Journal articles on the topic 'Nature conservation Economic aspects Econometric models'

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1

Formánek, Tomáš, and Roman Hušek. "Spatial Aspects Of Unemployment In The Visegrad-Group Economies." Creative and Knowledge Society 6, no. 2 (December 1, 2016): 1–12. http://dx.doi.org/10.1515/cks-2016-0007.

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Abstract Purpose of the article: Most regional macroeconomic processes may not be adequately analyzed without accounting for their spatial nature: regional distances, interactions between neighbors, spill-over effects and interdependencies. This contribution focuses on various factors ruling unemployment dynamics in the Visegrad Group countries and their major economic partners: Germany and Austria. The analysis is performed at the NUTS2 level. Methodology/methods: Spatial econometrics is a unique tool for a broad range of quantitative analyses and evaluations. Spatial econometric models are based on geo-coded (spatially defined) data. Spatial econometrics and regional competitiveness paradigms are combined into different types of regression model specifications describing unemployment dynamics. Alternative spatial structures (i.e. neighbor definitions) are used for verification of stability in estimated model properties. Scientific aim: We aim to provide a detailed empirical evaluation of spatially determined factors of regional unemployment dynamics, along with insight into the robustness of such approach. Both conceptually and parametrically varying neighbor definitions are used to provide evidence for model evaluation. Findings: We find strong positive spatial dependence patterns in the estimated models, robust against varying neighborhood definitions. Our results strongly support the importance of regional and potentially cross-border (international) cooperation in macroeconomic policies addressing unemployment. The estimated models also underline the importance of using spatial models, by pointing out the bias in OLS-estimated models. Conclusions and limits: Spatial approach to econometric analysis provides important insight and robustness to a broad range of unemployment analyses that may be carried out using regional (spatial) data. At the same time, it should be noted that this article focuses mostly on the spatial and stability aspects of model estimation, while leaving out other interesting topics such as spill-over effects calculations as based on estimated models. Also, estimations provided in this article might benefit from spatial panel data-based methods - once data availability issues are sorted.
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Tkach, E. S., M. A. Firsova, and D. A. Fedotov. "Assessment of the Impact of Local Budgets on Regional Human Capital:Historical and Contemporary Aspects." Economy of regions 18, no. 1 (2022): 237–51. http://dx.doi.org/10.17059/ekon.reg.2022-1-17.

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Considering the need for sustainable human capital development in Russia, as well as interdisciplinary research challenges, the present study examines historical and contemporary aspects of the impact of the budget on regional human capital. For this purpose, budgetary mechanisms implemented in the period from 1969 to 2020 were retrospectively analysed. Based on archival materials and data from statistical collections of the Soviet period, the dynamics and structure of budget revenues and expenditures in the 1970s were compared with those in the period from 2000 to 2017. A quantitative assessment was performed to test a hypothesis about a relationship between the volume of social budget expenditures and increase in the return on human capital in the form of tax revenues to the budget. The study employed methods of comparative, structural, correlation and econometric analysis and statistical grouping. Constructed econometric models demonstrated the nature and degree of influence of various social expenditures on the resulting indicator of human capital development. Then, comparative analysis was conducted to interpret the econometric modelling results and data on the state of local budgets in the Soviet and post-Soviet period. Taking into account the established relationship between social expenditures and the indicator of human capital development, public authorities can most efficiently allocate budget funds, ensuring the maximum socio-economic effect from their investment. The research findings can be used for creating socio-economic development strategies of particular regions, as well as for comparing their social development in the historical and geographical context. In this regard, future studies can systematically assess the impact of local budgets of the largest Russian regions on the resulting indicators of human capital.
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Throsby, David, Anita Zednik, and Jorge E. Araña. "Public preferences for heritage conservation strategies: a choice modelling approach." Journal of Cultural Economics 45, no. 3 (February 10, 2021): 333–58. http://dx.doi.org/10.1007/s10824-021-09406-7.

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AbstractStudies aiming at valuing cultural and natural heritage projects are often focussed on one or only a few sites, whereas planning decisions concerning the allocation of public funds to heritage conservation deal with classes of heritage rather than single sites. In addition, such planning decisions are almost always concerned with non-monetary values that need to be incorporated into assessment procedures if the total value of alternative strategies is to be estimated. In this paper, we put forward and estimate models to address both of these issues within a choice-modelling framework. The method is developed in the context of conservation of a particular class of cultural heritage, namely major historic buildings in a city or country. We report results from a discrete choice experiment to assess public preferences in which the choices are alternative conservation programs and the attributes are dimensions of the programs’ cultural and economic value. The model is estimated from survey data using several flexible econometric specifications. We show that the methods developed can be used to obtain robust estimates of the economic value of this category of buildings. We also find a significant contribution of all aspects of cultural value to the formation of conservation preferences and the public’s willingness to pay.
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Chanysheva, Amina, Pierre Kopp, Natalia Romasheva, and Anni Nikulina. "Migration Attractiveness as a Factor in the Development of the Russian Arctic Mineral Resource Potential." Resources 10, no. 6 (June 20, 2021): 65. http://dx.doi.org/10.3390/resources10060065.

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The development of mineral resources in the Arctic territories is one of the priorities of the state policy of Russia. This endeavor requires modern technologies, high-quality personnel, and a large number of labor resources. However, the regions of the Arctic are characterized by difficult working and living conditions, which makes them unattractive to the working population. The research objectives were to study the importance of Arctic mineral resources for the Russian economy, the Arctic mineral resource potential, and the migration attractiveness of Arctic regions. The migration processes in these locations were analyzed and modeled using a new econometric tool—complex-valued regression models. The authors assume that the attractiveness of the Arctic regions is determined by the level of their social and economic development and can be assessed using a number of indicators. A comparative analysis of four regions that are entirely in the Arctic zone of the Russian Federation was carried out based on the calculation of integral indicators of the social and economic attractiveness of these territories. Forecasting migration growth using the proposed complex-valued models produced better results than simple trend extrapolation. The authors conclude that complex-valued economic models can be successfully used to forecast migration processes in the Arctic regions of Russia. Understanding and predicting migration processes in the Arctic will make it possible to develop recommendations for attracting labor resources to the region, which will contribute to the successful development of its resource potential. The methodology of this study includes desk studies, a graphical method, arithmetic calculations, correlation analysis, statistical analysis, and the methods of the complex-valued economy.
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Meng, Yanjun, Kun Wang, and Yuanyuan Lin. "The Role of Land Use Transition on Industrial Pollution Reduction in the Context of Innovation-Driven: The Case of 30 Provinces in China." Land 10, no. 4 (April 1, 2021): 353. http://dx.doi.org/10.3390/land10040353.

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With the world calling for environmental protection, China has to follow an innovation-driven development path in order to achieve its own high-quality and sustainable development. During this period, the problem of inefficient land use resulting from rapid progress in urbanisation is difficult to ignore. This study uses data from 30 provinces in mainland China to analyse the environmental protection effects of land use transition towards innovation-driven development, using spatial econometric models and entropy method. The results show that the innovation-oriented land use transition in four dimensions, human capital, material capital, urban function and government, is conducive to reducing industrial pollution emissions in the region, but this effect does not have a spillover effect. The results of this study provide some insights into the “triple-win” (environmental protection, innovation and land-use optimisation) approach to economic development in China.
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Jiang, Lei, Yuan Chen, Hui Zha, Bo Zhang, and Yuanzheng Cui. "Quantifying the Impact of Urban Sprawl on Green Total Factor Productivity in China: Based on Satellite Observation Data and Spatial Econometric Models." Land 11, no. 12 (November 24, 2022): 2120. http://dx.doi.org/10.3390/land11122120.

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Worsening environmental effects caused by the rapid large-scale urban expansion in most Chinese cities is a worrying trend. In response, China is advocating an economic transition from rapid (raw growth) to a high-quality development model that incorporates negative environmental consequences. Green total factor productivity (GTFP) is regarded as one of the important approaches for measuring high-quality development. Hence, the aim of this research is to quantify the impact of urban sprawl on GTFP using remote sensing data and spatial econometric models. The primary findings of this study are as follows. (1) The urban sprawl index presents a decreasing trend from 2005 to 2016, indicating that urbanization has slowed; (2) The GTFP scores of Chinese cities are not randomly distributed and thus present significant spatial spillovers; and (3) The results of spatial lag models reveal that spatial spillover of GTFP is significant and positive. In other words, increases in GTFP in neighboring cities promotes GTFP improvements in nearby cities. We also find that the impact of urban sprawl on GTFP is significant and negative, indicating that rapid urban expansion is a contributor to decreased GTFP growth in China. Moreover, urban sprawl has a negative effect on technical change and efficiency change. The main findings can provide policy makers in Chinese cities with scientific foundations to design and implement effective measures to improve GTFP.
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Sierota, Zbigniew, and Stanisław Miścicki. "Is It Possible to Compromise Forest Conservation with Forest Use?" Earth 3, no. 4 (October 21, 2022): 1059–75. http://dx.doi.org/10.3390/earth3040061.

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A variety of elements in nature, from a pine cone’s bracts to a spiral galaxy, are described by a unique mathematical relationship described by Fibonacci as adhering to the “golden ratio.” In forest management, various models are used to achieve a balance between forest use and conservation that meets societal expectations in both ecological and economic terms. In Central European countries, where forest management has been subordinated to the timber industry, such a transition is still in progress, and people continue to look for an acceptable balance between forest conservation and management. The main objective of this paper is to review approaches to forest management in Central Europe with the aim of contributing to current discussions on forest management models in Europe. We anticipate that the new EU Biodiversity Strategy for 2030 will implement the billion-tree afforestation program with appropriate consideration of forest potential based on the tenets of sustainable management and that the future climate will be neutral. We hope that the forestry aspects of the strategy will provide a positive impetus to forest management by finding effective compromises between forest conservation and forest use in furthering the aims of sustainable development.
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Zhou, Lulu, Li Wang, Kangchuan Su, Guohua Bi, Hongji Chen, Xiaoyu Liu, and Qingyuan Yang. "Spatiotemporal Characteristics of Rural Restructuring Evolution and Driving Forces in Mountainous and Hilly Areas." Land 11, no. 6 (June 5, 2022): 848. http://dx.doi.org/10.3390/land11060848.

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Rural restructuring is an effective means to boost rural revitalization. Research on rural restructuring and its driving forces is helpful to adjust the evolution direction of key development factors, and form a coupling and coordinated development pattern. Taking Chongqing as an example, this paper adopts basic geographic data, land use data, and social and economic data, and uses the entropy method, spatial econometric model, and GTWR model. The paper explores the spatiotemporal evolution pattern of influencing factors on rural restructuring from 2000 to 2018 from the perspective of exogenous driving and endogenous driving. The results show the following. (1) During the study period, the average values of the rural economic restructuring intensity index, social restructuring intensity index, spatial restructuring intensity index, and comprehensive restructuring intensity index were 0.138, 0.118, 0.123, and 0.379, respectively. During the research period, rural restructuring in Chongqing experienced four development stages: space-economic restructuring-led, economic-social restructuring-led, economic restructuring-led, and social-spatial restructuring-led. In general, the dominant speed of economic restructuring gradually accelerated, and the changes in spatial restructuring were obvious but still lagging. Compared with other periods, the characteristics of social restructuring and spatial restructuring were more obvious between 2015 and 2018. (2) Different types of rural restructuring were affected by exogenous and endogenous factors. Exogenous driving mainly showed a negative impact on the changes in rural restructuring in the study area, while endogenous driving mainly showed a positive impact. (3) The driving system composed of exogenous driving and endogenous driving showed obvious timing and dynamic fluctuation. From 2000 to 2005 and from 2015 to 2018, rural restructuring in the study area was balanced and driven by endogenous and exogenous factors. From 2005 to 2015, rural restructuring in the study area was dominated by exogenous driving. Based on the influence differences and internal correlations of the driving forces of rural restructuring, policy opinions are put forward from the two aspects of restructuring path and restructuring guarantee, which provide a scientific basis for the determination of rural development direction and path selection.
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Gao, Zhenjun, Shujie Li, Xiufeng Cao, and Yuefen Li. "Carbon Emission Intensity Characteristics and Spatial Spillover Effects in Counties in Northeast China: Based on a Spatial Econometric Model." Land 11, no. 5 (May 20, 2022): 753. http://dx.doi.org/10.3390/land11050753.

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Under the “double carbon” target, it is important to reduce carbon emissions in each region. Using exploratory spatial data analysis (ESDA), the center of gravity method, and spatial econometric models, we analyzed the characteristics and spatial spillover effects of carbon emission intensity in counties in Northeast China from 2000 to 2020 and made recommendations to the government for more reasonable carbon reduction strategies in order to achieve sustainable development. The results were as follows: (1) Since 2000, the carbon emission intensity in Northeast China has increased after first declining, and the carbon emission intensity in the western and northern regions of Northeast China has increased faster than Northeast China’s average. (2) After 2000, the spatial aggregation of carbon emission intensity has improved in Northeast China. (3) Northeast China’s carbon emission intensity has a positive spatial spillover effect. Through the feedback mechanism, the growth in population size, the rise in economic development level, the level of industrialization as well as the rise in living standard, the land use structure dominated by arable land and construction land, and the increase in urbanization level in the region will cause the carbon emission intensity in the surrounding areas to increase. An increase in public expenditures leads to a decrease in carbon emission intensity in the adjacent area. (4) When the vegetation cover exceeds its threshold value, it can have a larger inhibitory influence on carbon emission intensity. To summarize, each county in Northeast China is a carbon emission reduction community, and policymakers must consider the spatial spillover effect of carbon emission intensity when developing policies.
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10

Rădulescu, Carmen Valentina, Florina Bran, Alexandru Liviu Ciuvăț, Dumitru Alexandru Bodislav, Ovidiu Cristian Buzoianu, Mihaela Ștefănescu, and Sorin Burlacu. "Decoupling the Economic Development from Resource Consumption: Implications and Challenges in Assessing the Evolution of Forest Area in Romania." Land 11, no. 7 (July 18, 2022): 1097. http://dx.doi.org/10.3390/land11071097.

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The paper proposes an insight into the relation existing between economic development and resource consumption and the associated implications and challenges for forested areas in Romania. In accordance with this purpose, the methods used are both qualitative and quantitative by using a relevant literature review, including international and national reports. In the 1950s and 1960s, Simon Kuznets introduced to modern economic theory the idea that there are certain market forces directly correlated with economic development. After almost two decades of a market economy in Romania, we are witnessing a relative decoupling process between economic development and social inequality. Moreover, the country strives to make the transition to a circular economy by involving all relevant stakeholders and by attracting the necessary financial support. Sustainable development offers the perspective of reaching an equilibrium between economic, social, and environmental aspects. Finding the right tools to assess multiple impacts has always been challenging as regards decoupling the economic development from natural resource consumption. Although there are multiple interpretations of the outcomes of a decoupling process, this paper aims at assessing the evolution of forested areas through econometric research using the Environmental curve of Simon Kuznets. As our main results, we have observed a decoupling process in the GDP growth that will not lead to a decrease in wooded areas in our country, mainly due to rural–urban migration, shifts in consumption patterns (from firewood toward natural gases, etc.) and improvement in the legislative framework in the case of forestry products. Among the weaknesses of the model used are the limited data availability and the reduced number of observations with annual frequency (data were taken only for 22 years), the use of a square pattern instead of a cubic one (it is possible for the results to differ and consequently another form of this curve, either N or N-inverted) or the use of data with a low accuracy related to the total forest areas in Romania. Among the conclusions of the papers, the decoupling process is not a single action process. Our research focused on forest area and the need to connect it with other policy actions related to mainstreaming sustainability, promoting a circular economy or bioeconomy, or developing innovative public policies and instruments.
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Fan, Jing, Hironori Kato, Xinghua Liu, Ye Li, Changxi Ma, Liang Zhou, and Mingzhang Liang. "High-Speed Railway Network Development, Inter-County Accessibility Improvements, and Regional Poverty Alleviation: Evidence from China." Land 11, no. 10 (October 20, 2022): 1846. http://dx.doi.org/10.3390/land11101846.

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The rapid expansion of the high-speed railway (HSR) network in China has significantly shortened the space–time distance between cities. China is striving to enter an anti-poverty era, which is increasing the importance of research on the poverty reduction effect created by upgrading transportation infrastructure, in particular, HSR development. Describing the characteristics of accessibility and the mechanisms by which that accessibility reduces poverty could provide the insights needed for determining suitable anti-poverty paths. By using data for 2341 counties and equivalents in China during 2007–2018, this study analyses the railway accessibility improvements and the poverty reduction effect created by HSR development. On average, HSR in China contributed to a significant increase in potential economic accessibility (317.8%) and a decrease in weighted average travel time (39.9%) for counties. Based on accessibility calculations, the Theil index was used to measure the disparity level of regional accessibility and regional poverty measured based on the income of rural residents. The results indicate that HSR leads to an increase in inequality in terms of travel time and potential economic accessibility at a national level. Pearson coefficients reveal a strong correlation between disparities in accessibility and in rural income among provinces. Furthermore, using the full sample, and sub-samples of poor and non-poor counties in China, the association between regional accessibility and poverty was examined by using two-way fixed effect models and spatial econometric models. The estimated results show that a 1% improvement in potential economic accessibility leads to an aggregate rural income improvement of 0.03–0.17%; the ratio of rural income to urban income increases by 0.04–0.12% and a larger effect is observed in poor counties. The weighted average travel time reduction also leads to improvement in rural income and reduction in the urban–rural income gap. The empirical results obtained by different robust test methods, including different sample groups, different estimated methods and accessibility indicators, are shown to be robust. These findings can help transportation departments formulate poverty-alleviation-oriented transportation planning and investment policies and inform future policies for countries planning to construct HSRs.
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Vetharaniam, Indrakumar, Karin Müller, C. Jill Stanley, Carlo van den Dijssel, Levente Timar, and Brent Clothier. "Modelling Continuous Location Suitability Scores and Spatial Footprint of Apple and Kiwifruit in New Zealand." Land 11, no. 9 (September 9, 2022): 1528. http://dx.doi.org/10.3390/land11091528.

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Under climate change, land use suitability for horticultural production will change; this has prospects of both adverse socio-economic impacts for the industry in some regions, and beneficial impacts in others. Policy development and industry guidance are needed to develop adaptations to mitigate climate change risks and exploit new opportunities. For climate-change issues, models provide a powerful means for assessing future suitability at a patch, region or national scale in order to guide policy decisions. Here, we describe the development of a new continuous (sliding-scale) suitability modelling approach to assess the suitability of different locations for growing apple and kiwifruit in New Zealand, based on phenological and physiological considerations; these models used geographical information system (GIS) soil, land and weather data to develop maps showing the suitability of locations across New Zealand for cultivating apple and kiwifruit. The models were “ground-truthed” in an iterative process of expert parameterisation and recalibration to ensure maps aligned with current growing locations for the two crops. We estimated an econometric logit model that incorporated the continuous suitability scores as predictors of land use for apple and kiwifruit. Comparison of modelled suitability scores with industry-supplied maps of apple and kiwifruit orchards showed good consistency between predicted suitability and current land use. Compared with a range of alternative land uses, suitability for apple was highest for locations currently used to grow apple and suitability for kiwifruit was highest for locations currently used to grow kiwifruit. Our framework provides the capability to project incremental changes in the suitability of locations for apple and kiwifruit under different climate change pathways and to project consequential changes in their spatial footprints; this framework can be extended to other crops.
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Pluskota, Anna. "The Impact of Corruption on Economic Growth and Innovation in an Economy in Developed European Countries." Annales Universitatis Mariae Curie-Skłodowska, sectio H – Oeconomia 54, no. 2 (June 29, 2020): 77. http://dx.doi.org/10.17951/h.2020.54.2.77-87.

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<p>Theoretical background: The article explores the relationship between corruption and innovation in an economy and between corruption and economic growth. The multi-faceted and complex nature of corruption means that the impact of corruption on innovation and economic growth is unidirectional. There are arguments in the literature for both positive and negative effects of corruption on macroeconomic fiures. Most empirical research confirms the linear negative impact of corruption on economic growth. These results are the opposite of theoretical arguments that there may be both positive and negative consequences of corruption. Purpose of the article: The research aim is to analyse the theoretical aspects of the impact of corruption on selected macroeconomic variables. This goal was achieved by analysing the most signifiant arguments describing the relationships between chosen variables. Based on the literature analysis, research hypotheses were developed, and they were verifid in an empirical study. The results were analysed in the discussion section. Research methods: The study is based on a set of data on economically developed countries in Europe from 1996 to 2017. The empirical study was conducted using basic statistical measures – descriptive statistics and correlation coefficient, whereas econometric models were based on the GMM system (Generalized Method of Moments). Main findings: The results of this research show that the relationships between corruption and the measure of innovation, and corruption and economic growth are not linear. They take the form of a parabola. This means that the influence of corruption on innovation and economic growth is not the same for all levels of the corruption indicator. The relationship between corruption and economic growth is specific enough to show that a low level of corruption is economically justified from the point of view of empirical research. This is possible because corruption solves other economic problems, such as bureaucracy, which limits development. Corruption will support economic growth if the state does not work properly.</p>
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Burganov, Rais, and Liliya Urazbahtina. "Energy-Saving Household Behavior as an Object of Research and Projects." Scientific Research and Development. Russian Journal of Project Management 9, no. 3 (October 15, 2020): 16–22. http://dx.doi.org/10.12737/2587-6279-2020-16-22.

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The energy-saving behavior of households has a huge and obvious role in the development of the economy and society. However, the theoretical approaches of economists on this topic are developing more slowly than its applied aspects. The aim of this work is to consider the energy-saving behavior of households from the angle of the main directions of economic theory. The research methodology is based on the principles of the implementation of areas of economic theory, as well as on the use of total energy, consisting of electric, thermal, solar, mechanical and other types of energy. The article proposes a classification of factors (main and secondary, main and auxiliary) that affect household behavior in the field of energy conservation and which should be taken into account when drawing up its mono and polyparametric mathematical models. Moreover, each variable can be positively or negatively reflected in the rational or irrational behavior of households in energy conservation. The paper gives the results of the consideration of problems in shaping the behavior of households from the point of view of the neoclassical direction of economic theory and institutionalism, as well as on the basis of its moral-educational and technological concepts. The current state of introducing the development of energy-saving and nature-friendly technologies into the everyday activities of households will transform the behavior of households in the field of consumption of any type of energy.
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Gemeyida, Kusse Haile, Engida Gebre Yesho, and Agegnehu Workye Belaneh. "Production Efficiency of Sesame Producer Farm Households: The Case of Bench Maji Zone, Southwest Ethiopia." Acta Scientiarum Polonorum Administratio Locorum 20, no. 3 (October 4, 2021): 189–201. http://dx.doi.org/10.31648/aspal.6248.

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Motives: Agricultural sector in Ethiopia is characterized by its poor performance, despite the livelihoods of the large population of the country depends on agriculture. Sesame is an important cash crop and plays vital role in the livelihood of many people in Ethiopia. However a number of challenges hindered the development of sesame sector along with the productivity. Aim: This study attempted to analyze production efficiency of sesame producers in Bench Maji Zone of Southwest Ethiopia. The study used both primary and secondary data sources. Purposive sampling techniques were employed to draw 270 sesame producer farm households. Descriptive statistics and econometric models were used to analyze the data. Results: The estimated stochastic production frontier model indicated that input variables such as inorganic fertilizer, sesame seed, oxen power, labor and chemicals found to be important factors in increasing the level of sesame output in the study area. The result further revealed significant differences in production efficiency among sesame growing farmers in the study area. Applying the Cobb-Douglas functional form the average, technical, allocative and economic efficiencies found are 50.72%, 86.83% and 44.2% for sesame producers, respectively. Also among fourteen variables used in the analysis of determinants, experience in sesame farming, education level, farm income, total cultivated land, social responsibility, frequency of extension contact, participation in off/nonfarm activities, credit, proximity to market and soil fertility were found to be significant sources of technical, allocative and economic inefficiencies of sesame producer farmers. Strengthening education, extension service, credit access at affordable interest rate and accessibility of transport services and motivating farm household to participate different training as well as their experience sharing with other sesame producing farmers improve productivity of sesame production. Therefore, those important socioeconomic and institutional factors which are mentioned above must take into account to improve the productivity of sesame in the study area.
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Grossauer, Franz, and Gernot Stoeglehner. "Bioeconomy—A Systematic Literature Review on Spatial Aspects and a Call for a New Research Agenda." Land 12, no. 1 (January 11, 2023): 234. http://dx.doi.org/10.3390/land12010234.

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Over the last 10 to 15 years, bioeconomy (BE) has evolved to a widely accepted alternative to the dominant use of finite raw materials around the globe. One of the essential prerequisites for the sustainable implementation of this future-oriented economic system is the consideration of spatial framework conditions. This review assesses whether spatial aspects are addressed in the scientific discourse on the bioeconomy. Between 2010 to 2021, 8812 articles were published dealing with the thematic field of bioeconomy. Using a keyword list covering themes related to spatial issues, 107 articles were identified. It was possible to demonstrate that spatial aspects are rarely discussed and large research gaps are evident. These gaps relate, for example, to the development of planning instruments for the protection of agricultural land or the assessment of the influence of intensification of agriculture on biodiversity or the multifunctionality of landscapes. In addition, the social aspects of transitioning to a bioeconomy, the role of regional planning with respect to decentralised versus centralised models, and the influence of policy and governance to foster a sustainable transition process and to avoid land use conflicts are all topics which need to be addressed in research. Based on these results, a research agenda was developed covering these and further issues to enable a sustainable spatial implementation of different forms of bioeconomy.
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Burnham, Bonnie. "A Blended Finance Framework for Heritage-Led Urban Regeneration." Land 11, no. 8 (July 26, 2022): 1154. http://dx.doi.org/10.3390/land11081154.

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The inclusion of heritage conservation in the United Nations Sustainable Development Goals for 2030, target 11.4, stimulated a broad dialogue among heritage conservation practitioners intent on framing a meaningful role for heritage assets in historic built environments as contributors to sustainable development. Heritage-led regeneration positively impacts many aspects of society, community life, and the public realm, and can also play an important role in reaching zero-carbon environmental conservation goals by slowing the extraction of natural resources for construction, reducing the quantity of building materials sent to landfills, and using traditional technologies and knowledge to reduce operational energy use. Heritage regeneration can also be a strong contributor to economic growth, as restored and reused properties create wealth, serve as community social magnets, and attract prestige and visitors. However, there is little progress towards positioning heritage conservation as a focal point for multilateral public-private co-financing projects and partnerships. In 2021, the Cultural Heritage Finance Alliance (CHiFA) published research about successful models of urban heritage regeneration that engage public-private cooperation. CHiFA now presents a process, developed as part of a study commissioned by the Inter-American Development Bank (IDB), for advancing projects that maximize investment in heritage-led urban regeneration, matching financing strategies with local opportunities, legal frameworks, enabling tools, and the requirements of prospective investors. The result is a marketplace and ecosystem that support civic and community interests through long-term, multi-party collaboration using blended capital investment in heritage as a sustainable development strategy.
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Knickel, Karlheinz, Alexandra Almeida, Francesca Galli, Kerstin Hausegger-Nestelberger, Bryonny Goodwin-Hawkins, Mojca Hrabar, Daniel Keech, et al. "Transitioning towards a Sustainable Wellbeing Economy—Implications for Rural–Urban Relations." Land 10, no. 5 (May 11, 2021): 512. http://dx.doi.org/10.3390/land10050512.

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This article focuses on the question of how a shift from a narrow economic perspective to a wider sustainable wellbeing focus in regional development strategies and actions might change rural–urban relations. A brief review of relevant research and discourses about economic development models provides the foundation for the analysis. The review leads to the development of an analytical framework that puts the notion of sustainable wellbeing at its center. The criteria included in the analytical framework are then used to assess the current situation, challenges and perceived ways forward based on data and analyses from 11 European regions. The focus of the analysis is on different expressions of a sustainable wellbeing economy, and aspects of territorial development that are consistent with the basic features of a wellbeing economy are identified. Development dynamics and tensions between different development goals and resource uses, strategies and actions that are in favor of sustainable wellbeing goals, and conditions for more mutually beneficial rural–urban relationships are discussed. The article concludes with the implications for local government, and governance and policy frameworks. Reference is made to current high-level strategic policy frameworks and the European Green Deal.
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Antoniades, Andreas, Indra Widiarto, and Alexander S. Antonarakis. "Financial crises and the attainment of the SDGs: an adjusted multidimensional poverty approach." Sustainability Science 15, no. 6 (December 28, 2019): 1683–98. http://dx.doi.org/10.1007/s11625-019-00771-z.

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AbstractThis paper analyses the impact of financial crises on the Sustainable Development Goal of eradicating poverty. To do so, we develop an adjusted Multidimensional Poverty Framework (MPF) that includes 15 indicators that span across key poverty aspects related to income, basic needs, health, education and the environment. We then use an econometric model that allows us to examine the impact of financial crises on these indicators in 150 countries over the period 1980–2015. Our analysis produces new estimates on the impact of financial crises on poverty’s multiple social, economic and environmental aspects and equally important captures dynamic linkages between these aspects. Thus, we offer a better understanding of the potential impact of current debt dynamics on Multidimensional Poverty and demonstrate the need to move beyond the boundaries of SDG1, if we are to meet the target of eradicating poverty. Our results indicate that the current financial distress experienced by many low-income countries may reverse the progress that has been made hitherto in reducing poverty. We find that financial crises are associated with an approximately 10% increase of extreme poor in low-income countries. The impact is even stronger in some other poverty aspects. For instance, crises are associated with an average decrease of government spending in education by 17.72% in low-income countries. The dynamic linkages between most of the Multidimensional Poverty indicators, warn of a negative domino effect on a number of SDGs related to poverty, if there is a financial crisis shock. To pre-empt such a domino effect, the specific SDG target 17.4 on attaining long-term debt sustainability through coordinated policies plays a key role and requires urgent attention by the international community.
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Seitkhamzina, G. Zh, L. M. Bekenova, E. Kh Akhatova, and M. D. Akhtanova. "Main provisions of modern urban concepts." Bulletin of "Turan" University, no. 3 (October 7, 2021): 51–56. http://dx.doi.org/10.46914/1562-2959-2021-1-3-51-56.

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The article considers the main provisions of modern urban concepts. The purpose of this article is to systematize and analyze them, as well as to identify universal models and strategies for the development and modernization of cities for modern global society. The authors explore the very concept of urbanization and the basic principles, concepts of modern urbanism to conduct a comprehensive and in-depth analysis of modern urban concepts and their systematization. The main aspects of the manifestation of the globality of urbanization at the present stage, philosophical and ideological, problematic and spatial (geographical), are studied. The main provisions of urban planning developed within the framework of the concept of New Urbanism are also given. After analyzing the main provisions considered, it is concluded that this concept is aimed at creating comfortable environmentally, ergonomically and socially balanced conditions for human habitation and for nature conservation. When studying the basic concepts of urbanization, a set of the following methods of economic research was used: monographic, program-target, logical. In the work on the study, such theoretical research methods as comparisons and generalizations, scientific abstraction and synthesis were also used.
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Pecheniuk, Alla, Valentyna Borkovska, Andrii Pecheniuk, and Mushenyk Iryna. "Ecosystem Services to Support the Diversification of Agricultural Production." Grassroots Journal of Natural Resources 05, no. 01 (March 31, 2022): 73–87. http://dx.doi.org/10.33002/nr2581.6853.050106.

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The issue of diversification of the agricultural sector in the context of providing environmental, social and economic components is on the agenda of governments of many countries. Ecosystem services can form a powerful direction of agricultural development inculcating the sustainable development. A significant problem lies in the lack of ecosystem conservation, the lack of realization of ecosystem services, limited understanding of the nature of ecosystem services, and the lack of available statistics. Current research focuses on assessing the contribution of ecosystem services to entire cycle of a product and how it overcomes the business risks. As a result, new sources of income are foregone. That is why effective environmental management must take into account new income opportunities flowing in from various ecosystem services if conserved properly. This article is to identify possible areas for diversification of the agricultural sector in the context of ecosystem services. Some factors that determine ecosystem services are suggested. Correlation models are used to understand the relationship between ecosystem services and the agricultural productivity. Based on secondary data, the optimal directions of diversification of agricultural producers are determined. Some organizational aspects of opening new avenues in given legislation framework are identified.
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Alexandra, Jason. "Australia's landscapes in a changing climate—caution, hope, inspiration, and transformation." Crop and Pasture Science 63, no. 3 (2012): 215. http://dx.doi.org/10.1071/cp11189.

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Australia’s future landscapes will be shaped by global climatic, economic, and cultural drivers. Landscapes evolve. They are manifestations of the complex negotiations between nature and cultures, over millennia. In the Anthropocene, humans are the dominant evolutionary force reshaping the biosphere. Landscape management involves all human activities and interventions that change the forms and functions of landscapes. It also involves the ways we learn about, and understand the world, and our place in it. Responses to climate change are driving changes in natural resources policy, research and management. Building capability for large-scale, adaptive management is critical in an era of global change. By rigorously examining and learning from recent experience—bioregional conservation planning, natural resource management (NRM), landcare, and water reform—Australia can build capacity for integrated and adaptive resource management. Climate change compounds existing stressors on ecosystems. It adds complexity and presents new challenges for integrated assessment, planning, and management of natural resources. Given the dynamic nature of the ecosystems, static conservation paradigms and stationary hydrology models are increasingly redundant. In the face of inherent complexity and uncertainty, ‘predict and control’ strategies are likely to be less useful. Adaptive approaches are called for, due to the complex relationships and non-linear feedbacks between social, ecological, and climatic systems. Australia should invest in building professional and community capacity. Australia’s scientific and professional capacity in natural resources provides useful foundations, but substantially increased investment is called for. Research should be focused on guiding and influencing management at large scales and on avoiding undesirable thresholds or tipping points in complex ecological systems. Cultural and governance aspects are emphasised as central to effective adaptation strategies, because landscape management is an intergenerational, societal challenge that requires participatory, adaptive learning approaches.
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Zhang, Liqing, and Yue Wu. "Negative Associations between Quality of Urban Green Spaces and Health Expenditures in Downtown Shanghai." Land 11, no. 8 (August 6, 2022): 1261. http://dx.doi.org/10.3390/land11081261.

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The health–beneficial value of urban green spaces (UGS) is increasingly accepted by scholars. However, compared to the large number of studies focused on UGS–health associations, whether UGS in high-density cities could reduce public health expenditures remains less investigated. In particular, few studies have examined the association of UGS quality with health expenditures. Therefore, we conducted a cross-sectional study in downtown Shanghai to examine such associations. A population-based household survey (n = 1000) was conducted to collect relevant information about different aspects of health expenditure and the characteristics of UGS. Specifically, a new method was proposed to measure UGS quality based on the supply–demand of 20 types of UGS activities. We also measured the perceived quality of different types of UGS and quantified the amount of UGS using GIS based on remote sensing data. Regression models were applied for statistical analysis. The results showed that both UGS quality based on user needs and perceived UGS quality have a significant negative association with total health expenditures. This study provides insights for UGS quality measurement, contributes to the understanding of the health-related economic benefits of UGS, and also highlights the importance of UGS optimization in high-density urban areas.
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García Pimentel, Alejandra García, Avto Goguitchaichvili, Carlos Torreblanca, Vadim Kravchinsky, Miguel Cervantes, Rafael García, Rubén Cejudo, Francisco Bautista, and Juan Morales. "Depopulation of the Northern Border of Mesoamerica during the Early Postclassic: Evidence from the Reappraisal of Archaeomagnetic Data." Land 11, no. 12 (November 22, 2022): 2103. http://dx.doi.org/10.3390/land11122103.

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The Mesoamerican Postclassic and Epiclassic were periods of drastic change and transformation related to social, political and economic aspects as well as settlement patterns. Mexico’s northern boundary expansion, rise, and subsequent demise is a matter of debate which remains essentially unsolved. Possible causes include climatic changes, landscape degradation or prolonged bellicose relations with nomadic groups. Still, no consensus exists on why such apparent instability and decline occurred at major archaeological settlements on the northern Mesoamerican border, also known as the septentrional frontier. The scarcity of absolute chronological constraints is definitively a handicap that impedes the assessment of northern Mesoamerica’s development from its apogee to its decline. The archaeomagnetic method has been used during the last decades to analyze burned archaeological artifacts belonging to Mesoamerica’s north and central-west frontiers, including different Mexican states. Namely, high-resolution studies were carried out at Aguascalientes (El Ocote), Guanajuato (El Cóporo, Lo de Juárez and Plazuelas), Jalisco (Cerro de Los Agaves, La Palma and El Palacio de Ocomo) and Zacatecas (La Quemada). It was successfully proved that archaeomagnetic dating might greatly contribute to refining the chronology and development of major pre-Hispanic settlements. These studies were based on available geomagnetic curves at the time of publication. However, global geomagnetic models have experienced substantial improvement with the development of local/regional reference archaeomagnetic curves during the last few years. Hence, the need arises for a critical reassessment of reported age intervals and corresponding chronological contexts. Updated archaeomagnetic ages are recalculated considering the geomagnetic models SHA.DIF.14K and SHAWQ.2K as well as the two regional paleosecular variation curves for Mesoamerica. A bootstrap resampling method is used to obtain an optimal age range for each studied structure. These new absolute chronologies indicate that the last fire exposure of the vast majority of the analyzed artifacts unequivocally corresponds to the Mesoamerican early Postclassic related to the depopulation stage apparently caused by environmental changes.
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Bara, Lelde, and Aija Ziemelniece. "Causes and consequences of cultural and historical manor landscape fragmentation in the 19th - 21st century Latvia." Landscape architecture and art 18 (October 7, 2021): 69–77. http://dx.doi.org/10.22616/j.landarchart.2021.18.07.

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In the post-war years (50s-80s of the 20th century), the legislation of the Soviet Union defined that the list of monuments to be protected by the state is deemed a political document with ideological significance. Due to this reason, the list of architectural monuments was subject to politically motivated manipulations not only during Stalin's time, but also later. The political situation after the occupation in 1940 required to adapt to the sovietization demands, didactically dividing cultural monuments into “progressive” and “bourgeois” or those unfit for socialist construction. The history of the cultural heritage protection measures has been related to politics. With the growing importance of cultural heritage in the formation of historical memory, the protection and promotion of monuments becomes an essential part of the ideology of nation states. A change in the state power means a change in the dominant political ideology, which affects the work of state institutions in the protection of cultural heritage. The research topic has an interdisciplinary nature with the intertwining of political, economic and social aspects. The cultural heritage includes the political dimension and its role in shaping national identity models. The rise of the Duchy of Courland in the first half of the 18th century made a serious contribution to the landscape of the Lielupe left bank basin in the Zemgale region. The landscape of the both historical ensembles of Svete and Vircava manors was disturbed (fragmented) by the economic and political position of the state. The basis for that was bringing new infrastructure in the nature. As a result of political, economic and social pressures, the landscapes of cultural and historical manors have, over the centuries, fragmented and transformed the use of the original structure and functional landscape. The aim of the research is to identify and emphasize the causes and consequences of the fragmentation of the cultural and historical landscape of manors.
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Busse, Maria, Felix Zoll, Rosemarie Siebert, Annette Bartels, Anke Bokelmann, and Phillipp Scharschmidt. "How farmers think about insects: perceptions of biodiversity, biodiversity loss and attitudes towards insect-friendly farming practices." Biodiversity and Conservation 30, no. 11 (July 19, 2021): 3045–66. http://dx.doi.org/10.1007/s10531-021-02235-2.

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AbstractAn alarming decrease of insects in number and variety calls for measures of protection and promotion, since insects are crucial for the functioning of ecosystems and provide multiple ecosystem services. Agricultural landscapes can provide vast insect habitats if they are managed accordingly. However, little is known about farmers’ problem awareness and attitudes toward insect biodiversity loss, related farming practises, or alternative acceptable insect-friendly solutions. To fill these research gaps, this paper aimed to reveal farmers’ perceptions and attitudes regarding these aspects in two German case studies. We conducted 23 semi-structured interviews with farmers in 2019 and qualitatively analysed them using semantic web analysis. Farmers mostly reported awareness of insects’ ecosystem services and disservices related to agricultural production rather than mentioning the holistic ecological importance of insects. About half of the farmers confirmed insect loss based on their own observations, whereas a similar number doubted there had been a decrease of insects. Most farmers are open-minded towards insect-friendly measures if financially compensated. The farmers also mentioned a joint societal responsibility for insects, economic pressure on farmers to use pesticides due to global market prices, and unbalanced agricultural policies. This study revealed in-depth insights into farmers’ thinking about insects and how farmers contextualise arguments. Our results identified overlaps in farmers’ mental models, which paves the way for co-designing insect-friendly farming practices in landscape labs. Local transformation efforts can also demonstrate new pathways for a shift on the higher levels.
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Sugiyama, Masahiro, Shinichiro Fujimori, Kenichi Wada, Ken Oshiro, Etsushi Kato, Ryoichi Komiyama, Diego Silva Herran, Yuhji Matsuo, Hiroto Shiraki, and Yiyi Ju. "EMF 35 JMIP study for Japan’s long-term climate and energy policy: scenario designs and key findings." Sustainability Science 16, no. 2 (February 17, 2021): 355–74. http://dx.doi.org/10.1007/s11625-021-00913-2.

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AbstractIn June, 2019, Japan submitted its mid-century strategy to the United Nations Framework Convention on Climate Change and pledged 80% emissions cuts by 2050. The strategy has not gone through a systematic analysis, however. The present study, Stanford Energy Modeling Forum (EMF) 35 Japan Model Intercomparison project (JMIP), employs five energy-economic and integrated assessment models to evaluate the nationally determined contribution and mid-century strategy of Japan. EMF 35 JMIP conducts a suite of sensitivity analyses on dimensions including emissions constraints, technology availability, and demand projections. The results confirm that Japan needs to deploy all of its mitigation strategies at a substantial scale, including energy efficiency, electricity decarbonization, and end-use electrification. Moreover, they suggest that with the absence of structural changes in the economy, heavy industries will be one of the hardest to decarbonize. Partitioning of the sum of squares based on a two-way analysis of variance (ANOVA) reconfirms that mitigation strategies, such as energy efficiency and electrification, are fairly robust across models and scenarios, but that the cost metrics are uncertain. There is a wide gap of policy strength and breadth between the current policy instruments and those suggested by the models. Japan should strengthen its climate action in all aspects of society and economy to achieve its long-term target.
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Bertouille, S. "Wildlife law and policy." Animal Biodiversity and Conservation 35, no. 2 (December 2012): 159–61. http://dx.doi.org/10.32800/abc.2012.35.0159.

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One of the crucial issues of our decades is how to stop the loss of biodiversity. Policy–makers need reliable data to base their decisions on. Managing wildlife populations requires, first of all, science–based knowledge of their abundance, dynamics, ecology, behaviour and dispersal capacities based on reliable qualitative data. The importance of dialogue and communication with the local actors should be stressed (Sennerby Forsse, 2010) as bag statistics and other monitoring data in wildlife management could be more precise if local actors, notably hunters, were better informed and aware of their importance, especially in supporting existing and emerging policies at national and international levels. Another essential issue in wildlife management is the conflicts generated by humans and their activities when they interact with wildlife (Heredia & Bass, 2011). A sociologic approach is required to take into account those human groups whose interests are divergent, facilitating communication and collaborative learning among these users of the same ecosytem. Obstacles should be addressed and solutions devised to protect and encourage a sustainable use of this ecosystem in, as much as possible, a win–win relationship. Policy objectives and mana-gement strategies should be discussed and debated among the stakeholders involved, then formulated. Policies can be translated into different types of instruments, economic and legislative, but also informative and educa-tive. As awareness of the actors is a key factor of successful regulation, the regulations should be sufficiently explained and stakeholders should be involved in the implementation of these regulations as much as possible. Finally, the effectiveness of the regulations should be evaluated in light of their objectives, and where necessary, the regulations should be strengthened or adapted to improve their performance (Van Gossum et al., 2010).The various aspects of the processes described above were highlighted in the plenary talk and the five oral communications presented during the session on wildlife law and policy. In his plenary talk, Dr Borja Heredia, Head of the Scientific Unit of the Secretariat of the CMS/UNEP in Bonn, pointed out different sources of human–wildlife conflicts, such as the logging activities in subtropical forests that induce overexploitation and poaching for bushmeat consumption; the problem of predators on livestock and the poisoning of lions in the Masaï Reserve; animals invading the human territory; and game species as a vector of diseases in humans and livestock (Heredia & Bass, 2011). Heredia stressed the importance for wildlife managers to deal with the human dimension; he stressed the importance of successful conflict management based on principles such as a non–adversial framework, an analytical approach, a problem–solving orientation, the direct participation of the conflicting parties, dialogue as a basis for mutual understanding and facilitation by a trained third party. Heredia explained how the Convention on Migratory Species of Wild Animals (UNEP/CMS) contributes to confict resolution and in this way increases the chance of survival of these species. The CMS (see CMS website) works for the con-servation of a wide array of endangered migratory animals worldwide through the negotiation and implementation of agreements and action plans. Migratory species threatened with extinction are listed in Appendix I of the Con-vention. CMS parties strive towards strictly protecting these animals, conserving or restoring the places where they live, mitigating obstacles to migration and controlling other factors that might endanger them. Besides establishing obligations for each State joining the CMS, CMS promotes concerted action among the Range States of many of these species. Migratory species that need, or would significantly benefit from, international co–operation are listed in Appendix II of the Convention. For this reason, the Convention encourages the Range states to reach global or regional agreements. The Convention acts, in this res-pect as a framework convention. The Agreements may range from legally binding treaties (called agreements, there are seven) to less formal instruments, such as Memoranda of Understanding, or actions plans (there are 20), and they can be adapted to the requirements of particular regions. The development of models tailored according to the conservation needs throughout the migratory range is a unique capacity to CMS. Heredia detailed inter alia the Agreement on the Conservation of Albatrosses and Petrels, the Great Apes Survival Part-nership, the Agreement on the Conservation of Gorillas and their Habitats, the MoU on the Saïga Antelope, and the Programme for the Conservation and sustainable use of the wild saker falcon (Falco cherrug) in Mongolia.The talk of Sarah Wilks, research fellow at the School of Law, University of Western Sydney, illus-trated the importance of adequate transparency and public consultation in environmental and conservation law and decision making. Wilks (2012) examined the Australian legislation concerning animal welfare and the export of Australian wildlife products and, as a case study, explored the Tasmanian State Government’s recent decision to promote the com-mercial harvest and export of brushtail possums She pointed out that although the Enviromment Protection and Biodiversity Conservation 1999 (EPBC) process intended to be open and co–operative, it is not, in prac-tice, co–operative, public and transparent. The export of possum products requires Australian Government approval under the Department of Primary Industries, Parks, Water and Environment (EPBC). Wilks (2012) assessed the Tasmanian Wildlife Trade Management Plan for Common Brushtail Possums developed by the EPBC, the public submissions to the Austra-lian Government, and the Australian Government’s response against the provisions of the EPBC. As a result, she deplored that welfare outcomes, like that of back or pouch juveniles whose mother had been trapped or killed have not been adequately considered either at Tasmanian State or at Australian Govenment level. She concluded by deploring that submissions on ethical grounds could not yet be considered by the Australian Government because the decision to harvest or not to harvest is made at State level, and yet the Tasmanian State legislation is deficient in mandating public consultation.Data on hunting and game resources provide quan-titative and qualitative information on game species, but moreover, game monitoring has shown to be efficient in identifying threats to biodiversity, such as biodiversity problems in agriculture and forest ecosystems, and also to be an early warning in assessing threats from invasive alien species (Sennerby Forsse, 2010). They are an essential tool for game managers, scientists and policy–makers, and hunters and hunter organisations are key resources in the collection of this information.The ARTEMIS data bank was initiated by the Federation of Asssociations of Hunting and Conservation of the Euro-pean Union FACE (see ARTEMIS website) to improve information about game in support of existing and emer-ging European policies. The objective of ARTEMIS is to centralise and analyse, in a coordinated and coherent Animal Biodiversity and Conservation 35.2 (2012)161extending the ban to all waterfowl hunting and not only that undertaken in protected wetlands.The presentation of K. E. Skordas, from the Hunting Federation of Macedonia and Thrace, Research Divi-sion, Greece, illustrated the contribution of the Hellenic Hunters Confederation (HHC) to law enforcement for wildlife protection. It showed how stakeholders, hun-ters, set up heir own Game Warden Service in 1999, through their Hunting Associations, in order to assume responsibility for the control of illegal hunting and wil-dlife protection, in collaboration with the local Forest Service. These game wardens carry out repressive and preventive controls and prosecutions. Besides this initiative, information campaigns are organised by the HHC to improve hunters’ awareness (see website of the Hellenic Hunters Confederation, HHC). Skordas & Papaspyropoulos (2011) analysed the relation between law enforcement, hunter awareness and infringement categories, classed in degree of influencing wildlife protection. They observed a strong reduction in the number of infringements; particularly, they found that hunting out of season and hunting without a license decreased from 23.4% to 7.31% and from 30.12% to 11.8%, respectively.All the talks presented in this session stressed the importance of dialogue in wildlife management as a basis for mutual understanding. Communication and involvement of the local actors/stakeholders are key factors at different stages of wildlife management: when collecting reliable data on which policy–makers may draw up their decisions, when debating policy objectives and strategies, and when implementing regulations and administrative acts
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C., Rosell, and F. Llimona. "Human–wildlife interactions." Animal Biodiversity and Conservation 35, no. 2 (December 2012): 219–20. http://dx.doi.org/10.32800/abc.2012.35.0219.

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219Animal Biodiversity and Conservation 35.2 (2012)© 2012 Museu de Ciències Naturals de BarcelonaISSN: 1578–665XRosell, C. & Llimona, F., 2012. Human–wildlife interactions. Animal Biodiversity and Conservation, 35.2: 219–220. The nature of wildlife management throughout the world is changing. The increase in the world’s human population has been accompanied by a rapid expansion of agricultural and urban areas and infrastructures, especially road and railway networks. Worldwide, wildlife habitats are being transformed and fragmented by human activities, and the behavior of several species has changed as a result of human activities. Some species have adapted easily to urban or peri–urban habitats and take advantage of the new resources available. These data provide the context for why human–wildlife interactions are increasing. At the 30th International Union of Game Biologists Congress held in Barcelona in early September 2011, in addition to two plenary presentations, 52 authors from 12 different countries and three continents presented 15 papers in the Interactions of Humans and Wildlife Session, three of which are included in this volume. To some extent, all the papers reflected the inherent difficulty in solving the complex problems caused either by rapidly increasing species that begin to inhabit urban and agricultural areas in numbers not seen previously (e.g. coyo-tes, Canis latrans, inhabiting big cities; wild boar, Sus scrofa, across western Europe; wood pigeons, Columba palumbus, in France), or species whose populations are threatened by human activities (e.g., Eurasian Lynx, Lynx lynx, in the Czech Republic). Some papers addressed the contentious issue of predator control (e.g., gamebirds in Great Britain), while others presented data regarding how human activities influenced animal behavior (e.g., pink footed geese, Anser brachyrhynchus; and red deer, Cervus elaphus, in Germany). The papers presented at the congress show how human activities affect the distributions and dynamics of wildlife populations and also change the behavior of some species. Wildlife causes social and economic con-flicts by damaging agricultural and forest resources, bringing about traffic collisions, and creating problems for residents in urban areas; while many are increasingly distant from nature and may not accept the presence of wildlife others may actively encourage the presence of wild animals. The first paper in this volume, by Cahill et al. (2012), analyzes the management challenges of the increasing abundance of wild boar in the peri–urban area of Barcelona. This conflict has arisen in other large cities in Europe and elsewhere. The presence of the species causes problems for many residents, to such an extent that it is considered a pest in these areas. Wild boar habituation has not only been facilitated by population expansion, but also by the attitudes of some citizens who encourage their presence by direct feeding. This leads to wild boar behavior modification and also promotes an increase in the fertility rate of habituated females, which are significantly heavier than non–habituated females. Public attitudes regarding the species and harvesting methods (at present most specimens are removed by live capture and subsequently sacrificed) are highlighted as one of the key factors in the management of the conflict. The second paper provides an example of how the distribution of irrigated croplands influences wild boar roadkills in NW Spain (Colino–Rabanal et al., 2012). By modeling the spatial distribution of wild boar collisions with vehicles and using generalized additive models based on GIS, the authors show that the number of roadkills is higher in maize croplands than in forested areas. This factor is the main explanatory variable in the model. The paper provides an excellent example of how the synergies of diverse human elements in the landscape (maize croplands and roads in this case) affect the location and dimensions of these types of conflicts. The third and final paper, by Belotti et al. (2012), addresses the effects of tourism on Eurasian lynx movements and prey usage at Šumava National Park in the Czech Republic. The monitoring of 5 GPS–collared lynxes and analyses of data regarding habitat features suggests that human disturbance (proximity of roads and tourist trails) can modify the presence of lynxes during the day close to the site where they have hidden a prey item, such as an ungulate, that can provide them with food for several days. In such cases, adequate management of tourism development must involve a commitment to species conservation. The analyses and understanding of all these phenomena and the design of successful wildlife management strategies and techniques used to mitigate the conflicts require a good knowledge base that considers informa-tion both about wildlife and human attitudes. The papers presented stress the importance of spatial analyses of the interactions and their relationship with landscape features and the location of human activities. Species distribution and abundance are related to important habitat variables such as provision of shelter, food, comfor-table spaces, and an appropriate climate. Therefore, it is essential to analyze these data adequately to predict where conflicts are most likely to arise and to design successful mitigation strategies. The second key factor for adequate management of human–wildlife interactions is to monitor system change. An analysis of the variety of data on population dynamics, hunting, wildlife collisions, and wildlife presence in urban areas would provide a basis for adaptive management. In this respect, in the plenary session, Steve Redpath mentioned the importance of the wildlife biologist’s attitude when interpreting and drawing conclusions from recorded data and stressed the importance of conducting clear, relevant, and transparent science for participants involved in the management decision process, which often involves a high number of stakeholders. All of the papers addressing the problems associated with human wildlife interactions were characterized by a common theme. Regardless of the specific nature of the problem, the public was generally divided on how the problem should be addressed. A particularly sensitive theme was that of population control methods, especially when conflicts are located in peri–urban areas. Several presenters acknowledged that public participation was necessary if a solution was to be reached. Some suggested, as have other authors (Heydon et al., 2010), that a legislative framework may be needed to reconcile human and wildlife interests. However, each problem that was presented appeared to involve multiple stakeholders with different opinions. Solving these kinds of problems is not trivial. Social factors strongly influence perceptions of human–wildlife conflicts but the methods used to mitigate these conflicts often take into account technical aspects but not people’s attitudes. A new, more innovative and interdisciplinary approach to mitigation is needed to allow us 'to move from conflict towards coexistence' (Dickman, 2010). Other authors also mentioned the importance of planning interventions that optimize the participation of experts, policy makers, and affected communities and include the explicit, systematic, and participatory evaluation of the costs and benefits of alternative interventions (Treves et al., 2009). One technique that has been used to solve problems like these is termed Structured Decision Making (SDM). This technique was developed by the U.S. Geological Survey and the U.S. Fish and Wildlife Service. As described by Runge et al. (2009), the process is 'a formal application of common sense for situations too complex for the informal use of common sense', and provides a rational framework and techniques to aid in prescriptive decision making. Fundamentally, the process entails defining a problem, deciding upon the objectives, considering the alternative actions and the consequences for each, using the available science to develop a model (the plan), and then making the decision how to implement (Runge et al., 2009). Although complex, SDM uses a facilitator to guide stakeholders through the process to reach a mutually agreed–upon plan of action. It is clear that human–wildlife interactions are inherently complex because many stakeholders are usually involved. A rational approach that incorporates all interested parties would seem to be a productive way of solving these kinds of problems
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Chetter, Ian, Catherine Arundel, Kerry Bell, Hannah Buckley, Karl Claxton, Belen Corbacho Martin, Nicky Cullum, et al. "The epidemiology, management and impact of surgical wounds healing by secondary intention: a research programme including the SWHSI feasibility RCT." Programme Grants for Applied Research 8, no. 7 (September 2020): 1–122. http://dx.doi.org/10.3310/pgfar08070.

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Background Most surgical incisions heal by primary intention (i.e. wound edges are apposed with sutures, clips or glue); however, some heal by secondary intention (i.e. the wound is left open and heals by formation of granulation tissue). There is, however, a lack of evidence regarding the epidemiology, management and impact on patients’ quality of life of these surgical wounds healing by secondary intention, resulting in uncertainty regarding effective treatments and difficulty in planning care and research. Objectives To derive a better understanding of the nature, extent, costs, impact and outcomes of surgical wounds healing by secondary intention, effective treatments, and the value and nature of further research. Design Cross-sectional survey; inception cohort; cost-effectiveness and value of implementation analyses; qualitative interviews; and pilot, feasibility randomised controlled trial. Setting Acute and community care settings in Leeds and Hull, Yorkshire, UK. Participants Adults (or for qualitative interviews, patients or practitioners) with previous experience of a surgical wound healing by secondary intention. Inclusion criteria varied between the individual workstreams. Interventions The pilot, feasibility randomised controlled trial compared negative-pressure wound therapy – a device applying a controlled vacuum to a wound via a dressing – with usual care (no negative-pressure wound therapy). Results Survey data estimated that treated surgical wounds healing by secondary intention have a point prevalence of 4.1 per 10,000 population (95% confidence interval 3.5 to 4.7 per 10,000 population). Surgical wounds healing by secondary intention most frequently occurred following colorectal surgery (n = 80, 42.8% cross-sectional survey; n = 136, 39.7% inception cohort) and were often planned before surgery (n = 89, 47.6% cross-sectional survey; n = 236, 60.1% inception cohort). Wound care was frequently delivered in community settings (n = 109, 58.3%) and most patients (n = 184, 98.4%) received active wound treatment. Cohort data identified hydrofibre dressings (n = 259, 65.9%) as the most common treatment, although 29.3% (n = 115) of participants used negative-pressure wound therapy at some time during the study. Surgical wounds healing by secondary intention occurred in 81.4% (n = 320) of participants at a median of 86 days (95% confidence interval 75 to 103 days). Baseline wound area (p ≤ 0.01), surgical wound contamination (determined during surgery; p = 0.04) and wound infection at any time (p ≤ 0.01) (i.e. at baseline or postoperatively) were found to be predictors of prolonged healing. Econometric models, using observational, cohort study data, identified that, with little uncertainty, negative-pressure wound therapy treatment is more costly and less effective than standard dressing treatment for the healing of open surgical wounds. Model A (ordinary least squares with imputation) effectiveness: 73 days longer than those who did not receive negative-pressure wound therapy (95% credible interval 33.8 to 112.8 days longer). Model A cost-effectiveness (associated incremental quality-adjusted life-years): observables –0.012 (standard error 0.005) and unobservables –0.008 (standard error 0.011). Model B (two-stage model, logistic and linear regression) effectiveness: 46 days longer than those who did not receive negative-pressure wound therapy (95% credible interval 19.6 to 72.5 days longer). Model B cost-effectiveness (associated incremental quality-adjusted life-years): observables –0.007 (standard error 0.004) and unobservables –0.027 (standard error 0.017). Patient interviews (n = 20) identified initial reactions to surgical wounds healing by secondary intention of shock and disbelief. Impaired quality of life characterised the long healing process, with particular impact on daily living for patients with families or in paid employment. Patients were willing to try any treatment promising wound healing. Health professionals (n = 12) had variable knowledge of surgical wound healing by secondary intention treatments and, frequently, favoured negative-pressure wound therapy, despite the lack of robust evidence. The pilot feasibility randomised controlled trial screened 248 patients for eligibility and subsequently recruited and randomised 40 participants to receive negative-pressure wound therapy or usual care (no negative-pressure wound therapy). Data indicated that it was feasible to complete a full randomised controlled trial to provide definitive evidence for the clinical effectiveness and cost-effectiveness of negative-pressure wound therapy as a treatment for surgical wounds healing by secondary intention. Key elements and recommendations for a larger randomised controlled trial were identified. Limitations This research programme was conducted in a single geographical area (i.e. Yorkshire and the Humber, UK) and local guidelines and practices may have affected treatment availability, and so may not represent UK-wide treatment choices. A wide range of wound types were included; however, some wound types may be under-represented, meaning that this research may not represent the overall surgical wound healing by secondary intention population. The lack of randomised controlled trial data on the relative effects of negative-pressure wound therapy in surgical wounds healing by secondary intention resulted in much of the economic modelling being based on observational data. Observational data, even with extensive adjustment, do not negate the potential for unresolved confounding to affect the results, which can reduce confidence in conclusions drawn from observational data. Definitive evidence from a randomised controlled trial may be the only way to overcome this lack of confidence. Conclusions This research has provided new information regarding the nature, extent, costs, impacts and outcomes of surgical wounds healing by secondary intention, treatment effectiveness, and the value and nature of future research, while addressing previous uncertainties regarding the problem of surgical wounds healing by secondary intention. Aspects of our research indicate that negative-pressure wound therapy is more costly and less effective than standard dressing for the healing of open surgical wounds. However, because this conclusion is based solely on observational data, it may be affected by unresolved confounding. Should a future randomised controlled trial be considered necessary, its design should reflect careful consideration of the findings of this programme of research. Future work This research signals the importance of further research on surgical wound healing by secondary intention. Key research questions raised by this programme of research include (1) which treatments are clinically effective and cost-effective for surgical wound healing by secondary intention for all patients or for particular patient subgroups? (2) Can particular prognostic factors predict time to healing of surgical wound healing by secondary intention? And (3) do psychosocial interventions have the potential to improve quality of life in people with hard-to-heal surgical wound healing by secondary intention? Given that negative-pressure wound therapy has been widely adopted, with relatively little evidence to support its use, the design and outcomes of a randomised controlled trial would need to be carefully considered. We focused in this research on wound healing, and maintain, based on the findings of patient interviews, that this is a key outcome for future research. Impacts of negative-pressure wound therapy on outcomes such as infection and reoperation should also be considered, as should patients’ views of the treatment. The type of patient group recruited and the outcomes of interest will all influence the duration of follow-up of any planned study. The comparator in any future study will also need careful consideration. Trial registration Current Controlled Trials ISRCTN12761776. Funding This project was funded by the National Institute for Health Research Programme Grants for Applied Research programme and will be published in full in Programme Grants for Applied Research; Vol. 8, No. 7. See the National Institute for Health Research Journals Library website for further project information.
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Nuppenau, Ernst-August. "Central and Decentral Aspects of Land Use: Optimizing Public Finance and Payments for Nature in Space by Control Theory." Operations Research Forum 3, no. 3 (August 17, 2022). http://dx.doi.org/10.1007/s43069-022-00123-1.

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AbstractPayments for eco-system services and nature (words are used synonymously) cannot be treated independently from spatial outlays. We adopt a modified “von Thünen” framework and ask for optimal land allocation in space in case of land rent change and regional preference. Yet, our approach is not circular; rather, we see provision of nature along transport routes (stretches, i.e. within a segment or wedge of circle) and ask whether nature (conservation) should be closer to cities or in the periphery; i.e. in terms of priorities, which are planning variables, nature is reckoned as integrated in farming instead of being a segregated entity. For the conflict of amenities from nature (usually wished closer to cities because of lesser transport costs for citizens) vs. provision at the periphery (because of lower opportunity costs), we develop a model which optionally foresees both nature along cities and in peripheral areas. Hereby, we work on the explicit question of land distribution between the two options in space. Our planning approach optimizes nature shares along a gradient from urban to peripheral areas. Further, we include land price dynamics, in general already very pronounced today in intensively used landscapes around cities, and reference to the situation that land prices close to cities are usually quite a bit higher than in periphery. This requests larger payments, inflicted on overall efficacy of programs. As nature provision conflicts with food provision and provate land use, models should also comprise food needs of cities. Yet, we reckon spatial opportunity costs and costs are minimized. Benefits in space for citizens are also spatially distributed. We suggest using control theory in order to attain a comprehensive analysis for and answer to regional priority setting. Archetypally, an integrated vs. a segregated nature provision concept is pursued; nature becomes relatively arranged in a mixed landscape, and farmers receive payments differently.
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Hernández-Blanco, Marcello, Monica Moritsch, Marilyn Manrow, and Leander Raes. "Coastal Ecosystem Services Modeling in Latin America to Guide Conservation and Restoration Strategies: The Case of Mangroves in Guatemala and El Salvador." Frontiers in Ecology and Evolution 10 (March 24, 2022). http://dx.doi.org/10.3389/fevo.2022.843145.

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We modeled the coastal protection and blue carbon ecosystem services provided by the mangroves of the Paz River Basin (El Salvador and Guatemala) using InVEST Coastal Vulnerability and Coastal Blue Carbon Models, with the goal of supporting the Regional Coastal Biodiversity Project of the International Union for the Conservation of Nature, in determining potential priority mangrove areas for conservation and restoration. To quantify the relative coastal protection that mangroves provide, we combined maps of different aspects of vulnerability, including ecological, physical, and social data. We also estimated carbon stocks, net sequestration, and the economic value of carbon sequestration as a service in 2050 and 2100. We then developed a combined index of coastal protection and carbon sequestration services to highlight potential priority conservation and restoration areas for mangroves. We found that in Guatemala the coastal protection service was provided in greater quantity in the province of Moyuta, while in El Salvador this service was the highest in the provinces of San Francisco Menéndez, Jujutla and Acajutla, which also had the greatest total carbon stock. In the Paz River Basin, we estimate there are approximately 1,741 hectares of mangroves that provide the highest coastal protection and carbon sequestration services. Furthermore, we identified 318.9 hectares across both countries where mangroves could potentially be restored.
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Maier, Thais Ferreira, Rubens de Miranda Benini, Cristina Fachini, and Paulo José Alves de Santana. "FINANCIAL ANALYSIS OF ENRICHMENT MODEL USING TIMBER AND NON-TIMBER PRODUCTS OF SECONDARY REMNANTS IN THE ATLANTIC FOREST." Revista Árvore 42, no. 6 (2018). http://dx.doi.org/10.1590/1806-90882018000600002.

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ABSTRACT Socio-economic aspects can limit the expansion of ecological restoration. One alternative to address this question is the development of restoration models that generate income to farmers in addition to the benefits from conservation itself. We designed and implemented the initiative "Sustenta A Mata," a project developed by The Nature Conservancy and supported by the Brazilian Development Bank (BNDES), to generate economic and social benefits for the communities involved. This study aims to analyze the financial viability of the enrichment restoration initiative in forest remnants based on a 30 year projection. The project was implemented on 17 hectares of land that included timber and non-timber species with a focus on the Juçara Palm (Euterpe edulis Mart.) for the production of fruit. Estimated earnings come from both the production of timber and juçara fruits. We considered input, equipment and labor costs for implementation, maintenance, and harvesting. For the economic analysis we used the following criteria: Net Present Value (NPV); Return on Investment (ROI); Benefit/Cost Ratio (B/C), and Payback. From these indicators the following values were obtained as results: US$4,040.80 of NPV, 13 percent of ROI, 1.59 of B/C and a 13-year Payback. These positive results for the aforementioned indicators reveal that the use of the enrichment restoration initiatives utilized in this project may contribute to the economic viability of the endeavor, contributing to a greater sustainability in rural areas.
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Onuchin, A., Т. Burenina, А. Shvidenko, D. Prysov, and A. Musokhranova. "Zonal aspects of the influence of forest cover change on runoff in northern river basins of Central Siberia." Forest Ecosystems 8, no. 1 (July 7, 2021). http://dx.doi.org/10.1186/s40663-021-00316-w.

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Abstract Background Assessment of the reasons for the ambiguous influence of forests on the structure of the water balance is the subject of heated debate among forest hydrologists. Influencing the components of total evaporation, forest vegetation makes a significant contribution to the process of runoff formation, but this process has specific features in different geographical zones. The issues of the influence of forest vegetation on river runoff in the zonal aspect have not been sufficiently studied. Results Based on the analysis of the dependence of river runoff on forest cover, using the example of nine catchments located in the forest-tundra, northern and middle taiga of Northern Eurasia, it is shown that the share of forest cover in the total catchment area (percentage of forest cover, FCP) has different effects on runoff formation. Numerical experiments with the developed empirical models have shown that an increase in forest cover in the catchment area in northern latitudes contributes to an increase in runoff, while in the southern direction (in the middle taiga) extensive woody cover of catchments “works” to reduce runoff. The effectiveness of geographical zonality in regards to the influence of forests on runoff is more pronounced in the forest-tundra zone than in the zones of northern and middle taiga. Conclusion The study of this problem allowed us to analyze various aspects of the hydrological role of forests, and to show that forest ecosystems, depending on environmental conditions and the spatial distribution of forest cover, can transform water regimes in different ways. Despite the fact that the process of river runoff formation is controlled by many factors, such as temperature conditions, precipitation regime, geomorphology and the presence of permafrost, the models obtained allow us to reveal general trends in the dependence of the annual river runoff on the percentage of forest cover, at the level of catchments. The results obtained are consistent with the concept of geographic determinism, which explains the contradictions that exist in assessing the hydrological role of forests in various geographical and climatic conditions. The results of the study may serve as the basis for regulation of the forest cover of northern Eurasian river basins in order to obtain the desired hydrological effect depending on environmental and economic conditions.
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Latombe, Guillaume, Hanno Seebens, Bernd Lenzner, Franck Courchamp, Stefan Dullinger, Marina Golivets, Ingolf Kühn, et al. "Capacity of countries to reduce biological invasions." Sustainability Science, July 20, 2022. http://dx.doi.org/10.1007/s11625-022-01166-3.

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AbstractThe extent and impacts of biological invasions on biodiversity are largely shaped by an array of socio-economic and environmental factors, which exhibit high variation among countries. Yet, a global analysis of how these factors vary across countries is currently lacking. Here, we investigate how five broad, country-specific socio-economic and environmental indices (Governance, Trade, Environmental Performance, Lifestyle and Education, Innovation) explain country-level (1) established alien species (EAS) richness of eight taxonomic groups, and (2) proactive or reactive capacity to prevent and manage biological invasions and their impacts. These indices underpin many aspects of the invasion process, including the introduction, establishment, spread and management of alien species. They are also general enough to enable a global comparison across countries, and are therefore essential for defining future scenarios for biological invasions. Models including Trade, Governance, Lifestyle and Education, or a combination of these, best explained EAS richness across taxonomic groups and national proactive or reactive capacity. Historical (1996 or averaged over 1996–2015) levels of Governance and Trade better explained both EAS richness and the capacity of countries to manage invasions than more recent (2015) levels, revealing a historical legacy with important implications for the future of biological invasions. Using Governance and Trade to define a two-dimensional socio-economic space in which the position of a country captures its capacity to address issues of biological invasions, we identified four main clusters of countries in 2015. Most countries had an increase in Trade over the past 25 years, but trajectories were more geographically heterogeneous for Governance. Declines in levels of Governance are concerning as they may be responsible for larger levels of invasions in the future. By identifying the factors influencing EAS richness and the regions most susceptible to changes in these factors, our results provide novel insights to integrate biological invasions into scenarios of biodiversity change to better inform decision-making for policy and the management of biological invasions.
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Álvarez Sánchez, Yolanda, Rubén Darío Díaz Mateus, and Jorge Enrique Saiz Vélez. "La población rural en los contextos de la nueva ruralidad y del proyecto región capital: borramiento, resistencia e hibridación / The Rural Population in the Context of New Rural Life and Project Capital Región: Effacement, Resistance and Hybridization." Revista Internacional de Ciencias Sociales 4, no. 1 (March 6, 2015). http://dx.doi.org/10.37467/gka-revsocial.v4.800.

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ABSTRACTThe "new rurality" means not only the influence of neoliberal policies in Europe and America have had in rural areas but as, fundamentally, the relationship of reciprocity or resistance that exists between the social and business actors , Indians, peasants and the state in ideological aspects of geographic nature (the urbanization of the countryside, for example), political (the effacement of the other as a peasant, the loss of their identity), economic (the presence of transnational corporations controlling agricultural production and livestock), cultural (the loss of "tradition" as a category that implies the conservation of values and norms of behavior, etc.), religious (paradigm shifts in relation to the concepts of land and property they provide and the breakdown of the relationship man - earth man - nature). Three categories are fundamental in relation to the study of living conditions of the rural population in the above mentioned context: a) the phenomena of "resistance" to the peasants, men and women have faced in terms of policies misnamed "rural development"; b) the erasure by canceling their traditions and their identity c) the phenomenon of hybridization as a result of reciprocity in the integration processes of different models of life. Such categories are widely developed from evidence inductive section through which sets the type of life they live in rural communities where the effects of urban population growth affect everyday and engages.RESUMENSe entiende la “nueva ruralidad” no sólo como la influencia de las políticas neoliberales que tanto en Europa como en América han tenido en el medio rural1 sino como, y fundamentalmente, la relación de reciprocidad o resistencia que se establece entre los actores sociales y empresariales, indígenas, campesinos y el Estado en aspectos ideológicos de índole geográfico ( la urbanización del campo, por ejemplo), político ( el borramiento del otro como campesino; la pérdida de su identidad), económico (la presencia de empresas transnacionales controlando la producción agrícola y ganadera), cultural (la pérdida de la “tradición” como categoría que implica la conservación de valores y normas de comportamiento, etc.), religioso (los cambios de paradigma en relación con las concepciones de la tierra y los bienes que éstos proveen y la ruptura de la relación hombre – tierra; hombre – naturaleza). Tres categorías son fundamentales en relación con el estudio de las condiciones de vida de la población rural en el contexto arriba señalado: a) los fenómenos de “resistencia” que los campesinos, hombres y mujeres, han tenido que enfrentar en función de las políticas del mal llamado “desarrollo rural”; b) el borramiento que implica la anulación de sus tradiciones y de su identidad y c) el fenómeno de hibridación como conse-cuencia de la reciprocidad en los procesos de integración de modelos de vida distintos. Tales categorías serán ampliamente desarrolladas a partir de las evidencias de corte inductivo a través de las cuales se configura el tipo de vida que viven las poblaciones rurales donde los efectos del crecimiento poblacional urbano día a día los afectan y los involucra.
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Jaramillo, George Steve. "Enabling Capabilities: Innovation and Development in the Outer Hebrides." M/C Journal 20, no. 2 (April 26, 2017). http://dx.doi.org/10.5204/mcj.1215.

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Image 1: View from Geodha Sgoilt towards the sea stacks, Uig, Isle of Lewis. Image credit: George Jaramillo.IntroductionOver the cliffs of Mangerstadh on the west coast of the Isle of Lewis, is a small plot of land called Geodha Sgoilt that overlooks the North Atlantic Ocean (Image 1). On the site is a small dirt gravel road and the remnants of a World War II listening station. Below, sea stacks rise from the waters, orange and green cliff sides stand in defiance to the crashing waves. An older gentleman began to tell me of what he believed could be located here on the site. A place where visitors could learn of the wonders of St Kilda that contained all types of new storytelling technologies to inspire them. He pointed above the ruined buildings, mentioning that a new road for the visitors’ vehicles and coaches would be built. With his explanations, you could almost imagine such a place on these cliffs. Yet, before that new idea could even be built, this gentleman and his group of locals and incomers had to convince themselves and others that this new heritage centre was something desired, necessary and inevitable in the development of the Western Isles.This article explores the developing relationships that come about through design innovation with community organisations. This was done through a partnership between an academic institution and a non-profit heritage community group as part of growing study in how higher education design research can play an active partner in community group development. It argues for the use of design thinking and innovation in improving strategy and organisational processes within non-profit organisations. In this case, it looks at what role it can play in building and enabling organisational confidence in its mission, as well as, building “beyond the museum”. The new approach to this unique relationship casts new light towards working with complexities and strategies rather than trying to resolve issues from the outset of a project. These enabling relationships are divided into three sections of this paper: First it explores the context of the island community group and “building” heritage, followed by a brief history of St Kilda and its current status, and designation as a World Heritage site. Second, it seeks the value of developing strategy and the introduction of the Institute of Design Innovation (INDI). This is followed by a discussion of the six-month relationship and work that was done that elucidates various methods used and ending with its outcomes. The third section reflects upon the impacts at the relationship building between the two groups with some final thoughts on the partnership, where it can lead, and how this can represent new ways of working together within community groups. Building HeritageCurrent community research in Scotland has shown struggles in understanding issues within community capability and development (Barker 11; Cave 20; Jacuniak-Suda, and Mose 23) though most focus on the land tenure and energy (McMorran 21) and not heritage groups. The need to maintain “resilient” (Steiner 17) communities has shown that economic resilience is of primary importance for these rural communities. Heritage as economic regenerator has had a long history in the United Kingdom. Some of these like the regeneration of Wirksworth in the Peak District (Gordon 20) have had great economic results with populations growing, as well as, development in the arts and design. These changes, though positive, have also adversely impacted the local community by estranging and forcing lower income townspeople to move away due to higher property values and lack of work. Furthermore, current trends in heritage tourism have managed to turn many rural regions into places of historic consumption (Ronström 7) termed “heritagisation” (Edensor 35). There is thus a need for critical reflection within a variety of heritage organisations with the increase in heritage tourism.In particular, existing island heritage organisations face a variety of issues that they focus too much on the artefactual or are too focused to strive for anything beyond the remit of their particular heritage (Jacuniak-Suda, and Mose 33; Ronström 4). Though many factors including funding, space, volunteerism and community capability affect the way these groups function they have commonalities that include organisational methods, volunteer fatigue, and limited interest from community groups. It is within this context that the communities of the Outer Hebrides. Currently, projects within the Highlands and islands focus on particular “grassroots” development (Cave 26; Robertson 994) searching for innovative ways to attract, maintain, and sustain healthy levels of heritage and development—one such group is Ionad Hiort. Ionad Hiort Ionad Hiort is a community non-profit organisation founded in 2010 to assist in the development of a new type of heritage centre in the community of Uig on the Isle of Lewis (“Proposal-Ionad Hiort”). As stated in their website, the group strives to develop a centre on the history and contemporary views of St Kilda, as well as, encouraging a much-needed year-round economic impetus for the region. The development of the group and the idea of a heritage centre came about through the creation of the St Kilda Opera, a £1.5 million, five-country project held in 2007, led by Scotland’s Gaelic Arts agency, Proiseact nan Ealan (Mckenzie). This opera, inspired by the cliffs, people, and history of St Kilda used creative techniques to unite five countries in a live performance with cliff aerobatics and Gaelic singing to present the island narrative. From this initial interest, a commission from the Western Isles council (2010), developed by suggestions and commentary from earlier reports (Jura Report 2009; Rebanks 2009) encouraged a fiercely contentious competition, which saw Ionad Hiort receive the right to develop a remote-access heritage centre about the St Kilda archipelago (Maclean). In 2013, the group received a plot of land from the local laird for the establishment of the centre (Urquhart) thereby bringing it closer to its goal of a heritage centre, but before moving onto this notion of remote-heritage, a brief history is needed on the archipelago. Image 2: Location map of Mangerstadh on the Isle of Lewis and St Kilda to the west, with inset of Scotland. Image credit: © Crown Copyright and Database Right (2017). Ordnance Survey (Digimap Licence).St KildaSt Kilda is an archipelago about 80 kilometres off the coast of the Outer Hebrides in the North Atlantic (Image 2). Over 2000 years of habitation show an entanglement between humans and nature including harsh weather, limited resources, but a tenacity and growth to develop a way of living upon a small section of land in the middle of the Atlantic. St Kilda has maintained a tenuous relationship between the sea, the cliffs and the people who have lived within its territory (Geddes, and Gannon 18). Over a period of three centuries beginning in the eighteenth century an outside influence on the island begin to play a major role, with the loss of a large portion of its small (180) population. This population would later decrease to 100 and finally to 34 in 1930, when it was decided to evacuate the final members of the village in what could best be called a forced eviction.Since the evacuation, the island has maintained an important military presence as a listening station during the Second World War and in its modern form a radar station as part of the Hebridean Artillery (Rocket) Range (Geddes 14). The islands in the last thirty years have seen an increase in tourism with the ownership of the island by the National Trust of Scotland. The UNESCO World Heritage Organisation (UNESCO), who designated St Kilda in 1986 and 2004 as having outstanding universal value, has seen its role evolve from not just protecting (or conserving) world heritage sites, but to strategically understand sustainable tourism of its sites (“St Kilda”). In 2012, UNESCO selected St Kilda as a case study for remote access heritage conservation and interpretation (Hebrides News Today; UNESCO 15). This was partly due to the efforts of 3D laser scanning of the islands by a collaboration between The Glasgow School of Art and Historic Environment Scotland called the Centre for Digital Documentation and Visualisation (CDDV) in 2009.The idea of a remote access heritage is an important aspect as to what Ionad Hiort could do with creating a centre at their site away from St Kilda. Remote access heritage is useful in allowing for sites and monuments to be conserved and monitored “from afar”. It allows for 3D visualisations of sites and provides new creative engagements with a variety of different places (Remondino, and Rizzi 86), however, Ionad Hiort was not yet at a point to even imagine how to use the remote access technology. They first needed a strategy and direction, as after many years of moving towards recognition of proposing the centre at their site in Uig, they had lost a bit of that initial drive. This is where INDI was asked to assist by the Highlands and Islands Enterprise, the regional development organisation for most of rural Scotland. Building ConfidenceINDI is a research institute at The Glasgow School of Art. It is a distributed, creative collective of researchers, lecturers and students specialising in design innovation, where design innovation means enabling creative capabilities within communities, groups and individuals. Together, they address complex issues through new design practices and bespoke community engagement to co-produce “preferable futures” (Henchley 25). Preferable futures are a type of future casting that seeks to strive not just for the probable or possible future of a place or idea, but for the most preferred and collectively reached option for a society (McAra-McWilliam 9). INDI researches the design processes that are needed to co-create contexts in which people can flourish: at work, in organisations and businesses, as well as, in public services and government. The task of innovation as an interactive process is an example of the design process. Innovation is defined as “a co-creation process within social and technological networks in which actors integrate their resources to create mutual value” (Russo‐Spena, and Mele 528). Therefore, innovation works outside of standard consultancy practices; rather it engenders a sense of mutual co-created practices that strive to resolve particular problems. Examples include the work that has looked at creating cultures of innovation within small and medium-sized enterprises (Lockwood 4) where the design process was used to alter organisational support (Image 3). These enterprises tend to emulate larger firms and corporations and though useful in places where economies of scale are present, smaller business need adaptable, resilient and integrated networks of innovation within their organisational models. In this way, innovation functioned as a catalyst for altering the existing organisational methods. These innovations are thus a useful alternative to existing means of approaching problems and building resilience within any organisation. Therefore, these ideas of innovation could be transferred and play a role in enabling new ways of approaching non-profit organisational structures, particularly those within heritage. Image 3: Design Council Double Diamond model of the design process. Image credit: Lockwood.Developing the WorkIonad Hiort with INDI’s assistance has worked together to develop a heritage centre that tries to towards a new definition of heritage and identity through this island centre. Much of this work has been done through local community investigations revolving around workshops and one-on-one talks where narratives and ideas are held in “negative capability” (McAra-McWilliam 2) to seek many alternatives that would be able to work for the community. The initial aims of the partnership were to assist the Uig community realise the potential of the St Kilda Centre. Primarily, it would assist in enabling the capabilities of two themes. The first would be, strategy, for Ionad Hiort’s existing multi-page mission brief. The second would be storytelling the narrative of St Kilda as a complex and entangled, however, its common views are limited to the ‘fall from grace’ or ‘noble savage’ story (Macdonald 168). Over the course of six months, the relationship involved two workshops and three site visits of varying degrees of interaction. An initial gathering had InDI staff meet members of Ionad Hiort to introduce members to each other. Afterwards, INDI ran two workshops over two months in Uig to understand, reflect and challenge Ionad Hiort’s focus on what the group desired. The first workshop focused on the group’s strategy statement. In a relaxed and facilitated space in the Uig Community Hall, the groups used pens, markers, and self-adhesive notes to engage in an open dialogue about the group’s desires. This session included reflecting on what their heritage centre could look like, as well as what their strategy needed to get there. These resulted in a series of drawings of their ‘preferred’ centre, with some ideas showing a centre sitting over the edge of the cliffs or one that had the centre be an integral component of the community. In discussing that session, one of members of the group recalled:I remember his [one of INDI’s staff] interrogation of the project was actually pretty – initially – fairly brutal, right? The first formal session we had talking about strategy and so on. To the extent that I think it would be fair to say he pissed everybody off, right? So much so that he actually prompted us to come back with some fairly hard hitting ripostes, which, after a moment’s silence he then said, ‘That’s it, you’ve convinced me’, and at that point we kind of realised that that’s what he’d been trying to do; he’d been trying to really push us to go further in our articulation of what we were doing and … why we were doing it in this particular way than we had done before. (Participant A, 2016).The group through this session found out that their strategy could be refined into a short mission statement giving a clear focus as to what they wanted and how they wanted to go about doing it. In the end, drawings, charts, stories (Image 4) were drawn to reflect on what the community had discussed. These artefacts became a key role-player in the following months of the development of the group. Image 4: View of group working through their strategy workshop session. Image credit: Fergus Fullarton-Pegg (2014). The second set of workshops and visits involved informal discussion with individual members of the group and community. This included a visit to St Kilda with members from INDI, Ionad Hiort and the Digital Design Studio, which allowed for everyone to understand the immensity of the project and its significance to World Heritage values. The initial aims thus evolved into understanding the context of self-governance for distributed communities and how to develop the infrastructure of development. As discussed earlier, existing development processes are useful, though limited to only particular types of projects, and as exemplified in the Highlands and Islands Enterprise and Western Isles Council commission, it tends to put communities against each other for limited pots of money. This existing system can be innovated upon by becoming creative liaisons, sharing and co-creating from existing studies to help develop more effective processes for the future of Ionad Hiort and their ‘preferable future’. Building RelationshipsWhat the relationship with GSA has done, as a dialogue with the team of people that have been involved, has been to consolidate and clarify our own thinking and to get us to question our own thinking across several different aspects of the whole project. (Participant A, 2016)As the quote states, the main notion of using design thinking has allowed Ionad Hiort to question their thinking and challenge preconceptions of what a “heritage centre” is, by being a critical sounding board that is different from what is provided by consultants and other stakeholders. Prior to meeting INDI, Ionad Hiort may have been able to reach their goal of a strategy, however, it would have taken a few more years. The work, which involved structured and unstructured workshops, meetings, planning events, and gatherings, gave them a structured focus to move ahead with their prospectus planning and bidding. INDI enabled the compression and focus of their strategy making and mission strategy statement over the course of six months into a one-page statement that gave direction to the group and provided the impetus for the development of the prospectus briefs. Furthermore, INDI contributed a sense of contemporary content to the historic story, as well as, enable the community to see that this centre would not just become another gallery with café. The most important outcome has been an effective measure in building relationships in the Outer Hebrides, which shows the changing roles between academic and third sector partnerships. Two key points can be deemed from these developing relationships: The first has been to build a research infrastructure in and across the region that engages with local communities about working with the GSA, including groups in North Uist, Barra and South Uist. Of note is a comment made by one of the participants saying: “It’s exciting now, there’s a buzz about it and getting you [INDI] involved, adding a dimension—we’ve got people who have got an artistic bent here but I think your enthusiasm, your skills, very much complement what we’ve got here.” (Participant B, 2016). Second, the academic/non-profit partnership has encouraged younger people to work and study in the area through a developing programme of student research activity. This includes placing taught masters students with local community members on the South Uist, as well as, PhD research being done on Stornoway. These two outcomes then have given rise to interest in not only how heritage is re-developed in a community, but also, encourages future interest, by staff and students to continue the debate and fashion further developments in the region (GSAmediacentre). Today, the cliffs of Mangerstadh continue to receive the pounding of waves, the blowing wind and the ever-present rain on its rocky granite surface. The iterative stages of work that the two groups have done showcase the way that simple actions can carve, change and evolve into innovative outcomes. The research outcomes show that through this new approach to working with communities we move beyond the consultant and towards an ability of generating a preferable future for the community. In this way, the work that has been created together showcases a case study for further island community development. We do not know what the future holds for the group, but with continued support and maintaining an open mind to creative opportunities we will see that the community will develop a space that moves “beyond the museum”. AcknowledgementsThe author would like to thank Ionad Hiort and all the residents of Uig on the Isle of Lewis for their assistance and participation in this partnership. For more information on their work please visit http://www.ionadhiort.org/. The author also thanks the Highlands and Islands Enterprise for financial support in the research and development of the project. Finally, the author thanks the two reviewers who provided critical commentary and critiques to improve this paper. ReferencesBarker, Adam. “Capacity Building for Sustainability: Towards Community Development in Coastal Scotland.” Journal of Environmental Management 75.1 (2005): 11-19. 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UNESCO. 6 Apr. 2017 <www.whc.unesco.org/en/list/387/>.Steiner, Artur, and Marianna Markantoni. “Unpacking Community Resilience through Capacity for Change.” Community Development Journal 49.3 (2014): 407-25.Shortall, S. “Rural Development in Practice: Issues Arising in Scotland and Northern Ireland.” Community Development Journal 36.2 (2001): 122-33. UNESCO. Using Remote Access Technologies: Lessons Learnt from the Remote Access to World Heritage Sites – St Kilda to Uluru Conference. London, 2012. Urquhart, Frank. “St Kilda Visitor Centre in Hebrides Step Closer.” People Places, The Scotsman 20 Nov. 2013. 6 Apr. 2017 <www.scotsman.com/heritage/people-places/st-kilda-visitor-centre-in-hebrides-step-closer-1-3195287>. Watson, Amy. “Plans for St Kilda Centre at Remote World Heritage Site.” People Places, The Scotsman 16 Aug. 2016. 6 Apr. 2017 <www.scotsman.com/heritage/people-places/plans-for-st-kilda-centre-at-remote-world-heritage-site-1-4204606>.
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