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This chapter discusses the larger implications of Sanhe gods’ experiences. It analyzes the various forms of their resistance, from non-compliance to direct confrontation, and the state’s mechanisms of control, from gentrification to coercion. It ends with a discussion on Sanhe gods’ precarious future, as flexible employment becomes more widespread and the prospects for settling down in cities reduce even when the great gods have intentions to stay. It presents migrant workers’ experiences not only of factory hopping but also, and increasingly, of city hopping, as both livelihood strategies and coping strategies formed in response to state policies and repression.
The AI agency problem is overstated, and many of the issues concerning AI contracting and liability can be solved by treating artificial agents as instrumentalities of persons or legal entities. AI systems should not be characterised as agents for liability purposes. This approach best accords with their functionality and places the correct duties and responsibilities on their human developers and operators.
In Chapter 6, we confront the reality that many dog owners must eventually face decisions about their dogs’ end-of-life, potentially including hard decisions about euthanasia or costly medical interventions. We frame these decisions about ending life in terms of the owners’ fiduciary responsibilities and what they imply across different property rights regimes. We show how framing the relationship between dogs and humans in terms of principal-agent theory may offer some novel insights about responsibilities. We explore the appropriateness of euthanasia and how individual preferences and societal perspectives on its appropriateness have changed over time. We then examine the growth in pet health insurance and pre-paid veterinary plans and how this growth affects the economics of the choice between various treatments and euthanasia. We conclude by considering how individual and societal attitudes toward the use of dogs in medical research have changed over time. Nonetheless, although the number of dogs used in research has declined in recent years, many dogs still suffer and experience premature death.
Health protection refers to threats to health such as infectious diseases, environmental threats, natural hazards and threats from terrorist acts. Health protection may also overlap with action, tackling the determinants of health, especially legislative aspects such as workplace smoking bans or speed restrictions and even lifestyle choices and the health issues of ageing populations, such as increasing levels of chronic disease (which we now know may also be due to infections).
This chapter outlines the public health aspects of communicable disease control and touches on some of the other areas now included within health protection in the UK. Important health protection terms are included in the glossary.
The German army viewed war as the realm of constant uncertainty. Reducing this was the third command task, principally through intelligence on the enemy and information on German troops (Chapter 6). By 1917, loss of the initiative and the need to deploy scarce resources efficiently had boosted German military intelligence’s importance. Its dense network of sources. Poor integration and frequent squabbles between intelligence producers, but also effective informal co-operation, including extensive use of civilians. The tiny Intelligence Department in OHL (Supreme Army Command) produced all-source assessments used extensively by decision-makers, but performance on total war political and economic requirements was inadequate despite recruitment of high-level agents.
Case study of German intelligence’s mixed performance in spring 1917. Good intelligence played a central role in the German victory over the French assault by enabling timely concentration of forces; but uncertainty about British plans was a major factor in delaying defensive preparations, leading to the initial defeat at Arras.
In 2005, voters in Zimbabwe performed their civic duty in the seventh election since 1980. The preceding three years were crucial to understanding the 2005 election. Many sources of violence existed in this intervening time, influenced by the referendum vendetta, the continuing land reform process, and the apparent bitterness engendered by the 2000 and 2002 election outcomes. It was crystal clear that Zanu PF’s first weapon of choice in elections was stick rather than carrot. Zanu PF viewed MDC voters as minors and Western stooges and its own supporters as adults of unquestionable loyalty and obedience. State patronage and state-sponsored violence had always taken centre stage before, during and after elections. The violent May 2005 Operation Murambatsvina was a largely state-sponsored campaign (with support from some businesses) to stifle dissent and independent economic and political activity in the country’s urban areas. The main victims of Murambatsvina were younger and unemployed, whom state security agents saw as potential recruits for social unrest. The extent of Zimbabwe’s poor human rights record was exposed by new information technology and increased reporting. As Zimbabwe prepared for the 31 March 2005 parliamentary election, Zanu PF’s campaign was decidedly violent and anti-Western.
Discusses the origins of the Armstrongs and Vickers firms and their shifts into armament production. In trying to make domestic sales Armstrongs and Vickers encountered three main challenges in dealing with the British Government. First, the primacy of laissez-faire ideology within the Government, especially in the Treasury and the Foreign Office and Diplomatic Service. Second, the class prejudices of the southern elite dominating the British Government. The governing elite’s distain for trade made it difficult for armament firms to get any help, though the Admiralty and sometimes the War Office needed their products and so dealt with them. Third, departments such as the Foreign Office and Diplomatic Service were disinclined to deal with trade, preferring to focus on high politics. In response, Armstrongs and Vickers developed strategies for the domestic and international markets: building and maintaining relationships with British elites, including through exchanging personnel with the government and supplying intelligence; building and maintaining relationships with foreign elites, including using agents for diplomacy, and bribes to facilitate sales; excluding competitors from the domestic market; if exclusion failed, then cooperating and colluding with other armament firms; diversifying when sales were scarce; providing finance to secure international sales; and innovating to generate sales.
This chapter introduces the distinctive character of Spanish reason of state and gives a sense of its broader contribution to the study of political thought. It develops the relationship between reason of state and history, and outlines the relevance of reason of state to recent work on the early modern uses of the past, developments in early modern historical scholarship and methods of coping with so-called ‘information overload’. This chapter introduces how this book explores reason of state in a number of theoretical and practical contexts in the seventeenth-century Spanish monarchy, by focusing on individuals who used the act of organizing information – drawn from classical and recent history, their own experience and analyses of current circumstances – to rhetorically present the condition of necessity. Furthermore, the chapter highlights the paradox that although reason of state as a discourse was closely entwined with political practice, no attempt has been made to systematically trace how the discourse functioned in political action. It also points out that Spain tends to be left out of discussions of seventeenth-century political thought, arguing that the Spanish monarchy’s context is especially valuable for advancing the historiography on the interaction between political ideas and concrete contexts.
Exploring reason of state in a global monarchy, The Power of Necessity examines how thinkers and agents in the Spanish monarchy navigated the tension between political pragmatism and moral-religious principle. This tension lies at the very heart of Counter-Reformation reason of state. Nowhere was the need for pragmatic state management greater than in the overstretched Spanish Empire of the seventeenth century. However, pragmatic politics were problematic for a Catholic monarchy steeped in ideals of justice and divine justifications of power and kingship. Presenting a broad cast of characters from across Europe, and uniting published sources with a wide range of archival material, Lisa Kattenberg shows how non-canonical thinkers and agents confronted the political-moral dilemmas of their age by creatively employing the legitimizing power of necessity. Pioneering new ways of bridging the persistent gap between theory and practice in the history of political thought, The Power of Necessity casts fresh light on the struggle to preserve the monarchy in a modernizing world.
The results of this study have implications for our theoretical linguistic models of native speaker knowledge, and to understanding the mechanisms of language acquisition, transmission, and diachronic language change. Implications for language policies and the education of minority language speakers in the United States are discussed.
This chapter narrates the beginning of an international dispute. In Paris, we meet Filibert N’Diaye, a senior associate at Burnham & Hutz LLP, and his boss, law firm partner Lionel Blum, as they receive the mandate to represent a state before the ICJ. The newly-formed legal team is trying to develop a persuasive litigation strategy and to manage its delicate relationship with the client. Meanwhile, the chapter reflects on the profound transformations of the global legal services market in the last few decades. Yesteryear’s international litigators were an élite club of white Western men, who came to international law late in their careers and handled only a few disputes at a time. In recent years, many multinational law firms have established dedicated practice areas in the world’s dispute settlement capitals. The creation of a specialized ‘bar’ around each international court fostered the mutual acquaintance between counsel and the bench, thereby deeply affecting the substance, tone, and ethos of international litigation.
The three broad classes of emotions are characterized as Event-based emotions, Agent-based emotions, and Object-based emotions. Event-based emotions consist of a Well-being group, a Prospect-based group, and a Fortunes-of-others group. Emotion types in the first two of these groups focus on the self-relevance of focal events, while those in the Fortunes-of-others group focus on the self-relevance of events that primarily affect others. In addition to Event-based emotions are the Attribution emotions, which arise from focusing on the actions of agents, and the Attraction emotions, which result from focusing on objects. Also introduced is a group of Compound emotions. These emerge when focusing at the same time on both an event and an agent held to be responsible for that event. The three broad classes of emotions are evaluated (appraised) in terms of goals, standards, and tastes, respectively, and individual emotion types are distinguished by their location within this overall global structure of emotions. A skeptical view of the notion of basic emotions is presented.
From the 1950s to at least the 1970s, China established and operated a variety of intelligence networks from Switzerland. The chapter relies on thousands of files by the Federal Police as well as Chinese memoirs, biographies, commemorative volumes of former agents, and publications on the history of Chinese intelligence to discuss different forms of intelligence activities carried out by Chinese diplomats in Switzerland. Showing just how intertwined Chinese foreign policy and intelligence were, the chapter argues that diplomatic staff were so often also active as intelligence agents that it could be argued that the Chinese used a hybrid form of diplomat–agent in Switzerland. Some of the national, international, and transnational intelligence networks that the Chinese operated from Switzerland show that Switzerland functioned as a Chinese intelligence hub in Cold War Europe. These include a network of UN officials, ethnic Chinese students and scientists, Chinese restaurants, and Chinese Indonesians. The chapter also describes the Swiss Federal Police’s counterintelligence measures as a reaction to the Chinese intelligence activities. The chapter begins with a discussion of the development of Communist Chinese intelligence in the 1930s and 1940s in order to show how this contributed to Chinese intelligence activities in Europe.
Publishing short stories: writing websites, print periodicals, competitions. Submission tips. The relationship between agents and editors. How editors make decisions. Targeting and pitching a novel. Understanding and getting value from rejection. Holding your nerve. The writing life: a place to work; a time to work; keeping a notebook; finding a community of writers. Writer’s block and how to avoid it. Set achievable goals. The pleasures of writing.
‘If we believe we’ve said everything we want to say we may as well give up writing. Everything we write is an adventure, an attempt at mastering what we might never quite conquer. You’ve finished when you know you’ve done everything you can to make it as true and good as it can be.’
This chapter outlines the remaining constitutive elements of the ecological security discourse, noting what means it encourages in responding to the threat climate change poses to ecosystem resilience and developing an account of which actors have responsibility for the preservation or advancement of security in this discourse. On the question of means, the chapter argues that an ecological security discourse encourages a focus on significant mitigation action, while also noting a potential role for adaptation to inevitable effects and even controversial practices associated with geoengineering. It notes in the process what sets of principles should inform how we approach such practices, emphasizing the importance of dialogue, reflexivity and humility in ensuring that practices carried out in the name of ecological security serve to minimize harm to the most vulnerable. The chapter then defines responsibility for addressing ecological security in terms of capacity, noting a potential role for a wide range of actors – from states to intergovernmental organizations, private corporations to individuals – in advancing ecological security in practice.
This paper introduces a dynamic knowledge-graph approach for digital twins and illustrates how this approach is by design naturally suited to realizing the vision of a Universal Digital Twin. The dynamic knowledge graph is implemented using technologies from the Semantic Web. It is composed of concepts and instances that are defined using ontologies, and of computational agents that operate on both the concepts and instances to update the dynamic knowledge graph. By construction, it is distributed, supports cross-domain interoperability, and ensures that data are connected, portable, discoverable, and queryable via a uniform interface. The knowledge graph includes the notions of a “base world” that describes the real world and that is maintained by agents that incorporate real-time data, and of “parallel worlds” that support the intelligent exploration of alternative designs without affecting the base world. Use cases are presented that demonstrate the ability of the dynamic knowledge graph to host geospatial and chemical data, control chemistry experiments, perform cross-domain simulations, and perform scenario analysis. The questions of how to make intelligent suggestions for alternative scenarios and how to ensure alignment between the scenarios considered by the knowledge graph and the goals of society are considered. Work to extend the dynamic knowledge graph to develop a digital twin of the UK to support the decarbonization of the energy system is discussed. Important directions for future research are highlighted.
Unlike privacy law discourse, which has primarily explored questions related to others’ knowledge, access, and use of information about us, commercial law’s central focus has been on issues related to trade involving persons, merchants, and entities. In the commercial law context, questions about knowledge and information are primarily connected to the exchange and disclosure of information needed to facilitate transactions between parties.1 This distinct historical focus has likely contributed to commercial law’s failure to adequately account for and address privacy, security, and digital domination harms. In some cases, commercial law also defers to corporate commercial practices as well.
Since the profits from pawnbrokers’ loans fell into relatively few hands, many Huizhou merchants came to rely on commercial partnerships, the formal and informal, to expand their pool of investment capital and the operation of their businesses. Chapter 5 investigates in detail the development of three distinct varieties of these partnerships for both Ming and Qing merchants in general and for Huizhou merchants in particular. Attention is paid to the distinctive principles of each of these types of commercial partnership, which seem to have grown out of specific regional conditions in China and the commercial needs of its itinerant merchants both before and during the Ming. In addition, this chapter explains the Huizhou merchants’ solutions to such common problems of business governance as bankruptcy and a merchant’s access to his committed investments during the contracted period of investment
Acting in good faith is an elemental requirement in fulfiling duties where the rightholder has reposed trust or faith in the dutyower. Sometimes, these dutyowers are fiduciaries. From an ethical perspective an essential feature of the trust and agency relationships is that a principal is entitled to repose ‘trust’ in a trustee or agent – by ‘trust’ I mean the commonsense notion of trust, not the technical legal relationship of trustee and beneficiary. Even so, the practical relevance of the duty is typically misunderstood, in part because of common misunderstandings about the good faith duty’s relationship with fiduciary powers, trustworthiness, and good will. Acting in bad faith is a breach of faith or trust that has relevance to isolated pockets of trust and agency law. At an abstract and general level, where a trustee or agent acts in bad faith this allows the principal or the court to remove the trustee or agent, extinguishing his right to that role. The duty of good faith has nothing in particular to do with the exercise of fiduciary powers.
The intelligence war had had minimal impact on the IRA’s campaign by June 1972. Various factors explain the limited infiltration by intelligence services of the city and rural areas where the IRA was operating at that time. In urban areas, IRA support increased following the active role played by republicans in defending nationalist areas, indiscriminate British Army actions against the nationalist community and the lack of political and socio-economic reform by Stormont and Westminster. Other factors unique to rural areas restricted intelligence, included republicans’ long-term sense of injustice at being forced into a unionist-dominated Northern Ireland state in the 1920s. British forces also conducted various indiscriminate security operations in nationalist areas, such as in County Tyrone. These operations provoked further tension. The failure to coordinate British military and RUC Special Branch intelligence on a consistent basis made containing the IRA harder. In addition, IRA barricades in Derry City and Belfast, and the ability of some rural IRA units to use the border to evade detection, meant that surveillance of the IRA via vehicle- or personality-checking systems was difficult. The intelligence war’s failure to significantly erode the IRA’s capacity for conflict partly explains why the British government talked to the IRA in June 1972.