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1

Solvang, Ole. Democracy in the crossfire: Opposition violence and government abuses in the 2014 pre- and post-election period in Bangladesh. New York]: Human Rights Watch, 2014.

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2

Mazumdar, Dipak. Measurement and determinants of poverty in pre and post reform period in India: An analysis for India and major states. New Delhi: Institute for Human Development, 2004.

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3

1942-, Österberg Eva, and Sogner Sølvi 1932-, eds. People meet the law: Control and conflict-handling in the courts : the Nordic countries in the post-Reformation and pre-industrial period. [Oslo]: Universitetsforlaget, 2000.

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Drain, Cecil B. The recovery room: A critical care approach to post anesthesia nursing. 2nd ed. Philadelphia: Saunders, 1987.

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5

Balʹtermant͡s, D. Faces of a nation: The rise and fall of the Soviet Union, 1917-1991. Golden, Colo: Fulcrum Pub., 1996.

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6

1925-, Davies R. W., ed. The Russian revolution: From Lenin to Stalin : 1917-1929. New York: Palgrave Macmillan, 2003.

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7

Strindberg, August. Selected Plays: The Pre-Inferno Period, the Post-Inferno Period. Univ of Minnesota Pr (Trd), 1986.

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8

Blenkinsopp, Joseph. Essays on Judaism in the Pre-Hellenistic Period. de Gruyter GmbH, Walter, 2017.

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9

Blenkinsopp, Joseph. Essays on Judaism in the Pre-Hellenistic Period. de Gruyter GmbH, Walter, 2017.

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10

Patibandla, Murali. International Trade and Investment Behaviour of Firms. Oxford University Press, 2020. http://dx.doi.org/10.1093/oso/9780190126865.001.0001.

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During last four decades the world has been significantly impacted by globalization and rapid technological changes. This in turn had major effects on the global economy. Several developing and socialist economies that earlier followed closed door and import substitution policies started to open their economies to world trade and investments. Some such countries, as India, managed to achieve a degree of economic prosperity over the last few years after opening their economy. The analyses in this book show that there are significant benefits from international trade and investment to emerging economies that possess critical-level initial conditions in technology, infrastructure, and ease of doing business, and have friendly policies. Focusing on Indian firms, the book spans the period from the pre-reform era to the post-reform era, when the market was responding to policy reforms and global market dynamics. It analyses firm-level behaviour with systematic theory and corresponding rigorous econometrics and qualitative information from field study across the country. In the Pre-reforms era, it was mostly small and medium scale firms that contributed to exports while most large firms were inward oriented in search of monopoly profits. This changed significant in the Post-reform era owing increased competitive conditions especially multinational firms. Large firms started to play important role in international trade and investment behaviour by acquiring world class technology and organizational practices.
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11

Heger, Paul. Cult As the Catalyst for Division: Cult Disputes As the Motive for Schism in the Pre-70 Pluralistic Environment. BRILL, 2007.

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12

Di Nino, Virginia, Barry Eichengreen, and Massimo Sbracia. Real Exchange Rates, Trade, and Growth. Edited by Gianni Toniolo. Oxford University Press, 2013. http://dx.doi.org/10.1093/oxfordhb/9780199936694.013.0013.

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What is the relationship between real exchange rate misalignments and economic growth? And what effect, if any, did undervaluations or overvaluations of the lira/euro have on Italy's growth? This chapter addresses these questions by presenting, first, three main facts: (i) there is a positive relationship between undervaluation and growth; (ii) this relationship is strong for developing countries and weak for advanced countries; (iii) these results tend to hold for both the pre- and the post-World War II period. Building a simple analytical model, we explore channels through which undervaluation may exert a positive effect on real GDP. We assume that productivity is higher in the tradable-goods than in the non-tradable-goods sector, and examine the roles of market structure, scale economies, and wage flexibility in channelling resources from the latter to the former sector, increasing exports and real GDP. We then turn to Italy and verify empirically that, as the theory suggests, undervaluation has positively affected its exports. Undervaluation has been helpful, in particular, to increase the exports of high-productivity sectors, such as most manufacturing industries. Finally, we describe the misalignments of the lira/euro since 1861, analyze their determinants and draw the implications for Italy's economic growth.
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13

Baobaid, Mohammed, Lynda Ashbourne, Abdallah Badahdah, and Abir Al Jamal. Home / Publications / Pre and Post Migration Stressors and Marital Relations among Arab Refugee Families in Canada Pre and Post Migration Stressors and Marital Relations among Arab Refugee Families in Canada. 2nd ed. Hamad Bin Khalifa University Press, 2019. http://dx.doi.org/10.5339/difi_9789927137983.

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The study is funded by Doha International Family Institute (DIFI), a member of Qatar Foundation, and is a collaboration between the Muslim Resource Centre for Social Support and Integration of London, Ontario; University of Guelph, Ontario; and University of Calgary, Alberta, all located in Canada; and the Doha International Family Institute, Qatar. The study received research ethics approval from the University of Guelph and the University of Calgary. This study aims to assess the impact of pre- and post-migration on marital relationships and family dynamics for Arab refugee families resettled in Canada. The study also examines the role of professional service providers in supporting these Arab refugee families. The unique experiences of Arab families displaced from their countries due to war and political conflict, and the various hardships experienced during their stay in transit countries, impact their family relations and interactions within the nuclear family context and their interconnectedness with their extended families. Furthermore, these families encounter various challenges within their resettlement process that interrupt their integration. Understanding the impact of traumatic experiences within the pre-migration journey as well as the impact of post-migration stressors on recently settled Arab refugee families in Canada provides insight into the shift in spousal and family relationships. Refugee research studies that focus on the impact of pre-migration trauma and displacement, the migration journey, and post-migration settlement on family relationships are scarce. Since the majority of global refugees in recent years come from Arab regions, mainly Syria, as a result of armed conflicts, this study is focused on the unique experiences of Arab refugee families fleeing conflict zones. The Canadian role in recently resettling a large influx of Arab refugees and assisting them to successfully integrate has not been without challenges. Traumatic pre-migration experiences as a result of being subjected to and/or witnessing violence, separation from and loss of family members, and loss of property and social status coupled with experiences of hardships in transit countries have a profound impact on families and their integration. Refugees are subjected to individual and collective traumatic experiences associated with cultural or ethnic disconnection, mental health struggles, and discrimination and racism. These experiences have been shown to impact family interactions. Arab refugee families have different definitions of “family” and “home” from Eurocentric conceptualizations which are grounded in individualistic worldviews. The discrepancy between collectivism and individualism is mainly recognized by collectivist newcomers as challenges in the areas of gender norms, expectations regarding parenting and the physical discipline of children, and diverse aspects of the family’s daily life. For this study, we interviewed 30 adults, all Arab refugees (14 Syrian and 16 Iraqi – 17 males, 13 females) residing in London, Ontario, Canada for a period of time ranging from six months to seven years. The study participants were married couples with and without children. During the semi-structured interviews, the participants were asked to reflect on their family life during pre-migration – in the country of origin before and during the war and in the transit country – and post-migration in Canada. The inter - views were conducted in Arabic, audio-recorded, and transcribed. We also conducted one focus group with seven service providers from diverse sectors in London, Ontario who work with Arab refugee families. The study used the underlying principles of constructivist grounded theory methodology to guide interviewing and a thematic analysis was performed. MAXQDA software was used to facilitate coding and the identification of key themes within the transcribed interviews. We also conducted a thematic analysis of the focus group transcription. The thematic analysis of the individual interviews identified four key themes: • Gender role changes influence spousal relationships; • Traumatic experiences bring suffering and resilience to family well-being; • Levels of marital conflict are higher following post-migration settlement; • Post-migration experiences challenge family values. The outcome of the thematic analysis of the service provider focus group identified three key themes: • The complex needs of newly arrived Arab refugee families; • Gaps in the services available to Arab refugee families; • Key aspects of training for cultural competencies. The key themes from the individual interviews demonstrate: (i) the dramatic sociocul - tural changes associated with migration that particularly emphasize different gender norms; (ii) the impact of trauma and the refugee experience itself on family relation - ships and personal well-being; (iii) the unique and complex aspects of the family journey; and (iv) how valued aspects of cultural and religious values and traditions are linked in complex ways for these Arab refugee families. These outcomes are consist - ent with previous studies. The study finds that women were strongly involved in supporting their spouses in every aspect of family life and tried to maintain their spouses’ tolerance towards stressors. The struggles of husbands to fulfill their roles as the providers and protec - tors throughout the migratory journey were evident. Some parents experienced role shifts that they understood to be due to the unstable conditions in which they were living but these changes were considered to be temporary. Despite the diversity of refugee family experiences, they shared some commonalities in how they experi - enced changes that were frightening for families, as well as some that enhanced safety and stability. These latter changes related to safety were welcomed by these fami - lies. Some of these families reported that they sought professional help, while others dealt with changes by becoming more distant in their marital relationship. The risk of violence increased as the result of trauma, integration stressors, and escalation in marital issues. These outcomes illustrate the importance of taking into consideration the complexity of the integration process in light of post-trauma and post-migration changes and the timespan each family needs to adjust and integrate. Moreover, these families expressed hope for a better future for their children and stated that they were willing to accept change for the sake of their children as well. At the same time, these parents voiced the significance of preserving their cultural and religious values and beliefs. The service providers identified gaps in service provision to refugee families in some key areas. These included the unpreparedness of professionals and insufficiency of the resources available for newcomer families from all levels of government. This was particularly relevant in the context of meeting the needs of the large influx of Syrian refugees who were resettled in Canada within the period of November 2015 to January 2017. Furthermore, language skills and addressing trauma needs were found to require more than one year to address. The service providers identified that a longer time span of government assistance for these families was necessary. In terms of training, the service providers pinpointed the value of learning more about culturally appropriate interventions and receiving professional development to enhance their work with refugee families. In light of these findings, we recommend an increased use of culturally integrative interventions and programs to provide both formal and informal support for families within their communities. Furthermore, future research that examines the impact of culturally-based training, cultural brokers, and various culturally integrative practices will contribute to understanding best practices. These findings with regard to refugee family relationships and experiences are exploratory in their nature and support future research that extends understanding in the area of spousal relationships, inter - generational stressors during adolescence, and parenting/gender role changes.
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14

Toner, Andrew, Mark Hamilton, and Maurizio Cecconi. Post-surgery, post-anaesthesia complications. Edited by Jonathan G. Hardman. Oxford University Press, 2017. http://dx.doi.org/10.1093/med/9780199642045.003.0047.

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Postoperative complications are common in high-risk surgical populations and are associated with poor short-term and long-term outcomes. Morbidity can be identified using prospective assessment of pathological criteria, or deviations from the ideal postoperative course requiring clinical intervention. While infections are the most prevalent complication type, morbidity affecting the heart, lungs, kidneys, or brain carry the worst prognosis. Specific pathophysiological processes drive morbidity in each organ system. In addition, dysfunction of the cardiovascular and immune systems can lead to multiorgan impairment, and have been the focus of many clinical trials. Perioperative strategies backed by the strongest evidence base include smoking cessation, surgical safety checklists, perioperative warming, pre-emptive antibiotics, venous thromboembolism prophylaxis, enhanced recovery protocols, and early critical care rescue when complications arise. Isolated attempts to optimize cardiovascular function or attenuate inflammatory responses have not been consistently successful in improving outcomes. As the proportion of surgical patients meeting high-risk criteria rises, reducing the incidence of postoperative complications has become a priority in many developed healthcare systems. To meet this need, improved implementation of proven strategies should be combined with routine and rigorous surgical outcome reporting. In addition, advances in pathophysiological understanding may lead to novel interventions offering multisystem protection in the surgical period.
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15

Meaney, Michael J., and Rachel Yehuda. Epigenetic Mechanisms and the Risk for PTSD. Edited by Charles B. Nemeroff and Charles R. Marmar. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780190259440.003.0017.

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This chapter discusses the epigenetic mechanisms involved in individual variation in and persistence of post-traumatic stress disorder (PTSD). Such mechanisms make it possible to trace vulnerability for PTSD to effects that predate development of PTSD. While some may be genetic in origin, others may involve parental stress occurring pre-conception, in utero changes in the maternal environment contributing to developmental programming, and childhood adversity, resulting in modifications of genes’ contribution to PTSD risk. The chapter discusses epigenetic alterations implicated in hypothalamic–pituitary–adrenal (HPA) function in PTSD that mark increased risk. Unlike the transient alterations in neural, endocrine, or immunological signals that follow exposure to trauma, certain epigenetic markers can be chemically stable over extended periods and can serve as a basis for understanding the persistence of PTSD symptoms. The chapter concludes with a discussion of how epigenetic modification may offer insights into future treatments for PTSD.
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16

Perkins, Claire. Post-operative complications. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780199642663.003.0015.

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Surgical patients are at risk of post-operative complications. A thorough pre-operative assessment and the implementation of appropriate care/treatment plans will reduce the likelihood of complications occurring. The surgical nurse should have a good knowledge and understanding of recognizing, preventing, and treating post-operative complications. The ABCDE approach should be used in the immediate post-operative period and if the patient becomes acutely unwell. This chapter uses body systems and the ABCDE approach to review post-operative complications.
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17

The Survivors of Israel: A Reconsideration of the Theology of Pre-Christian Judaism. Wm. B. Eerdmans Publishing Company, 2000.

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18

Cult As the Catalyst for Division: Cult Disputes As the Motive for Schism in the Pre-70 Pluralistic Environment (Studies on the Texts of the Desert of Judah). Brill Academic Publishers, 2007.

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19

Rostagno, Massimo, Carlo Altavilla, Giacomo Carboni, Wolfgang Lemke, Roberto Motto, Arthur Saint Guilhem, and Jonathan Yiangou. Monetary Policy in Times of Crisis. Oxford University Press, 2021. http://dx.doi.org/10.1093/oso/9780192895912.001.0001.

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The 20th anniversary of Economic and Monetary Union (EMU) offers an opportunity to look back on the record of the European Central Bank (ECB) and learn lessons that can improve the conduct of policy in the future. This volume charts the way the ECB has defined, interpreted, and applied its monetary policy framework—its strategy—over the years from its inception, in search of evidence and lessons that can inform those reflections. Our ‘Tale of Two Decades’ is largely a tale of ‘two regimes’: one—stretching slightly beyond the ECB’s mid-point—marked by decent growth in real incomes and a distribution of shocks to inflation almost universally to the upside; and the second—starting well into the post-Lehman period—characterized by endemic instability and crisis, with the distribution of shocks eventually switching from inflationary to continuously disinflationary. We show how the most defining feature of the ECB’s monetary policy framework, its characteristic definition of price stability with a hard 2 per cent ceiling, functioned as a key shock absorber in the relatively high-inflation years prior to the crisis, but offered a softer defence in the face of the disinflationary forces that hit the euro area in its aftermath. The imperative to halt persistent disinflation in the post-crisis era therefore called for a radical, unprecedented policy response, comprising negative policy rates, enhanced forms of forward guidance, a large asset purchase programme and targeted long-term loans to banks. We study the multidimensional interactions among these four instruments and quantify their impact on inflation and the macroeconomy.
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20

Brandsma, Gijs Jan, and Jens Blom-Hansen. Institutional Preferences on the Post-Lisbon Control Regimes. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198767909.003.0005.

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This chapter seeks to gain a deeper understanding of the conflicts in the post-Lisbon politics of delegation in the EU. What is at stake? What are the preferences of the actors? How do they pursue them? The inter-institutional conflicts in the post-Lisbon period have so far occurred in four distinct arenas: (1) alignment of pre-Lisbon legislation to the delegated acts system; (2) legislative decision-making that includes delegation to the Commission; (3) cases before the European Court of Justice where aspects of delegation to the Commission have been challenged; and (4) new negotiations on the 2011 inter-institutional agreement on the delegated acts regime, the so-called Common Understanding. This chapter presents a case-based in-depth analysis of these arenas based on qualitative methods.
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21

Ivor, Roberts. Book I Diplomacy in General, 1 Diplomacy—a Short History from Pre-Classical Origins to the Fall of the Berlin Wall. Oxford University Press, 2016. http://dx.doi.org/10.1093/law/9780198739104.003.0001.

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This chapter provides the historical context underpinning this study. It elaborates on the definition of the term ‘diplomacy’—the conduct of business between States by peaceful means—at the same time dispelling misconceptions regarding the term, as well as discussing its origins. Aside from that, the chapter largely focuses on a historical background of diplomacy as a whole, beginning from the earliest practices of sending emissaries to open negotiations. These origins may in fact go back at least as far as the Great Kings of the Ancient Near East in the second, and possibly even as early as the late fourth millennium BC, to the cuneiform civilizations of Mesopotamia. From there, the chapter maps out this history through the Renaissance period to the beginnings of classical European diplomacy, and later on to the two World Wars and the post-war world.
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22

(Photographer), Dmitri Baltermants, ed. Faces of a Nation: The Rise and Fall of the Soviet Union, 1917-1991. Fulcrum Publishing, 1996.

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23

Hallett, Carr Edward, and R. W. Davies. The Russian Revolution from Lenin to Stalin 1917-1929. Palgrave Macmillan, 2004.

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24

Lenin’den Stalin’e Rus Devrimi, 1917-1929. Yordam Kitap, 2010.

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25

La revolución rusa: De Lenin a Stalin (1917-1929). Alianza, 2016.

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26

Hallett, Carr Edward. La Revolucion Rusa: De Lenin a Stalin, 1917-1929 (El Libro De Bolsillo). Alianza (Buenos Aires, AR), 2005.

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27

Radford, Mark. Intra-operative care. Oxford University Press, 2016. http://dx.doi.org/10.1093/med/9780199642663.003.0007.

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The intraoperative period is a complex and challenging environment where specific nursing skills are developed through further training. A requirement of the surgical nurse is to understand this environment and the implications for pre- and post-operative care. This chapter highlights the staffing and care systems in the operating theatre, with a focus on the anaesthesia and surgical care given to patients. This includes general, regional, and local anaesthesia, airway management, patient positioning, and risks.
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28

Friedman, Deborah I., Shamin Masrour, and Susan Hutchinson. Headache. Edited by Emma Ciafaloni, Cheryl Bushnell, and Loralei L. Thornburg. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780190667351.003.0012.

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In most cases, women with headache disorders have normal pregnancy and delivery outcomes and should not be discouraged from becoming pregnant. Pre-pregnancy planning includes weaning of contraindicated medications. Most women with migraine without aura improve during pregnancy. Although there are limitations, various acute and preventive treatments may be employed, including non-pharmacologic options. Anti-epileptic medications should be avoided. For pseudotumor cerebri, the mainstay of treatment includes diuretics and therapeutic lumbar punctures, avoiding topiramate. Surgical treatment may be necessary if vision is threatened. Close monitoring and collaboration between an ophthalmologist, neurologist and obstetrician are critical. New-onset pseudotumor cerebri requires an investigation for secondary causes such as cerebral venous thrombosis. In the absence of a pre-existing primary headache disorder, new headaches in the postnatal period warrant evaluation for secondary headache disorders, including post-dural puncture headache, stroke, cerebral venous thrombosis, pre-eclampsia, eclampsia, reversible cerebral vasoconstriction syndrome (RCVS), and pituitary apoplexy.
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29

Hegedűs, Veronika. Particle-verb order in Old Hungarian and complex predicates. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198747307.003.0006.

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This chapter examines the distribution of verbal particles in Old Hungarian, and argues that despite the word order change from SOV to SVO in Hungarian, the particle-verb order did not change because the previous pre-verbal argument position was reanalysed as a pre-verbal predicative position where complex predicates are formed in overt syntax. Predicative constituents other than particles show significant word order variation in Old Hungarian, apparently due to optionality in predicate movement (while variation found with particle-verb orderings can be attributed to independent factors). It is proposed that after the basic word order was reanalysed as VO, internal arguments and secondary predicates could appear post-verbally and it was the still obligatory movement of particles that triggered the generalization of predicate movement, making all predicates pre-verbal in neutral sentences at later stages. This process involves a period of word order variation as predicate movement gradually generalizes to different types of predicates.
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30

Moldicz, Csaba. Geopolitics in Central Europe. Bloomsbury Publishing Plc, 2023. http://dx.doi.org/10.5040/9781350326750.

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The geopolitical landscape of Central Europe has undergone considerable transformation in the last two decades. While the pre-Global Financial Crisis period saw a focus on strengthening ties with Western Europe and the USA, the post-crisis period has seen reorientation towards Asia, in particular China. This book charts these changes in geopolitical dominance in the region, covering the economic influence of China, the increasingly assertive diplomatic involvement of Russia and increased US interest in the region under the Biden administration. The book also seeks to explain why the countries of Central Europe are realigning their geopolitical alliances towards the great powers as confidence in the European project and its economic benefits has waned, and what opportunities for the development of the region this realignment could hold.
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31

Romaniuk, Peter. International Organization and Terrorism. Oxford University Press, 2017. http://dx.doi.org/10.1093/acrefore/9780190846626.013.235.

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Before 9/11, the literature on terrorism and international organizations (IOs) was largely event driven. That is to say, the modest nature of the debate reflected a modest empirical record of IO engagement in responding to terrorism. Moreover, this period saw a correlation between the way states acted against terrorism through IOs and the nature of subsequent debates. Famously, states were (and remain) unable to agree on a definition of “terrorism,” precluding broad-based action through IOs. The findings presented in this literature were furthermore often quite bleak. The immediate post-9/11 period, however, was much more optimistic. This period saw an unprecedented increase in action against terrorism in IOs, primarily through the Security Council resolution 1373. Resolution 1373 elaborates a broad—and mandatory—agenda for counterterrorism cooperation. This resolution has had significant and ongoing consequences for the ways IOs are utilized in the effort to suppress terrorism. Furthermore, this and other IO engagements with terrorism brought about an increase in scholarly interest in the area, even giving rise to a sense of optimism in the literature. Thus, from the pre- to the post-9/11 period, there are elements of both continuity and change in the way scholars have discussed terrorism in the context of IOs.
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32

Lee, Jongkyung. Summary and conclusion. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198816768.003.0010.

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In this concluding chapter, the arguments of the foregoing chapters are summarized. It is admitted that the evidence is stronger for some of the passages while less for the others. It is hoped, however, that the proposed hypothesis gives the theological message of the passages concerned a sharper image when they are read together as a group with an awareness of their stylistic and ideological connections to chs 40-55. Also reflected upon is the place of the hypothesized late-exilic editorial passages in the diachronic development of the nations oracles in chs 13-23 which began as words of doom against the foreign powers in the pre-exilic period but had some of the most inclusive passages in the Hebrew Bible added to them in the post-exilic period.
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33

Brandsma, Gijs Jan, and Jens Blom-Hansen. The Battle Over the Lisbon Treaty’s Two Control Regimes. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198767909.003.0004.

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This chapter analyses the transitional period between the pre- and post-Lisbon periods. It starts by investigating the design of the Lisbon Treaty’s two control regimes, the delegated acts regime and the implementing acts regime. This takes us back to the years just after the turn of the millennium and the negotiations on the failed Constitutional Treaty when the two delegation regimes were first introduced. Once in place, the treaty provisions were not directly operational. The delegated acts regime was to be followed up by an inter-institutional agreement on its practical application, and the implementing acts regime required a new horizontal framework regulation on comitology procedures to become operational. These two issues represented the first institutional battles in the post-Lisbon period. This chapter investigates how the Council, the Parliament, and the Commission each manoeuvred to secure as efficient a position in the control regimes as possible.
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34

Irmgard, Marboe. 7 Conclusions. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198749936.003.0007.

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The concluding chapter summarizes the most important economic and legal principles and filters out guidelines for the calculation of compensation and damages in the practice of international investment disputes. The legal standard mandated by the bases of claims represents the starting point for the choice of the appropriate valuation approaches and methods. With regard to the decision on interest, tribunals must establish the appropriate rate of interest, the period of interest, and decide if interest should be compounded. This is necessary in relation to pre-award and post-award interest.
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35

Simpson, James, and Brian Cummings, eds. Cultural Reformations. Oxford University Press, 2015. http://dx.doi.org/10.1093/oxfordhb/9780199212484.001.0001.

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This title is part of the theOxford Twenty-First Century Approaches to Literatureseries, edited by Paul Strohm. This book examines cultural history and cultural change in the period between the fourteenth and the seventeenth centuries, a period spanning the medieval and Renaissance. It takes a dynamically diachronic approach to cultural history and brings the perspective of alongue duréeto literary history. It redraws historical categories and offers a fresh perspective on historical temporality by challenging the stereotypes that might encourage any iconographic division between medieval and Renaissance modes of thinking. It also discusses the concept of nation in relation to three issues that have particular relevance to cross-period “cultural reformations”: modernity, language, and England and Englishness. The book is organized into nine sections: Histories, Spatialities, Doctrines, Legalities, Outside the Law, Literature, Communities, Labor, and Selfhood. Each contributor focuses on a theme that links pre- and post-Reformation cultures, from anachronism and place to travel, vernacular theology, conscience, theater, monasticism, childbirth, passion, style, despair, autobiography, and reading. The essays highlight the creative and destructive anxieties as well as the legacy of the Reformation.
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36

Frankenburg, Frances R., ed. Human Medical Experimentation. ABC-CLIO, LLC, 2017. http://dx.doi.org/10.5040/9798400667275.

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Intended for students and general readers alike, this encyclopedia covers the history of human medical experimentation, for better and worse, from the time of Hippocrates to the present. Thanks to medical experiments performed on human subjects, we now have vaccines against smallpox, rabies, and polio. Yet the advances that saved lives too often involved the exploitation of vulnerable populations. Covering the history of human medical experimentation from the time of Hippocrates to today, this work will introduce readers to the topic through a mixture of essays and ready-reference materials. The book covers the experiments themselves; the people, companies, and government agencies that carried them out; the relevant medical and sociopolitical background; and the legislation and other protective measures that arose as a result. The encyclopedia is divided chronologically into six periods: pre-19th century, the 19th century, the pre-World War II 20th century, the World War II era, the Cold War era, and the post-Cold War period to today. Each period begins with an introductory essay and ends with a bibliography. Alphabetically arranged entries in each section cover pertinent people, experiments, and topics. The volume is enriched throughout with a wealth of primary sources, such as physicians' descriptions of their experiments. Medical experiments are not just a thing of the past, and readers will also learn about questions and debates related to contemporary efforts to advance medical science.
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37

Davis, Mary, and John Foster. UNITE History Volume 1 (1880-1931). Liverpool University Press, 2021. http://dx.doi.org/10.3828/liverpool/9781800859715.001.0001.

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This is volume 1 of 6 accessible volumes covering UNITE’s history from 1880-2010. This book covers the formation of the TGWU, rooted as it was in an era in which, from the 1880’s a mass trade union movement evolved. The drive to amalgamate the unions was spearheaded by Ernest Bevin and resulted in the creation of the TGWU, 1920-22 - a period that witnessed the intensification of pre and post war militancy which continued, unevenly, until the 1926 General Strike – a watershed moment in British labour history in which the TGWU played a key role both in the strike itself but also in its aftermath. Politically the union had a close relationship with the Labour Party and its two minority governments. This volume examines the role of the TGWU in both, as well as its response to the underlying economic, political and industrial issues of this turbulent period.
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38

Cummings, Brian, and James Simpson. Introduction. Edited by James Simpson and Brian Cummings. Oxford University Press, 2015. http://dx.doi.org/10.1093/oxfordhb/9780199212484.013.0001.

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This book examines cultural history and cultural transformation in the period spanning the Middle Ages and Renaissance, and how such transition relates to modernity. Taking a dynamically diachronic approach, it offers a fresh perspective on the historiography of culture and literature, with emphasis on the idea of periodization and the tendency to divide cultural history into different eras. Many of the essays focus on themes spanning the fourteenth and seventeenth centuries, each linking pre- and post-Reformation cultures, including those related to religion, and highlight the creative and destructive anxieties as well as the legacy of the Reformation.
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39

Quick, Laura. Futility Curses in the Hebrew Bible. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198810933.003.0005.

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The problem of a West Semitic tradition of curses is problematized in this chapter by examining the futility curses of the Hebrew Bible, showing that these examples conform tightly to examples in Old Aramaic from the Iron I and II periods. The most similar biblical examples stem from the pre-exilic prophets, while later texts of the exilic and post-exilic period deviate from the normal syntax and vocabulary, instead providing clauses suggestive of general menace and commination rather than threatening a specific future curse. The curses of Deuteronomy 28 also utilize the typical language and syntactical structure of the futility curses from the Old Aramaic and pre-exilic Hebrew texts, yet develop clauses that are noticeably more sophisticated and complex than the earlier examples. This is suggestive of the literary quality of the futility curses in Deuteronomy 28: the scribes have couched traditional ideas and metaphors in a highly literary style.
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40

Moreno-Lax, Violeta. The Schengen Borders Code: Securitized Admission Criteria as the Centrepiece of Integrated Border Management—Instilling Ambiguity. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198701002.003.0003.

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This chapter scrutinizes the rules on entry and pre-entry established by the Schengen Borders Code (SBC) that the other ‘integrated border management’ measures seek to implement. The Code constitutes a ‘common corpus of legislation’, providing the general regime that governs the movement of persons across EU borders. The chapter follows a methodology that is replicated in subsequent chapters of this part: It starts by setting out the origins of the instrument(s) concerned, covering the Schengen legacy, the Maastricht period, and developments post-Amsterdam. It then concentrates on the analysis of the legal provisions currently in force and the conditions they impose on entry and pre-entry generally, before engaging in the study of their particular impact on asylum seeker flows. The legal structure, specific content, and practical implementation of the measure(s) at hand are considered in detail, allowing for comprehensive assessments of their (legal and factual) effects on protection seekers’ access to EU territory.
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41

Irmgard, Marboe. 6 Interest. Oxford University Press, 2017. http://dx.doi.org/10.1093/law/9780198749936.003.0006.

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Interest can represent an important portion of the award depending on the time between the origin of the claim and the actual payment of compensation or damages. It can sometimes even exceed the principal. This chapter discusses the three most important issues with regard to the determination of interest: 1) the rate of interest, 2) the period of interest, and 3) the question of whether interest should be compounded. A differentiation between ‘pre-award interest’ and ‘post-award interest’ seems advisable as the former represents an item of compensation or damages, while the latter could be regarded as default charges for the non-payment of a debt. Post-award interest should additionally encourage prompt compliance with the award.
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42

Fancourt, Daisy. Fact file 13: Surgery. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198792079.003.0026.

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From the Greek ‘χ‎ ε‎ ί‎ ρ‎’ meaning hand and ‘ἔ‎ ρ‎ γ‎ ο‎ ν‎’ meaning work, surgery investigates and/or treats diseases and injuries either for functional or cosmetic purposes. Elective surgery is carried out for non-life-threatening conditions at the patient’s request, whereas emergency surgery has to be carried out quickly; exploratory surgery is used to aid or confirm diagnoses, while therapeutic surgery is used to treat a diagnosed condition. Although ‘surgery’ is typically used to refer to the period in the operating room, there are important pre-operative stages, including phlebotomy (blood tests) and anaesthesia, and sometimes complex post-operative care....
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43

Noyoo, Ndangwa, ed. Social Welfare and Social Work in Southern Africa. African Sun Media, 2021. http://dx.doi.org/10.18820/9781928480778.

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This book is written by Southern African social welfare, social work, social development, social security and social policy academics, practitioners and advocates who have varying degrees of experience. The chapters are examined through different theoretical lenses and historical perspectives. The book focuses on the pre-colonial period – a golden thread running through the chapters. Furthermore, the authors provide a deep and critical reflection of social welfare, social work, and related disciplines during the colonial era when Western countries’ capture and oppression of Africa characterised the continent’s history, and the post-colonial era, characterised by a deliberate move by Africa’s political administrations to focus on nation-building and to attempt making Africa a global player.
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44

Bienvenu, O. Joseph, and Christina Jones. Psychological Impact of Critical Illness. Oxford University Press, 2017. http://dx.doi.org/10.1093/med/9780199398690.003.0004.

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This chapter explores the epidemiology and range of psychological distress phenomena experienced by survivors of critical illness. The phenomena most commonly reported on are posttraumatic stress disorder (PTSD), depressive, and general (or nonspecific) anxiety symptoms. Approximately 1 in 5 critical illness survivors has clinically significant PTSD symptoms, 1 in 3 has clinically significant depressive symptoms, and 1 in 3 has clinically significant anxiety symptoms. These phenomena are associated with diminished quality of life and functioning. Risk factors include pre-critical illness anxiety and depression, in-critical illness sedative doses and nightmare-like experiences, and post–critical illness psychological distress and poor coping early in the recovery period. Given the association between critical illness and psychological distress, it is important to address survivors’ mental health needs.
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Gough, Peter, and Peggy Seeger. “Ballad for Americans”. University of Illinois Press, 2017. http://dx.doi.org/10.5406/illinois/9780252039041.003.0007.

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This chapter argues that overtly political themes never dominated Federal One productions. Yet, some of the beliefs espoused by the 1930s Left took root and found appeal among subsequent generations of Americans. Much as pre-World War I bohemians saw many of their ideas absorbed into the mass culture of the 1920s, so did the goals and convictions of the 1930s Left enter mainstream social movements of the post-World War II period. These causes found inspiration to varying degrees in musical expression, as well as particular elements of the radical political activism of the 1930s. Though notably less contentious than other WPA cultural productions, the Federal Music programs in the regional West should also be viewed as harbingers of these later social developments.
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46

Sage, Liz. Women’s Fiction after the War. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780198749394.003.0009.

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This chapter looks at the complexities of post-war women’s writing. Women’s fiction after the Second World War not only kept the feminist agenda alive (amid claims that pre-war feminism had fulfilled its aims), it also saw women authors engage with a diverse range of genres and styles to produce a rich and varied critique of society, politics, and culture. Indeed, the scope of material that could feasibly be labelled as ‘women’s fiction’ is so broad during this period that even using the author’s gender as a means for categorization becomes problematic. Moreover, the 1950s and 1960s saw a generation of women beginning to publish who have been uncomfortable with the very concept of ‘women’s fiction’ or ‘women’s writing’. This means that even considering their work under this heading is not straightforward.
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Brummer, Julie, Lars Møller, and Stefan Enggist. Preventing Drug-Related Death in Recently Released Prisoners. Oxford University Press, 2018. http://dx.doi.org/10.1093/med/9780199374847.003.0018.

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The mortality risk for recently released prisoners is alarmingly high. These individuals, especially in the first 2 weeks following release, are at an increased risk for death compared with an age- and gender-matched general population, with the majority of fatalities attributed to overdoses. Although a number of factors contribute to these incidents, the decreased tolerance resulting from a period of abstinence during incarceration is believed to be especially important. Other important factors are the concurrent use of multiple drugs, the lack of pre-release counseling and post-release follow-up, and the failure to identify those at greatest risk. This chapter describes studies conducted in various countries on post-release drug-related deaths. The literature review supports the finding that there is a significantly heightened risk of overdose death during the initial post-release period and suggests a number of prevention and harm reduction responses that may be applied at various levels of the criminal justice system to reduce drug-related deaths in ex-prisoners. Some identified potential preventive responses are the provision of opioid substitution therapy delivered in combination with psychosocial intervention for opioid-dependent prisoners and a continuity of care and stability of treatment through all stages of the criminal justice system, including during community integration, which can be supported by close linkages between prison-health and public-health systems. Take-home naloxone programs are another promising strategy to prevent overdose deaths among people recently released from prison.
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48

Osei, Robert Darko, Charles Ackah, George Domfe, and Michael Danquah. Political Settlements and Structural Change. Oxford University Press, 2017. http://dx.doi.org/10.1093/oso/9780198801641.003.0006.

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This chapter explores the extent to which political settlements interacting with the rents space affect the nature of the deals space and consequently help explain economic growth in Ghana. The discussions are centred around four break points and therefore five growth episodes for Ghana: pre-1966, 1966–74, 1974–83, 1983–2001, and 2001–14. First, there are signs that the post-2001 period has been more ordered and open than the first twenty-five years after independence. Second, the political settlement has also changed somewhat over the years, from a dominant to a more competitive type. However, it is argued that political patronage remains rife. Third, the chapter finds that the interplay of political settlements and rent space has been important in shaping the nature of the deals space in Ghana. Finally, it highlights two types of positive and negative feedback loop relating to these variables over the years.
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49

Guerrieri, Pilar Maria. Negotiating Cultures. Oxford University Press, 2018. http://dx.doi.org/10.1093/oso/9780199479580.001.0001.

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This book focuses on the city of Delhi, one of the largest mega-cities in the world, and examines—from a historical perspective—the processes of hybridization between cultures within its local architecture and urban planning from 1912, when the British Town Planning Committee for New Delhi was formed, to 1962, when the first Master plan was implemented. The research originates directly from primary documents and examines how and to what extent the city plans, the neighbourhoods, the types of residential, public buildings and the architectural styles have changed over time. The analysis of architectural elements, the city and its intricacies, is in itself useful to understand how foreign models were adopted, how much resistance was encountered, and how much adaptation there was to local conditions. The book establishes and demonstrates that Delhi has played an active role in the complex process of hybridization in both the pre- and post-Independence periods, developing its own character as opposed to merely accepting what was brought from abroad. Both periods have been characterized by a resilient and continuing compromise between indigenous and foreign elements and thus the post-1947 period cannot be construed as more ‘indigenous’ than that which preceded it. Delhi can be considered to be a comprehensive model or case study of the intermingling and conflict of cultures; its initial transition period, when the actual mega-city was born, gives an important starting point to critically investigate the current phenomenon of globalization.
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50

Bush, Ruth. Publishing Africa in French. Liverpool University Press, 2016. http://dx.doi.org/10.5949/liverpool/9781781381953.001.0001.

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Publishing Africa in French provides a critical analysis of the global dynamics and cultural and publishing history of French and African literature. It focuses on French readership and the French literary-political sphere, and engages with issues of authorial authenticity, literary value, and author autonomy. The study is built on careful documentations of the pre- and post-publication process, and explores the relentless interweaving of ideas expressed in literary form, their institutional contexts and underlying human relationships, and asks: Who writes about Africa and who is Africa written for? The book is split into two sections, ‘Institutions’ and ‘Mediations’. The first part of the book, ‘Institutions’, situates three institutions of particular significance, the publishing houses of Le Seuil and Présence Africaine, and the Association nationale des écrivains de la mer et de l’outre-mer. ‘Mediations’, the second section of the book, concludes with a consideration on how institutional structures work into or against the literary texture of selected publications, and examines readers’ reports and editorial revision; the use of pseudonyms; the development of named collections and the process of literary translation from English. Publishing Africa in French aims to bring book-historical principles to bear on a decisive period in French literary history and foregrounds the influencing factors on literary expression and its material impressions in the period of decolonization.
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