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This chapter examines ‘Regulatory Policy’ by addressing various questions that arise in considering ‘whether’ and ‘how’ to regulate. Regulatory policy includes a range of methodologies such as cost-benefit analysis and regulatory impact assessment. This chapter focuses on the methodologies used by public regulators. This chapter discusses the methods that help regulators assess who will be impacted by regulation, whether a regulation is effective, and what its costs and benefits will be. The chapter discusses the history of regulatory policy and delves into cost-benefit analysis, regulatory impact assessment, and consultations. The chapter includes a brief analysis of better regulation policies.
Edited by
Paul A. Banaszkiewicz, Queen Elizabeth Hospital and North East NHS Surgical Centre (NENSC), Gateshead,Kiran Singisetti, Queen Elizabeth Hospital, Gateshead Health NHS Foundation Trust
This chapter will guide a candidate in biomechanics topics that regularly appear in Section 1 of the FRCS(Tr&Orth) exam. The chapter provides detailed explanations of the SBA questions asked.
This chapter expands on the micro-level evidence from Chapter 6 on how effective one-off organizational endorsements are at swaying vote preferences by exploring how repeated organizational expressions of support over multiple years (due to a mechanism that institutionalized a new party’s ties with its organizational allies) can help new parties secure support in subsequent elections. Analyzing a natural experiment from Mexico, in which MORENA uses lotteries to select candidates for national public office, it shows how the party took root and mobilized voters more successfully in localities where it was able to tap into organizational networks through candidates who are embedded in local organizations.
This is a reprinting of Edwin Kemble’s 1935 reply to the EPR paper. Kemble misses EPR’s point by taking their completeness criterion to be merely an epistemic concept; Kemble himself admits as much in a letter to Einstein later that year. His original response to EPR is nevertheless of interest, as Kemble there provides an argument for a statistical interpretation of the wavefunction – a view he attributes to Slater already in a 1929 paper, but for which Kemble provides greater clarity and motivation.
There are six species of flamingos in the world, all under pressure from human activities in their wetland habitats. Obtaining global population estimates for flamingos is challenging because of their broad geographical range, nomadic movements, capacity for long-distance flight, and the complexity of international monitoring. Two species, the Andean Flamingo Phoenicoparrus andinus and Puna Flamingo P. jamesi, during key parts of their life cycle, use wetlands in the Andes of South America, where they coexist at various sites. We compiled historical information on population estimates and ecology for these two species and integrated data collected on regional simultaneous censuses to describe population trends, current and emerging threats, and provide recommendations for conservation action. Long-term population trends have been difficult to establish given the unreliability of population estimates prior to the late 1990s. Systematic, regional censuses carried out regularly since 1997 have produced robust population estimates for the Andean and Puna flamingos (most recently, 78,000 and 154,000, respectively) and show populations of both species to be stable and increasing. Increasingly rapid changes in wetlands caused by human activities such as industrial-scale mining in breeding and foraging sites in the high Andes wetlands, and agro-industrial activities in their lowland wintering sites, focused on areas of the highest concentrations of flamingos pose threats to their survival and ability to reproduce. In addition, climate change is projected to reduce wetland habitats and some localised effects have already been detected. Continued research on the ecological drivers of flamingo abundance, movements, and population genetics to understand population structure and dynamics are necessary, as well as the identification of response variables to changing environmental conditions. Interdisciplinary and systems-level approaches in the context of international collaboration in monitoring and conservation planning among a diversity of stakeholders will be required to safeguard flamingo populations and wetland habitats.
Governor of the Marwanid period in Iraq for fourteen years, Khālid b. ʿAbd Allāh al-Qasrī was dismissed from his office in 120/738. The narratives of his downfall – the reasons for his dismissal as well as his killing — are found in the Abbasid historiography about him. Next to these narratives, a letter that the caliph Hishām b. ʿAbd al-Malik addressed to him in 119/736–37 can be found in two different sources. This contribution offers a study of this letter and its transmission. It investigates the relationship between the letter and the most developed narratives about Khālid. Unpacking these relationships allows us to look beyond them and provide insights into Khālid’s removal. Finally, this paper looks at this correspondence as an expression of the writing of power and explores how it helps us better understand the ties that bind a caliph and his subordinate.
This chapter analyses the decline of the concern about liberty as non-domination and the idea of a competition–democracy nexus following the ascent of the Chicago School and the rise of a More Economic Approach towards antitrust law on both sides of the Atlantic. It shows how the Chicago School not only challenged the economic foundations of the republican antitrust tradition but also put forward the consumer welfare standard as a versatile, principled framework to supersede the conception of republican liberty with a narrow negative notion of economic liberty as non-interference. The Chicago School thus shaped a laissez-faire approach to antitrust that seeks, in the first place, to preserve entrepreneurial liberty against state interference.
“Japanese collectivism” was criticized most fiercely in the field of economy during the U.S.-Japan trade friction. The Japanese economy was alleged to be collectivistic at three levels: At the company level, Japanese workers were alleged to be loyal to their companies and thus willing to work unusally long and hard. At the company group level, Japanese complanies were alleged to form a closed group (called keiretsu) that worked as a barrier against foreign competitors. At the country level, all Japanese companies were alleged to act like a single company (“Japan Inc.”) under the direction of the Japanese government. However, economic statistics and empirical studies disclosed that all these alleged properties of Japanese economy were unreal. For example, surveys almost unanimously revealed that American workers were more loyal to their companies than Japanese workers. Although Japan was allged to protect its domestic market against American products by means of non-tariff barriers, each Japanese paid as much for American products as each American paid for Japanese products. The disputed trade imbalance was actually created by the difference in population between these two nations.
The Origin has a three-part structure: analogy of artificial selection; struggle for existence leading to natural selection and hence explaining the tree of life; consilience of inductions confirming evolution. Relevance of “paradigms” from Thomas Kuhn’s Structure of Scientific Revolutions.
Edited by
Paul A. Banaszkiewicz, Queen Elizabeth Hospital and North East NHS Surgical Centre (NENSC), Gateshead,Kiran Singisetti, Queen Elizabeth Hospital, Gateshead Health NHS Foundation Trust
This chapter studies H.D.’s translations of choruses from Euripides’s Iphigeneia in Aulis (1915) and Hippolytus (1919). Tracing her shifting concern from image to sound, the author argues that her work mirrors Eliot’s and Pound’s preoccupations of that period; her play Hippolytus Temporizes (1927) – abstract and formalist, yet rooted in the specific circumstances of its time – especially reflects this. More specifically, she show that the “Choruses from Iphigeneia” are a first attempt to compose, on the one hand, a long Imagist poem and, on the other, to write a “poem including history.” She then homes in on H.D.’s treatment of Euripidean rhythm and meter in the Hippolytus plays, through which H.D. questions the relationship between “antiquity” and “modernity” as well as the possibility and value of writing poetry itself. H.D. engages with discourses on Greek antiquity, which are woven into her translations and play; unlike Pound and Eliot’s mostly rhetorical engagement, H.D. measures out in her work how to translate Greek poetics into English, and yet is almost as ambivalent as Pound about the value of Greek.
This chapter focuses on emotions and affects in Greek epic. Leven demarcates the difference between emotion and affect in this context: emotions are defined as complex phenomena that involve embodied minds, gendered individuals and their societies, as well as instincts, cognition and values; and affects are understood as more ineffable feelings, which lie ‘beneath’ the surface: the innumerable microevents that bodies and selves undergo in their experience of the world around them, rarely indexed in conventional language. The chapter then starts by outlining the main questions that have divided scholarship on ancient emotions in general, and epic emotions in particular, with special focus on two cases, anger and fear. It then turns to episodes featuring what Leven calls ‘scenes of affect’ and argues, first, that epic is not in fact solely dominated by ‘big emotions’ but is rather shaped by a multitude of affects. Focusing on representative passages of the Odyssey, the Argonautica, and the Posthomerica, the chapter ultimately shows that epic provides its own tools to conceptualise these affects.
Compensation was paid to river interests adversely affected, including some waterfront labourers, the State became owner of the Legal Quays until the 1830s, the Corporation built a canal across the Isle of Dogs, and a new London Bridge eventually replaced the Old. All this depended to some degree on State support; in the case of compensation payments, a Treasury loan was repaid by a tax on shipping. River port prosperity was largely unaffected by the introduction of docks, although their warehousing privileges deprived waterfront wharves of potential business. Coastal and low-duty European imports continued, boosted by the introduction of steamship services. Vessels carrying coal, grain, timber and provisions competed with passenger steamers and river traffic for water space, leading to conflict between users and with the Corporation as Harbour Authority.
Edited by
Paul A. Banaszkiewicz, Queen Elizabeth Hospital and North East NHS Surgical Centre (NENSC), Gateshead,Kiran Singisetti, Queen Elizabeth Hospital, Gateshead Health NHS Foundation Trust
This chapter will guide a candidate in the spine core topics that regularly appear in Section 1 of the FRCS(Tr&Orth) exam. The chapter deals with trauma and elective spine questions. High quality clinical based SBA questions that provide up to date information, higher order SBA questions and detailed explanations along with an evidence based approach to the most appropriate answer.