that concurrent submissions to multiple journals are not permitted. The issue here, it seems, is that a journal’s reputation is built upon the originality and usefulness of its contents. Journal editors like to feel that they are ‘advancing the field’ with each edition and they are building a readership that can count upon learning something new (or, at least, provocative) for each hour invested in consuming their journal. Where papers have appeared in other forms (based, for example, on a presentation recorded in conference proceedings) this may be acceptable to the journal, provided it is acknowledged, and experienced editors will often check that papers developed from conference presentations have not previously been posted on the web. If two journals in ignorance each accept and publish the same paper at the same time then that reflects very poorly on the academic who failed to deal honestly with the editors. The issue here is one of resources – the printed page, in particular, is expensive – and of the reviewers’ time. Given the unpaid and voluntary labour of reviewers, and the amount of time and energy that goes into deciding which papers to accept or reject, journals think very poorly of someone who ‘withdraws’ a paper after acceptance on the grounds that s/he has got a better offer/earlier publication elsewhere. Most journals would not welcome future papers from that author. If self-plagiarism were a simple matter of passing off published paper A as published paper B (say, by changing the title and offering it elsewhere), then it would be seen to be deceitful and perpetrators would receive little respect from their peers. But these extreme cases are not (generally) the kind of self-plagiarism against which authors are warned. So what is the authorship problem widely referred to as ‘self-plagiarism’? The SPlaT website (SPlaT) is happy to explain: Self-plagiarism occurs when an author reuses portions of their previous writings in subsequent research papers. Occasionally, the derived paper is simply a re-titled and reformatted version of the original one, but more frequently it is assembled from bits and pieces of previous work. … It is our belief that self-plagiarism is detrimental to scientific progress and bad for our academic community. Flooding conferences and journals with near-identical papers makes searching for information relevant to a particular topic harder than it has to be. It also rewards those authors who are able to break down their results into overlapping least-publishable-units over those who publish each result only once. Finally, whenever a self-plagiarised paper is allowed to be published, another, more deserving paper, is not. Among the more chilling examples of self-plagiarism identified by the developers of SPlaT is “cryptomnesia (reusing one’s own previously published text while unaware of its existence)” (SPlaT). The avoidance of cryptomnesia is one reason why authors are encouraged to use the SPlaT tool. Academic and journal reviewers are also regarded as potential users, and the software is designed to work in three modes – ‘reviewer’s workbench’, ‘author’ and ‘web spider’. It is indeed a crypromnesiac’s concern that the ‘apt phrase’ that came so creatively to the author in an earlier paper might appear again, unwittingly, in the guise of an original composition. However, the injunction to use SPlaT as a ‘reviewer’s workbench’ (where “SPlaT compares a paper under review to a record of the author’s previously published articles extracted from their web site and online article repositories” [SPlaT]) begs the question as to how a review may remain blind – in the sense of not identifying the author of the work to be reviewed – if the ‘workbench’ and/or ‘web spider’ modes of SPlaT are pressed into service. Might it be the case, notwithstanding the foregoing, that the problem of self-plagiarism is as authentic as ‘social anxiety disorder’ (SAD), incidences of which multiplied dramatically once a drug, Paxil, had been shown effective in treating it? In a Washington Post article (Vedantam), the journalist-author comments: “according to a marketing newsletter, media accounts of social anxiety rose from just 50 stories in 1997 and 1998 to more than 1 billion references in 1999 alone” and goes on to say, “The education and advertising campaigns have raised concerns that pharmaceutical companies, traditionally in the business of finding new drugs for existing disorders, are increasingly in the business of seeking new disorders for existing drugs”. Prior to the publicity about SAD, Paxil was an anti-depressant with sales languishing way behind Prozac and Zoloft. The identification (and treatment) of social anxiety disorder did wonders for its marketing. Could it be that self-plagiarism has only come into existence as a major concern for academia now that there is a tool for its detection? Social anxiety disorder may be an authentic scourge – as may self-plagiarism – and the fact that it has been publicised in concert with its cure (or detection) does not mean that the remedy serves no useful purpose. On the contrary, once a population of professionals is attuned to a new way of viewing symptoms and practices then valuable advances may result. However, such advances are only possible when the community concerned has had a chance to consider the matter and discuss the ramifications. At the present, we run the risk of allowing the designers of anti-self-plagiarism software to be the judges and the jury of this new way to commit academic crime. One way to avoid charges of self-plagiarism is self-citation. Leaving aside crytomnesia, it is perfectly possible to cite the already-published reference when an author is aware of reusing a previously-published phrase or idea. Unfortunately, this remedy is also generally frowned upon in many academic circles. The practice undermines the principle of blind peer review – since the identity of the author soon becomes clear in such repeated instances – while readers may become irritated, suspecting that self-citation is a clumsy ruse to improve the citation index ratings of the originally-published article. The issue is of concern to more than journal editors: it also relates to text- and reference-book editors and publishers. One ‘for instance’ was discussed a year ago by the World Association of Medical Editors (WAME) who conducted a hypothetical on “self-plagiarism of textbook chapters” and threw the discussion open to the members’ list. The initial self-plagiarism case-study situation was complicated by the supposition that Author A (of Book A) had self-plagiarised a previously-published chapter which had been jointly authored by Author A and Author B (Book B). Notwithstanding this complication, the WAME Ethics Committee addressed themselves to four questions: Is [Does] reuse of a person’s writings in another textbook, but authored by the same person, meet the definition of plagiarism? If so, what degree of identical components needs to be present for this definition to be met? Is it appropriate for authors to write for different textbooks in the same field? If so, can they write on the same topic? If not, what are the potential infringements on the author’s rights to pursue their career/income? Should the editors of these textbooks agree to exclude authors that write for one another’s textbooks? Or is that unfair restraint of trade? For example, if all four textbooks were to agree to limit or completely avoid any overlap among authors, it could effectively deny entry of another textbook into that market. For book A, the author had a co-author. Since this shared work was used for book B, what is the author’s responsibility to the original co-author? (WAME) These are good questions and they are the kinds of questions we should be asking ourselves about self-plagiarism in our own ‘media and culture’ academic circles. In particular, in the case of textbooks, it is precisely because an author has a standing in the field, and has published on equivalent matters, that editors seek them out and ask them to contribute chapters. Whilst all reputable writers would expect to originate a new chapter according to the specific brief given, it is possible (some might even say likely) that there is an overlap in approach and phraseology. In the case of Books A and B, the overlap stretched the bounds of coincidence in that: “One table is essentially identical, although other tables in the two chapters are different. In addition, there are some passages that contain identical phrases. Most of these appear to have been reworded, but many identifiable words and phrases are identical between the two chapters. There are also areas where the text is completely different” (WAME). However, this hypothetical case is clearly not a situation where the same authorial product was disguised with a new title. Although the whole debate is worth reading, the general consensus of the Ethics Committee was along the lines of (specifically citing one response): I do not see a problem with the author reusing his own material to write a chapter in another textbook (readers of textbooks as opposed to research articles are not expecting originality). The problem is that he should have done this with the concurrence of the two editors and if he signed over his copyright the permission of publisher of textbook A. He should of course also have consulted with his co-author. I think the editors should inform the publishers and his employer of the facts and let them decide what course of action to take. (WAME) The references to re-using the material transparently, and the editors of the textbooks informing the author’s employer, are a constant refrain from a number of contributors to the discussion. Some WAME list discussants offer defences to the charge of self-plagiarism: “the main problem here is not whether the same, or very similar, information can or should be published in more than one place” commented Frank Davidoff, “that sort of thing is done all the time, and can serve important functions. After all, different people read different textbooks, and if it’s important for the information to get out there, why shouldn’t it be made as widely available as possible?” Andrew Herxheimer thought the readers’ perspective had not been given sufficient consideration: “If I were keenly interested in the contents of the chapter in textbook B, I might well wish to know how they had developed, and to look at earlier versions of the material, and to understand why the contents and emphases etc had changed in the way they had.” “The choice of an author for a review monograph or textbook chapter is based always on perusal of the existing reviews and chapters, hoping that the new publication can contain something just as good” argued Rick Nelson, going on to say, “that obligates the author to produce something as similar to his previous publication as possible, and yet different – an impossible task even if such writing were a priority endeavor, which it never is.” (WAME). Irving Hexham, of the Department of Religious Studies, University of Calgary, appears to have been substantially ahead of the game in discussing self-plagiarism in the 1990s. His consideration of the issue is generally more sympathetic than SPlaT’s, or WAME’s. For example, “Self-plagiarism must be distinguished from the recycling of one’s work that to a greater or lesser extent everyone does legitimately”, and: Academics are expected to republish revised versions of their Ph.D. thesis. They also often develop different aspects of an argument in several papers that require the repetition of certain key passages. This is not self-plagiarism if the complete work develops new insights. It is self-plagiarism if the argument, examples, evidence, and conclusion remain the same in two works that only differ in their appearance. (Hexham) It appears that Hexham and SPlaT have very different ideas of what constitutes self-plagiarism. Their different perspectives may be influenced by disciplinary perspectives and wider contexts – journal article or textbook chapter, a cannibalised conference paper or thesis – and by whether or not they have authored software to catch the offending behaviour. At least one Australian academic (not in M/C – Media and Culture) has been asked by their University to justify their publications against a charge of self-plagiarism, however, which is how the topic has become visible and why the need for debate has become urgent. Incidentally, the opening sentence of the opening paragraph to the Introduction of the paper on “Splat: A System for Self-Plagiarism Detection” is almost identical to the Abstract for a paper published two years later as “Self-Plagiarism in Computer Science”, viz: “We are all too aware of the ravages of scientific misconduct in the academic community. Students submit assignments inherited from the [sic] their friends who took the course the year before, on-line paper-mills allow students to browse for term papers on popular topics, and occasionally researchers are found out when falsifying data or publishing the work of others as their own.” (Collburg et al.) “We are all too aware of the ravages of misconduct in the academic community. Students submit assignments inherited from their friends, online papermills provide term papers on popular topics, and occasionally researchers are found falsifying data or publishing the work of others as their own.” (Collburg & Kubourov) Further, in these two papers there is a difference in authorship line-up, as with the WAME example… So what of the reviewers in all this? The Journal of Optical Networking, published by the Optical Society of America, comments that “self-plagiarism causes duplicate papers in the scientific literature, violates copyright agreements, and unduly burdens reviewers, editors, and the scientific publishing enterprise.” (JON). In an environment of blind peer review, where the reviewer does not know the author’s identity and is not in a position to check the body of their published work, the acid test becomes whether (in the reviewer’s opinion) the article advances the debate by offering something new. The submission should also repay the time and effort expended in reading and considering the contents. Other than that, issues of in/valid repurposing, repackaging, recycling and redeveloping arguments and findings require debate and determination at a discipline-wide level, rather than at the coalface of reviewers’ practice. References Collburg, Christian, and Stephen Kobourov. “Self-Plagiarism in Computer Science”, Communications of the ACM, 48.4 (April 2005): 88-94. Collburg, Christian, Stephen Kobourov, Joshua Louie, and Thomas Slattery. “SPlaT: A System for Self-Plagiarism Detection” IADIS International Conference WWW/INTERNET, Algarve, Portugal 5-8 November 2003. 09 Oct 2005 http://splat.cs.arizona.edu/icwi_plag.pdf>. Georgetown University. What Is Plagiarism?, Georgetown University Honor Council, Georgetown University, n.d. 9 Oct. 2005 http://www.georgetown.edu/honor/plagiarism.html>. Hexham, Irving. The Plague of Plagiarism, Department of Religious Studies, University of Calgary, 1999 published on University of Missouri Kansas City, Douglas E Cowan Website. 9 Oct. 2005 http://c.faculty.umkc.edu/cowande/plague.htm#self>. JON. “From the Board of Editors: On Plagiarism”, Journal of Optical Networking, Optical Society of America, 4.3 (2005): 142-3, 9 Oct. 2005 http://www.osa-jon.org/abstract.cfm?URI=JON-4-3-142>. Vedantam, Shankar. “Drug Ads Hyping Anxiety Make Some Uneasy”, Washington Post 16 July (2001): p. A01; also published in PR in the News, Council of Public Relations Firms, 9 Oct. 2005 http://www.prfirms.org/resources/news/drug071601.asp>. SPlaT. SPlaT Website, Computer Science Department, University of Arizona, March 2005. 9 Oct. 2005 http://splat.cs.arizona.edu/>. WAME. “Self-Plagiarism of Textbook Chapters”, World Association of Medical Editors, Ethics Committee and list discussants, October 2004. 9 Oct. 2005 http://www.wame.org/selfplag.htm>. Citation reference for this article MLA Style Green, Lelia. "Reviewing the Scourge of Self-Plagiarism." M/C Journal 8.5 (2005). echo date('d M. Y'); ?> <http://journal.media-culture.org.au/0510/07-green.php>. APA Style Green, L. (Oct. 2005) "Reviewing the Scourge of Self-Plagiarism," M/C Journal, 8(5). Retrieved echo date('d M. Y'); ?> from <http://journal.media-culture.org.au/0510/07-green.php>.
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"Bilingual education & bilingualism." Language Teaching 40, no. 2 (March 7, 2007): 168–76. http://dx.doi.org/10.1017/s0261444807264286.

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07–305Allen, Shanley E. M. (Boston U, USA), Martha Cregg & Diane Pesco, The effect of majority language exposure on minority language skills: The case of Inuktitut. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 578–596.07–306Barkhuizen, Gary (U Auckland, New Zealand), Ute Knoch & Donna Starks, Language practices, preferences and policies: Contrasting views of Pakeha, Maori, Pasifika and Asian students. Journal of Multilingual and Multicultural Development (Multilingual Matters) 27.5 (2006), 375–391.07–307Bedore, Lisa M. (U Texas at Austin, USA; lbedore@mail.utexas.edu), Christine E. Fiestas, Elizabeth D. Pena & Vanessa J. Nagy, Cross-language comparisons of maze use in Spanish and English in functionally monolingual and bilingual children. Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 249–261.07–308Boumans, Louis (Radboud U, Nijmegen, the Netherlands; l.boumans@let.ru.nl), The attributive possessive in Moroccan Arabic spoken by young bilinguals in the Netherlands and their peers in Morocco. Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 233–247.07–309de Klerk, Vivian (Rhodes U, Grahamstown, South Africa), Codeswitching, borrowing and mixing in a corpus of Xhosa English. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 597–614.07–310Dorian, Nancy C., Negative borrowing in an indigenous-language shift to the dominant national language. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 557–577.07–311Fflur Huws, Catrın, Adran y Gyfraıth & Adeılad Hugh Owen (Ceredigion, Wales, UK; trh@aber.ac.uk), The Welsh language act 1993: A measure of success. Language Policy (Springer) 5.2 (2006), 141–160.07–312Finkbeiner, Matthew (Harvard U, USA), Jorge Almeida, Niels Janssen & Alfonso Caramazza, Lexical selection in bilingual speech production does not involve language suppression. Journal of Experimental Psychology: Learning, Memory, and Cognition (American Psychological Association) 32.5 (2006), 1075–1089.07–313Hamel, Rainer Enrique (U Autónoma Metropolitana, Mexico) & Norbert Francis, The teaching of Spanish as a second language in an indigenous bilingual intercultural curriculum. Language, Culture and Curriculum (Multilingual Matters) 19.2 (2006), 171–188.07–314Ho, Debbie G. E. (U Brunei, Brunei), ‘I'm not west. I'm not east. So how leh?’English Today (Cambridge University Press) 22.3 (2006), 17–24.07–315Hohenstein, Jill (King's College London, UK; jill.hohenstein@kcl.ac.uk), Ann Eisenberg & Letitia Naigles, Is he floating across or crossing afloat? Cross-influence of L1 and L2 in Spanish–English bilingual adults. Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 263–280.07–316Huguet, Ángel (U Lleida, Spain), Attitudes and motivation versus language achievement in cross-linguistic settings. What is cause and what effect?Journal of Multilingual and Multicultural Development (Multilingual Matters) 27.5 (2006), 413–429.07–317Lee, Borim (Wonkwang U, Korea; brlee@wonkwang.ac.kr), Susan G. Guion & Tetsuo Harada, Acoustic analysis of the production of unstressed English vowels by early and late Korean and Japanese bilinguals. Studies in Second Language Acquisition (Cambridge University Press) 28.3 (2006), 487–513.07–318McCarty, Teresa L. (Arizona State U, Phoenix, USA), Mary Eunice Romero-Little & Ofelia Zepeda, Native American youth discourses on language shift and retention: Ideological cross-currents and their implications for language planning. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 659–677.07–319Mills, Kathy A. (Christian Heritage College, Australia), ‘Mr travelling-at-will Ted Doyle’: Discourses in a multiliteracies classroom. Australian Journal of Language and Literacy (Australian Literacy Educators' Association) 29.2 (2006), 132–149.07–320Ngai, Phyllis Bo-Yuen (U Montana, USA), Grassroots suggestions for linking native-language learning, Native American studies, and mainstream education in reservation schools with mixed Indian and white student populations. Language, Culture and Curriculum (Multilingual Matters) 19.2 (2006), 220–236.07–321Pika, Simone (U St Andrews, Scotland; sp60@st-andrews.ac.uk), Elena Nicoladis & Paula F. Marentette, A cross-cultural study on the use of gestures: Evidence for cross-linguistic transfer?Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 319–327.07–322Portelli, John (U Malta), Language: An important signifier of masculinity in a bilingual context. Gender and Education (Routledge/Taylor & Francis) 18.4 (2006), 413–430.07–323Prevost, Philippe (Laval U, Canada; philippe.prevost@lli.ulaval.ca), The phenomenon of object omission in child L2 French. Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 281–297.07–324Reagan, Tımothy (U Witwatersrand, South Africa; reagant@hse.wits.ac.za), Claıre Penn & Dale Ogılvy, From policy to practice: Sign language developments in post-apartheid South Africa. Language Policy (Springer) 5.2 (2006), 187–208.07–325Reichelt, Melinda (U Toledo, USA), English in a multilingual Spain. English Today (Cambridge University Press) 22.3 (2006), 3–9.07–326Salamoura, Angeliki (U Cambridge, UK; as350@cam.ac.uk) & John N. Williams, Lexical activation of cross-language syntactic priming. Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 309–318.07–327Sánchez, Liliana (Rutgers U, New Brunswick, USA), Kechwa and Spanish bilingual grammars: Testing hypotheses on functional interference and convergence. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 535–556.07–328Schwartz, Ana I. (U Texas at El Paso, USA; aischwartz@utep.edu) & Judith F. Kroll, Bilingual lexical activation in sentence context. Journal of Memory and Language (Elsevier) 55.2 (2006), 197–212.07–329Sııner, Maarja (Copenhagen, Denmark; maarja_siiner@hotmail.com), Planning language practice: A sociolinguistic analysis of language policy in post-communist Estonia. Language Policy (Springer) 5.2 (2006), 161–186.07–330Smits, Erica (Antwerp U, Belgium; erica.smits@ua.ac.be), Heike Martensen, Ton Dijkstra & Dominiek Sandra, Naming interlingual homographs: Variable competition and the role of the decision system. Bilingualism: Language and Cognition (Cambridge University Press) 9.3 (2006), 299–307.07–331Soukup, Barbara (Georgetown U, USA; bks5@georgetown.edu), Language news in review: UNESCO and the quest for cultural diversity. Language Policy (Springer) 5.2 (2006), 209–218.07–332Tillman, Amy E. (Georgia State U, USA), A love affair with pidgin. English Today (Cambridge University Press) 22.3 (2006), 53–60.07–333Torres, Lourdes (DePaul U, Chicago, USA), Bilingual discourse markers in indigenous languages. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 615–624.07–334Trudell, Barbara (SIL International, Nairobi, Kenya), Language development and social uses of literacy: A study of literacy practices in Cameroonian minority language communities. International Journal of Bilingual Education and Bilingualism (Multilingual Matters) 9.5 (2006), 625–642.07–335Wang, Hongyuan & Ying Yang (Yulin College, Shaanxi, China), Using letter words in China. English Today (Cambridge University Press) 22.3 (2006), 51–52.07–336Yiakoumetti, Androula (U Cambridge, UK), A bidialectal programme for the learning of Standard Modern Greek in Cyprus. Applied Linguistics (Oxford University Press) 27.2 (2006), 295–317.
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"Language teaching." Language Teaching 37, no. 2 (April 2004): 107–18. http://dx.doi.org/10.1017/s0261444804212228.

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04–117Al-Jarf, Reima S. (King Saud U., Saudi Arabia). The effects of web-based learning on struggling EFL college writers. Foreign Language Annals (New York, USA), 37, 1 (2004), 49–57.04–118Basturkmen, Helen (University of Auckland, New Zealand; Email: h.basturkmen@auckland.ac.nz). Specificity and ESP course design. RELC Journal (Singapore), 34, 1 (2003), 48–63.04–119Basturkmen, H., Loewen, S. and Ellis, R. (U. of Auckland, New Zealand Email: h.basturkmen@auckland.ac.nz). Teachers' stated beliefs about incidental focus on form and their classroom practices. Applied Linguistics (Oxford, UK), 25, 2 (2004), 243–72.04–120Benson, Barbara E. (Piedmont College, Georgia, USA). Framing culture within classroom practice: culturally relevant teaching. Action in Teacher Education (Alexandria, Virginia, USA), 25, 2 (2003), 16–22.04–121Blanche, Patrick (U. of California, Davis, USA; Email: blanche@kumagaku.ac.jp). Using dictations to teach pronunciation. Modern English Teacher (London, UK), 13, 1 (2004), 30–36.04–122Budimlic, Melisa (Ludwig-Maximilians Universität München, Germany). Zur Konzeption und Entwicklung interdisziplinärer Lernprogramme am Beispiel eines Lernmodules zur Psycholinguistik. [The concept and development of an interdisciplinary learning programme. An example of a module in psycholinguistics] Zeitschrift für Interkulturellen Fremdsprachenunterricht (Edmonton, Alberta, Canada), Online Journal, 9, 1 (2004), 12 pp.04–123Cajkler, Wasyl (U. of Leicester, UK; Email: wc4@le.ac.uk). How a dead butler was killed: the way English national strategies maim grammatical parts. Language and Education (Clevedon, UK), 18, 1 (2004), 1–16.04–124Calvin, Lisa M. & Rider, N. Ann (Indiana State U., USA). Not your parents' language class: curriculum revision to support university language requirements. Foreign Language Annals (New York, USA), 37, 1 (2004), 11–25.04–125Carrier, Karen A. (Northern Illinois University, USA). Improving high school English language learners' second language listening through strategy instruction. Bilingual Research Journal (Arizona, USA), 27, 3 (2003), 383–408.04–126Christie, Frances (Universities of Melbourne and Sydney, Australia; Email: fhchri@unimelb.edu.au). English in Australia. RELC Journal (Singapore) 34, 1 (2003), 100–19.04–127Drobná, Martina (Ludwig-Maximilians Universität München, Germany). Konzeption von Online-Lerneinheiten für den Unterricht Deutsch als Fremdsprache am Beispiel des Themas ‘Auslandsstudium in Deutschland’. [The concept of an online learning unit ‘Studying in Germany’ for German as a foreign language]. Zeitschrift für Iinterkulturellen Fremdsprachenunterricht (Edmonton, Canada) Online Journal, 9, 1 (2004), 17 pp.04–128Ellis, Rod (University of Auckland, New Zealand; Email: r.ellis@auckland.ac.nz). Designing a task-based syllabus. RELC Journal (Singapore) 34, 1 (2003), 64–81.04–129Giambo, D. & McKinney, J. (University of Miami, USA) The effects of a phonological awareness intervention on the oral English proficiency of Spanish-speaking kindergarten children. TESOL Quarterly (Alexandria, Virginia, USA), 38, 1 (2004), 95–117.04–130Goodwyn, Andrew (Reading University, UK). The professional identity of English teachers. English in Australia (Norwood, Australia), 139 (2004), 122–30.04–131Hu, Guangwei (Nanyang Technological U., Singapore; Email: gwhu@nie.edu.sg). English language teaching in China: regional differences and contributing factors. Journal of Multilingual and Multicultural Development (Clevedon, UK), 24, 4 (2003), 290–318.04–132Jacobs, George M. (JF New Paradigm Education, Singapore; Email: gmjacobs@pacific.net.sg) and Farrell, Thomas S. C. Understanding and implementing the communicative language teaching paradigm. RELC Journal (Singapore) 34, 1 (2003), 5–30.04–133Janks, Hilary (University of the Witwatersrand, South Africa). The access paradox. English in Australia (Norwood, Australia), 139 (2004), 33–42.04–134Kim, Jeong-ryeol (Korea National U. of Education, South Korea; Email: jrkim@knue.ac.kr). Using mail talk to improve English speaking skills. English Teaching (Anseonggun, South Korea), 58, 4 (2003), 349–69.04–135Kim, Nahk-Bohk (Chungnam National University, South Korea). An investigation into the collocational competence of Korean high school EFL learners. English Teaching (Anseonggun, South Korea), 58, 4 (2003), 225–48.04–136Kormos, Judit & Dénes, Mariann (Eötvös Loránd U., Hungary; Email: kormos.j@chello.hu). Exploring measures and perceptions of fluency in the speech of second language learners. System (Oxford, UK), 32, 2 (2004), 145–64.04–137Lee, Jin Kyong (Seoul National U., South Korea). The acquisition process of yes/no questions by ESL learners and its pedagogical implications. English Teaching (Anseonggun, South Korea), 58, 4 (2003), 205–24.04–138Levine, Glenn S. (U. of California, Irvine, USA). Global simulation: a student-centered, task-based format for intermediate foreign language courses. Foreign Language Annals (New York, USA), 37, 1 (2004), 26–36.04–139Littlemore, Jeannette (U. of Birmingham, UK; Email: j.m.littlemore@bham.ac.uk). Using clipart and concordancing to teach idiomatic expressions. Modern English Teacher (London, UK), 13, 1 (2004), 17–44.04–140Llurda, Enric (Email: ellurda@dal.udl.es) and Huguet, Ángel (Universitat de Lleida, Spain). Self-awareness in NNS EFL Primary and Secondary school teachers. Language Awareness (Clevedon, UK), 12, 3&4 (2003), 220–33.04–141Lochtman, Katja (Vrije U., Belgium; Email: katja.lochtman@vub.ac.be). Oral corrective feedback in the foreign language classroom: how it affects interaction in analytic foreign language teaching. International Journal of Educational Research (Abingdon, UK), 37 (2002), 271–83.04–142Mackey, Alison (Georgetown U., USA; Email: mackeya@georgetown.edu). Beyond production: learners' perceptions about interactional processes. International Journal of Educational Research (Abingdon, UK), 37 (2002), 379–94.04–143Maiwald, Cordula (Passau, Germany). Zeitverstehen und Tempusformen im Deutschen – eine Herausforderung im Fremdsprachenunterricht. [The concept of time and German tenses – a challenge for a foreign language classroom] Jahrbuch Deutsch als Fremdsprache (Munich, Germany), 29 (2003), 287–302.04–144McKay, Sandra Lee (San Francisco State U., USA; Email: 2slmckay@attbi.com). EIL curriculum development. RELC Journal (Singapore), 34, 1 (2003), 31–47.04–145Na, Yoon-Hee and Kim, Sun-Joo (U. of Texas at Austin, USA; Email: yhena@mail.utexas.edu). Critical literacy in the EFL classroom. English Teaching (Anseonggun, Korea), 58, 3 (2003), 143–63.04–146Nettelbeck, David (Whitefriars College, Australia). ICT and the re-shaping of literacy. A secondary classroom perspective. 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Modern English Teacher (London, UK), 12, 2 (2003), 5–14.04–151Rieger, Caroline L. (U. of British Columbia, Canada). Some conversational strategies and suggestions for teaching them. Die Unterrichtspraxis (Cherry Hill, New Jersey, USA), 36, 2 (2003), 164–75.04–152Sakui, K. (U. of Auckland, New Zealand). Wearing two pairs of shoes: language teaching in Japan. ELT Journal (Oxford, UK), 58, 2 (2004), 155–63.04–153Schleppegrell, M., Achugar, M., & Oteíza, T. (University of California, USA). The grammar of history: enhancing content-based instruction through a functional focus on language. TESOL Quarterly (Alexandria, Virginia, USA), 38, 1 (2004), 67–93.04–154Sercu, Lies (Katholieke Universiteit Leuven, Belgium; Email: lies.sercu@arts.kuleuven.ac.be). Implementing intercultural foreign language education: Belgian, Danish and British teachers' professional self-concepts and teaching practices compared. Evaluation and Research in Education (Clevedon, UK), 16, 3 (2002), 150–65.04–155Shinwoong, Lee (Hanyang U., South Korea). Korean ESL learners' experiences in computer assisted classroom discussions. English Teaching (Anseonggun, Korea), 58, 4 (2003), 371–95.04–156Sifakis, Nicos C. (Hellenic Open U., Greece; Email: nicossif@hol.gr). TeachingEIL– TeachingInternationalorInterculturalEnglish? What Teachers Should Know. System (Oxford, UK), 32, 2 (2004), 237–50.04–157Simard, Daphnée (Université du Québec à Montréal, Canada; Email: simard.daphnee@uqam.ca). Using diaries to promote metalinguistic reflection among elementary school students. Language Awareness (Clevedon, UK), 13, 1 (2004), 34–48.04–158Song, Jeong-Weon (Hanyang U., South Korea). Effects of task-processing conditions on the oral output of post beginners in a narrative task. English Teaching (Anseonggun, Korea), 58, 4 (2003), 249–71.04–159Storch, Neomy (U. of Melbourne, Australia; Email: neomys@unimelb.edu.au). 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Asiones, Noel. "Implementing a Natural Family Planning Program: The Case of The Metropolitan Archdiocese of Cagayan De Oro." Scientia - The International Journal on the Liberal Arts 10, no. 2 (September 30, 2021). http://dx.doi.org/10.57106/scientia.v10i2.133.

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This single and critical case study evaluated a faith-based natural family planning program's salient features using a framework on implementation fidelity. Multiple focus group discussions were conducted, with three groups of stakeholders (n=100), to gather qualitative data on their knowledge and experience of the program. Overall, the findings showed that the program primarily adhered to the essential elements of implementation fidelity, such as content, frequency, duration, and coverage prescribed by its designers. Three lessons were drawn to address some issues that have influenced the degree of fidelity in which the program was implemented. The first is the need to secure adequate and sustained human and financial resources. The second is the need to strengthen its partnership with government and non-government organizations that have provided them with much-needed assistance. Finally, there is also the need to provide extensive training, materials, and support to its service providers to preserve their morale and interest. Other faith-based organizations may hold this case as an indicator of how and why an NFP program works and the extent to which the need for family planning can be met adapted to their local conditions and needs. References Arbuckle, Gerald A. Refounding the Church: Dissent for Leadership. Quezon City: Claretian Publications. 1993. Arevalo, Marcos. "Expanding the Availability and improving the delivery of natural family planning services and fertility awareness education: providers' perspectives. Adv Contracept. Jun-Sep 1997; 13(2-3):275-81. Arévalo, Marcos, Victoria Jennings, and Irit Sinai. "Efficacy of a new method of family planning: the Standard Days Method." Contraception 65, no. 5 (2002): 333-338.Arévalo, Marcos, Irit Sinai, and Victoria Jennings. "A fixed formula to define the fertile window of the menstrual cycle as the basis of a simple method of natural family planning." Contraception 60, no. 6 (1999): 357-360. Atun, Jenna (2013). Religiosity and Contraceptive Use among Filipino Youth. Philippine Center for Population and Development. (2013) Accessed April 15, 2019, from http://www.pcpd.ph/.../religiosity-and-contraceptive-use- Authority, P. S. ICF Philippines national demographic and health survey 2017. Quezon City, Philippines, and Rockville, Maryland, USA: PSA and ICF, 2018. Authority, Philippine Statistics. "Philippine statistics authority." Accessed from Philippine Statistics Authority Web site: https://psa. gov. ph/vegetable-root-crops-main/tomato (2018). Authority, P. S. “Philippine statistics authority.” Accessed July 20, 2019, from Philippine Statistics Authority Web site: https://psa. gov. ph/vegetable-root-crops-main/tomato.(2016) Authority, P. 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