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Andrade Cordoba, Bismarck, und Cesar Steber Andrade Cordoba. „Matrimonio civil en Colombia“. Nueva Época, Nr. 49 (25.10.2018): 197–218. http://dx.doi.org/10.18041/0124-0013/nueva_epoca.49.2017.3627.

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En este artículo presentamos un estudio comparado e iushistórico del matrimonio civil en Colombia, destacando los principales requisitos y los procedimientos establecidos en las constituciones de 1853, 1863 y la carta política de 1886, en relación a las normas que consagran el matrimonio civil (Ley 20 de julio de 1853), el Código Civil de 1873 (Ley 84) y el Civil de 1887 (Ley 57 ); identificamos además los “trasplantes legales” (o transferencias normativas) del Código Civil de la República de Chile (Andrés Bello, 1857).
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Jiménez Barrado, Víctor, und Luz María Martín Delgado. „La caza deportiva continental en Chile“. Revista de Geografía Espacios 10, Nr. 19 (21.07.2020): 25–43. http://dx.doi.org/10.25074/07197209.19.1501.

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Desde los albores de la humanidad, la actividad cinegética ha sido proveedora de sustentos alimenticios básicos. En la actualidad, la caza ha perdido esta centralidad, considerándose como una alternativa productiva y de ocio más para las comunidades rurales. En Chile, así como en otros países, esta actividad se ha legislado y reglamentado en las últimas décadas. De este modo, la vigente ley N°19.473 de 1996 y su reglamento (Decreto Supremo N°5 de 1998) son el marco básico que rige la caza en Chile. Pasados más de 20 años desde su entrada en vigor, y en atención a la laguna científica y académica imperante sobre el particular en el país, planteamos este trabajo con el objetivo de analizar la normativa y organismos chilenos implicados en el rubro, así como también las asociaciones y sus formas de organizarse y practicar la actividad cinegética. Finalmente, se descubre que en Chile la actividad cinegética es muy minoritaria. Además, persiste una visión tradicional y poco productiva, en la que el asociacionismo y el número de cotos de caza es reducido.
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Nilo Pérez, Rubén Alejandro. „Discapacidad mental y ciudadanía activa: El desafío de una nueva legislación de salud mental para Chile“. Summa Psicológica 12, Nr. 2 (25.10.2015): 53–62. http://dx.doi.org/10.18774/448x.2015.12.192.

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El enfoque de la discapacidad constituye actualmente una perspectiva que pretende hacerse cargo de la incorporación de la dimensión social en la comprensión de la salud mental, y su hegemonía en Chile es visible en el diseño de las legislaciones y políticas públicas sobre salud mental durante los últimos 20 años. Sin embargo, tanto este enfoque de la salud mental como las respectivas legislaciones y políticas desarrolladas, presentan importantes dificultades para hacerse cargo de la situación de justicia y ciudadanía de este grupo de personas. Estas dificultades del enfoque se hacen particularmente evidentes cuando se requiere garantizar el ejercicio de una ciudadanía activa, ya que los aspectos relativos a la ciudadanía han demostrado tener un efecto terapéutico sobre las deficiencias o trastornos mentales. La urgente necesidad de una ley de salud mental para Chile demanda el desafío de diseñar una legislación que se haga cargo de las particularidades de la discapacidad mental, pero además la posibilidad histórica de incluir efectivamente la perspectiva de las personas con discapacidad mental y sus familias en la discusión de una nueva ley.
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León Aravena, Javier Antonio, und Esau Aaron Figueroa Silva. „Deliberación democrática y gobernanza en la participación ciudadana local. El caso de los Consejos Comunales de la Sociedad Civil (COSOC), Biobío, Chile“. Desafíos 32, Nr. 2 (28.05.2020): 1. http://dx.doi.org/10.12804/revistas.urosario.edu.co/desafios/a.7219.

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El establecimiento de espacios de participación es un desafío abierto para gran parte de los Estados latinoamericanos. Su óptimo funcionamiento dependería de factores adicionales a la gestión institucional. Este artículo indaga cómo los Consejos Comunales de Organizaciones de la Sociedad Civil (COSOC) responden a requerimientos de gobernanza y deliberación democrática, que articulados con elementos de capital social y cultural, son componentes fundamentales del ejercicio de participación ciudadana. Para explorar este planteamiento, se tomó el caso del Consejo de la Sociedad Civil (COSOC), Chile. Los datos surgen del proyecto para la instalación del cosoc (Ley 20 500), ejecutado en la región del Biobío, Chile, en 2017. La metodología es mixta, predominantemente cualitativa, basada en el análisis de talleres participativos con apoyo de datos descriptivos tomados de las encuestas. Los principales resultados apuntan a la operatividad y eficacia de la participación y al valor que esta adquiere a partir de las condiciones del contexto y demanda social, es decir, cuestiones como la información disponible, el nivel de asociatividad, la formación cívica, las asimetrías de poder, entre otras. Las anteriores, variables vinculadas a la estructura y condiciones de los espacios promovidos y a la calidad de los procesos democráticos en la región.
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Camacho Cépeda, Gladys. „La protección de datos como frontera del derecho de acceso a la información en la legislación chilena“. Revista de Gestión Pública 3, Nr. 1 (22.06.2020): 73. http://dx.doi.org/10.22370/rgp.2014.3.1.2295.

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El 20 de abril de 2009 entró en vigencia en Chile la Ley de Transparencia, que asegura a los ciudadanos el acceso a la información pública. Si bien el balance de este régimen es positivo, importa analizar los núcleos de conflictos que se generan cuando se deben conciliar derechos e intereses jurídicos tutelados por el ordenamiento jurídico chileno, como la protección de la vida privada y datos personales. El artículo analiza la situación de la protección de datos personales en el ordenamiento jurídico chileno. Por una parte, argumenta que el derecho a la protección de los datos personales traspasa la clásica división del ámbito de lo público y lo privado, pues en ambos campos es necesario cautelarlo. Por otro lado, el trabajo busca aportar al debate para la construcción de estándares de actuación para los organismos públicos que permitan compatibilizar la transparencia con la protección de datos personales.
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Valenzuela Muñoz, Verónica. „Aplicación de Convenios Internacionales en materia de familia y su acople con fenómenos contemporáneos“. Revista Perspectivas: Notas sobre intervención y acción social, Nr. 26 (10.03.2016): 115. http://dx.doi.org/10.29344/07171714.26.432.

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Existen al menos dos Convenios Internacionales asociados a la Justicia de Familia que han sido suscritos y ratificados por Chile, por tanto, ley de la República, que operan desde hace años en una aparente opacidad. La complejización del sistema social ha obligado a la visibilización de dichos Convenios, especialmente ante fenómenos tales como los movimientos migratorios y la constitución de familias con características de transnacionalidad. La ejecución en Chile del “Convenio de Nueva York de 1956 para la Obtención de Alimentos en el Extranjero” y el “Convenio de La Haya de 1980 sobre los Aspectos Civiles de la Sustracción de Niños, Niñas y Adolescentes”, tras los fenómenos enunciados, han permitido la observación de algunas prácticas asociadas a los géneros, las edades y la paternidad/maternidad, distinciones que intentaremos develar en el presente artículo.Palabras clave: Convenios Internacionales, Familias Transnacionales, Migraciones. Aplicação de Convênios Internacionais em matéria de Família e seu envolvimento com fenômenos contemporâneosRESUMOHá pelo menos dois Acordos Internacionais relacionados com a Justiça de Família que tem sido assinados e ratificados pelo Chile, portanto, lei da República, que operam há anos numa opacidade aparente. A complexidade do sistema social tem forçado a visibilidade de ditos Convênios, especialmente a fenômenos como a migração e a constituição de famílias com caraterísticasda transnacionalidade. A execução no Chile do “Convênio de Nova Iorquede 1956 para a obtenção de alimentos no Exterior” e “a Convenção da Hayade 1980 sobre os Aspectos Civis do Rapto de Crianças e Adolescentes”, apósdos fenômenos enunciados, têm permitido a observação de algumas práticasassociadas aos gêneros, as idades e a paternidade / maternidade, distinçõesque tentam-se revelar no presente artigo.Palavras-chave: Convênios Internacionais, Famílias Transnacionais,Migrações. Application of International Conventions related to familyissues and their link to contemporary phenomena. ABSTRACTThere are at least two international conventions associated with Family Lawthat have been signed and ratified by Chile, which have been operating foryears in apparent opacity.The complexity of the social system has forced the visibility of thoseConventions, especially in connection with migration and the formation oftransnational families.The implementation in Chile of the “Convention on the Recovery Abroadof Maintenance, New York 20 June 1956” and “Convention of 25 October1980 on the Civil Aspects of International Child Abduction”, based on theaforementioned phenomena, have allowed the observation of some practicesassociated with gender, age and paternity/maternity, which we will discussin this article.Keywords: International Conventions, Transnational Families, Migrations.
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Sadighi, Jila, Saharnaz Nedjat und Rahele Rostami. „Systematic review and meta-analysis of the effect of iron-fortified flour on iron status of populations worldwide“. Public Health Nutrition 22, Nr. 18 (05.09.2019): 3465–84. http://dx.doi.org/10.1017/s1368980019002179.

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AbstractObjective:Assess the effectiveness of iron-fortified flour on iron status.Design:Systematic review and meta-analysis.Setting:Argentina, Australia, Azerbaijan, Bangladesh, Brazil, Cameroon, Chile, China, Costa Rica, Côte d’Ivoire, Denmark, India, Iran, Jordan, Kazakhstan, Kenya, Kuwait, Mongolia, Morocco, Norway, South Africa, Sri Lanka, Tajikistan, Thailand, UK, USA, Uzbekistan, Venezuela, Vietnam, and Zambia.Participants:Fifty-two articles (ninety-four trials) were examined. The main target groups were women, children, and infants/toddlers. The effects of different types of iron-fortified flour (wheat, maize, rice, soy, and beans) on iron status were examined.Results:A random effects analysis of before–after studies showed that iron-fortified flour led to significant increases of mean haemoglobin level (3·360 g/l; 95 % CI: 0·980, 5·730) and mean serum ferritin level (4·518 µg/l; 95 % CI: 2·367, 6·669); significant decreases of anaemia (−6·7 %; 95 % CI: −9·8 %, −3·6 %) and iron deficiency (ID) (−10·4 %; 95 % CI: −14·3 %, −6·5 %); but had no significant effect on iron deficiency anaemia (IDA). A random effects analysis of controlled trials indicated that iron-fortified flour led to significant increases of mean haemoglobin level (2·630 g/l; 95 % CI: 1·310, 3·950) and mean ferritin level (8·544 µg/l; 95 % CI: 6·767, 10·320); and significant decreases of anaemia (−8·1 %; 95 % CI: −11·7 %, −4·4 %), ID (−12·0 %; 95 % CI: −18·9 %, −5·1 %), and IDA (−20·9 %; 95 % CI: −38·4 %, −3·4 %).Conclusions:Flour fortification with iron is an effective public health strategy that improves iron status of populations worldwide.
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Moreno Coral, Claudia Ximena. „El derecho de los pederastas al olvido en Colombia“. Revista UNIMAR 36, Nr. 2 (30.01.2019): 91–108. http://dx.doi.org/10.31948/unimar36-2.art6.

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Este artículo de reflexión es el resultado de la revisión analítica, interpretativa y crítica de los documentos, leyes y jurisprudencia relacionada con el derecho al olvido de los pederastas, la pedofilia y la pederastia, cumpliendo con los objetivos principales de clarificar los conceptos objeto de discusión y formular posibles alternativas frente a las escasas limitaciones para la vinculación al mercado laboral de quienes han sido condenados por delitos sexuales contra menores de catorce años. Mediante la utilización del tipo de investigación dogmática, descriptiva y de análisis estático de precedente se logró concluir que la pedofilia, al ser una enfermedad incurable, debe ser tratada con el fin de evitar su materialización en la pederastia y, como medida preventiva de delitos, el Congreso de la República de Colombia ostenta la misión de reglar el manejo de las bases de datos de los condenados por estos delitos a través de una ley estatutaria. Referencias American Psychiatric Association. (2014). DSM-5. Guía de Consulta de los Criterios Diagnósticos del DSM-5. Argentina: Editorial Médica Panamericana.Bertini, C., De Luca, S., Fariña, N., Ganduglia, A. y Sisini, N. (2005). El maltrato hacia los niños. En Giberti, E. (Comp.), Abuso sexual y malos tratos contra niños, niñas y adolescentes. Perspectiva psicosocial y social (239-258). Buenos Aires, Argentina: Espacio Editorial.Bohórquez, L. y Bohórquez, J. (2008). Diccionario Jurídico Colombiano (8a. ed.). Bogotá, Colombia: Editora Jurídica Nacional.Botero Martínez, J. (2014). Sobre la Inimputabilidad: ¿Algo más que decir? ¿Los estados similares son una causal autónoma o amplificadora de la inimputabilidad? Sentido y alcance de los “estados similares”. Opinión Jurídica, 13(25), 207-208.Botero Bernal, J. (Comp.). (2018). Código Penal Colombiano (Ley 599 de 2000). Recuperado de http://perso.unifr.ch/derechopenal/assets/files/legislacion/l_20160208_02.pdfCastillero, O. (s.f.). Diferencias entre pedofilia y pederastia. Recuperado de https://psicologiaymente.net/clinica/diferencias-pedofilia-pederastiaCongreso de la República de Colombia. (s.f.). Proyecto de Ley “por el cual se tutela el derecho al libre desarrollo sexual de las niñas y niños menores de 14 años”. Recuperado de http://www.legisaldia.com/BancoMedios/Archivos/pl-041-16c-base-de-datos-pedofilos.pdf-------. (1991). Ley 12 de 1991 “por medio de la cual se aprueba la Convención sobre los Derechos del Niño adoptada por la Asamblea General de las Naciones Unidas el 20 de noviembre de 1989”. Recuperado de https://www.unidadvictimas.gov.co/sites/default/files/documentosbiblioteca/ley-12-de-1991.pdf-------. (1993). Ley 65 de 1993 “por la cual se expide el Código Penitenciario y Carcelario”. Recuperado de http://wp.presidencia.gov.co/sitios/normativa/leyes/Documents/Juridica/Ley%2065%20de%201993.pdf-------. (2000). Ley 599 de 2000 “por la cual se expide el Código Penal”. Recuperado de https://www.unodc.org/res/cld/legislation/can/codigo-penal_html/Codigo_Penal.pdf-------. (2002). Ley 734 de 2002 “por la cual se expide el Código Disciplinario Único”. Recuperado de http://secretariageneral.gov.co/transparencia/marco-legal/normatividad/ley-734-2002-------. (2004). Ley 890 de 2004 “aplicable a procesos de Ley 600 de 2000”. Recuperado de http://www.cortesuprema.gov.co/corte/index.php/2018/05/10/ley-890-de-2004-aplicable-a-procesos-de-ley-600-de-2000/-------. (2006). Ley 1098 de 2006 “por la cual se expide el Código de la Infancia y la Adolescencia”. Recuperado de https://www.icbf.gov.co/cargues/avance/docs/ley_1098_2006.htm-------. (2008). Ley 1236 de 2008 “por medio de la cual se modifica algunos artículos del Código Penal relativos a delitos de abuso sexual”. Recuperado de http://www.oas.org/dil/esp/ley_1236_de_2008_colombia.pdf-------. (2009). Ley 1336 de 2009, “por medio del cual se adiciona y robustece la Ley 679 de 2001, de lucha contra la explotación, la pornografía y el turismo sexual con niños, niñas y adolescentes”. Recuperado de https://diario-oficial.vlex.com.co/vid/robustece-pornografia-adolescentes-61325313-------. (2016). Proyecto de Ley Estatutaria Nº 112 de 2016 “por medio de la cual se crea el Registro Nacional de Ofensores Sexuales”. Recuperado de http://leyes.senado.gov.co/proyectos/images/documentos/Textos%20Radicados/proyectos%20de%20ley/2016%20-%202017/PL%20112-16%20REGISTRO%20NACIONAL%20DE%20OFENSORES%20SEXUALES.pdf-------. (2018). Ley 1918 de 2018 “por medio de la cual se establece el régimen de inhabilidades a quienes hayan sido condenados por delitos sexuales contra menores, se crea el Registro de inhabilidades y se dicta otras disposiciones”. Bogotá, Colombia. Recuperado de http://www.funcionpublica.gov.co/eva/gestornormativo/norma.php?i=87420Consejo Superior de Política Criminal. (s.f.). Consejo Superior de Política Criminal. Recuperado de http://www.politicacriminal.gov.co/Portals/0/Conceptos/ConceptosCSPC/2016/22%20CSPC%20PLE%20112,%20PL%2087S%20y%2041C%20(Registro%20agresores%20sexuales).pdfCorte Constitucional. República de Colombia. (Junio de 1992). Sentencia T-414/92. [MP Ciro Angarita Barón]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/1992/t-414-92.htm-------. (Julio de 1992). Sentencia T-444/92. [MP Alejandro Martínez Caballero]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/1992/T-444-92.htm-------. (Marzo de 1995). Sentencia SU-082/95. [MP Jorge Arango Mejía]. Bogotá, Colombia. Recuperado de https://vlex.com.co/tags/sentencia-su-082-95-corte-constitucional-565292-------. (Septiembre de 2002). Sentencia T-729/02. [MP Eduardo Montealegre Lynett]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2002/t-729-02.htm-------. (Diciembre de 2002). Sentencia T-1066/02. [MP Jaime Araujo Rentería]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2002/c-1066-02.htm-------. (Marzo de 2003). Sentencia C-185/03. [MP Eduardo Montealegre Lynett]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2003/C-185-03.htm-------. (Enero de 2008). Sentencia C-061 de 2008. [MP Nilson Pinilla Pinilla]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2008/C-061-08.htm-------. (Marzo de 2008). Sentencia T-284/08. [MP Clara Inés Vargas Hernández]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2008/T-284-08.htm-------. (Octubre de 2008). Sentencia C-1011/08. [MP Jaime Córdoba Triviño]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2008/C-1011-08.htm-------. (Marzo de 2010). Sentencia T-164/10. [MP Jorge Iván Palacio Palacio]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2010/T-164-10.htm-------. (Junio de 2012). Sentencia SU-458/12. [MP Adriana María Guillén Arango]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/RELATORIA/2012/SU458-12.htm-------. (Mayo de 2015). Sentencia T-277-15. [MP María Victoria Calle Correa]. Bogotá, Colombia. Recuperado de http://www.corteconstitucional.gov.co/relatoria/2015/t-277-15.htmCorte Suprema de Justicia. República de Colombia. (Agosto de 2015). Sentencia 20889. [MP Patricia Salazar Cuellar]. Bogotá, Colombia. Recuperado de http://legal.legis.com.co/document?obra=jurcol&document=jurcol_0606b12290a641419649d2c5ec3b8486Christopher’s Law (Sex Offender Registry), 2000 S.O. Recuperado de https://www.ontario.ca/laws/statute/00c01Cifuentes, S., Grupo Centro de Referencia Nacional sobre Violencia e Instituto Nacional de Medicina Legal y Ciencias Forenses. (2015). Exámenes médico legales por presunto delito sexual. Colombia, 2015. Recuperado de http://www.medicinalegal.gov.co/documents/20143/49523/Violencia+sexual.pdfDada, C. (17 de agosto de 2018). Pensilvania es el caso de abuso más preocupante en EE. UU. El Espectador. Recuperado de https://www.elespectador.com/noticias/el-mundo/pensilvania-es-el-caso-de-abuso-mas-preocupante-en-ee-uu-articulo-806746Echeburúa, E. y Guerricaechevarría, C. (2009). Abuso Sexual en la Infancia: Víctimas y agresores. Un enfoque clínico. Barcelona, España: Editorial Ariel.Fondo de las Naciones Unidas para la Infancia (UNICEF). (2006). Convención sobre los Derechos del Niño. Recuperado de http://www.un.org/es/events/childrenday/pdf/derechos.pdfGobierno de España. Ministerio de la Presidencia, Relaciones con las Cortes e Igualdad. (28 de julio 2015). Ley 26/2015 “de modificación del sistema de protección a la infancia y a la adolescencia”. Recuperado de https://www.boe.es/buscar/act.php?id=BOE-A-2015-8470Humanium. (s.f.). Declaración de Ginebra sobre los Derechos del Niño, 1924. Recuperado de https://www.humanium.org/es/ginebra-1924/-------. (s.f.). Declaración de los Derechos del Niño, 1959. Recuperado de https://www.humanium.org/es/declaracion-1959/Instituto Colombiano de Bienestar Familiar (ICBF). (2017). Tratados y Convenios Internacionales en materia de niñez y de familia. Recuperado de https://www.icbf.gov.co/tratados-y-convenios-internacionales-en-materia-de-ninez-y-de-familia.Legislación Informática de Estados Unidos. (1994). Jacob Wetterling Crimes against Children and Sexually Violent Offender Registration Act. Recuperado de http://www.informatica-juridica.com/legislacion/estados-unidos/Lopera, G. y Arias, D. (2010). Principio de Proporcionalidad y Derechos Fundamentales en la Determinación Judicial de la Pena. Bogotá, Colombia: Panamericana Formas e Impresos.López, F., Carpintero, E., Hernández, A., Martin M. y Fuertes, A. (1995). Prevalencia y consecuencias del abuso sexual al menor en España. Child Abuse & Neglect, 19(9), 1039-1050.Lozano, C. (2013). ¿Qué es el Estado social y democrático de derecho? Bogotá, Colombia: Imprenta Nacional de Colombia.Ministerio de la Protección Social. (2007). Resolución No. 2346 “por la cual se regula la práctica de evaluaciones médicas ocupacionales y el manejo y contenido de las historias clínicas ocupacionales”. Recuperado de https://vlex.com.co/vid/-495385211Ministerio del Interior y Seguridad Pública. Subsecretaría del Interior. (19 de junio de 2012). Ley 20594 de 2012 “Crea inhabilidades para condenados por delitos sexuales contra menores y establece registro de dichas inhabilidades”. Recuperado de https://www.leychile.cl/Navegar?idNorma=1041136Ministerio de Tecnologías de la Información y las Telecomunicaciones. (2012). Decreto 019 de 2012 “por el cual se dicta normas para suprimir o reformar regulaciones, procedimientos y trámites innecesarios existentes en la Administración Pública”. Recuperado de https://www.mintic.gov.co/portal/604/w3-article-3567.htmlMontes, R. (24 de mayo de 2018). Catorce sacerdotes suspendidos en Chile por denuncias de abusos sexuales. El País. Recuperado de https://elpais.com/internacional/2018/05/23/america/1527042814_750171.htmlNaciones Unidas. (s.f.). Declaración Universal de los Derechos Humanos. Recuperado de http://www.un.org/es/universal-declaration-human-rights/Oficina del Alto Comisionado para los Derechos Humanos (ACNUDH). (2018). Pacto Internacional de Derechos Civiles y Políticos. Recuperado de https://www.ohchr.org/sp/professionalinterest/pages/ccpr.aspxOrganización de los Estados Americanos (OEA). (2015). Declaración Americana de los Derechos y Deberes del Hombre. Recuperado de http://www.oas.org/es/cidh/mandato/Basicos/declaracion.aspOrganización Panamericana de la Salud. (2017). INSPIRE. Siete estrategias para poner fin a la violencia contra los niños y las niñas. Recuperado de https://www.unodc.org/documents/justice-and-prison-reform/Child-Victims/Executive_Summary-Spanish.pdfPresidencia de la República de Colombia. (2012). Decreto Ley 019 de 2012 “por el cual se dicta normas para suprimir o reformar regulaciones, procedimientos y trámites innecesarios existentes en la Administración Pública”. Bogotá, Colombia. Recuperado de http://wsp.presidencia.gov.co/Normativa/Decretos/2012/Documents/Enero/10/Dec1910012012.pdfQuamtum Future Group. (2014). Depredadores entre nosotros: entrevista con la doctora Anna Salter – SOTT Talk Radio. Recuperado de https://es.sott.net/article/40250-Depredadores-entre-nosotros-Entrevista-con-la-Dra-Anna-Salter-SOTT-Talk-Radio.República de Colombia. (1991). Constitución Política de Colombia. Recuperado de http://www.corteconstitucional.gov.co/inicio/Constitucion%20politica%20de%20Colombia.pdfRicaurte, A. (2017). Exámenes médico legales por presunto delito sexual. En Instituto Nacional de Medicina Legal y Ciencias Forenses (Eds.), Forensis 2016, Datos para la Vida (pp. 352-398). Bogotá, Colombia: Imprenta Nacional.Rodríguez, A. (2016). Pedófilos sin obstáculos: ¿A quién están protegiendo las leyes? Programa Séptimo día. Caracol televisión [Archivo de video]. Recuperado de http://noticias.caracoltv.com/septimo-dia/pedofilos-sin-obstaculos-quien-estan-protegiendo-las-leyesStekel, W. (1954). Infantilismo Psicosexual. Enfermedades psíquicas infantiles en los adultos. Buenos Aires, Argentina: Ediciones Imán.Tamayo, J. (15 de agosto de 2018). La pederastia, cáncer con metástasis. El País. Recuperado de https://elpais.com/autor/juan_jose_tamayo/aUniversidad Externado de Colombia. (2015). Luces y sombras del Derecho al olvido. Recuperado de http://dernegocios.uexternado.edu.co/comercio-electronico/colombia-luces-y-sombras-del-derecho-al-olvido/World Health Organization. (WHO). (2016). INSPIRE, Siete estrategias para poner fin a la violencia contra los niños. Recuperado de https://www.who.int/violence_injury_prevention/violence/inspire/INSPIRE_ExecutiveSummary_ES.pdf
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Gutiérrez Huby, Ana María. „LA CALIDAD DE LA EDUCACIÓN PÚBLICA: ¿UN PROBLEMA DE QUIÉN?“ Quipukamayoc 12, Nr. 23 (16.03.2014): 47. http://dx.doi.org/10.15381/quipu.v12i23.5457.

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La universidad pública nuevamente pasa por una de sus tantas crisis educativas y econ6micas, las cuales le impiden avanzar hacia la consecución de objetivos académicos de alta calidad. Pero, a pesar del reconocimiento de la crisis y de, en algunos casos, su falta de calidad, diferentes sectores de la sociedad hacen esfuerzos muy grandes por la creación de un sistema que se encargue de la evaluación, acreditación y la certificación de la calidad educativa, ya que el Perú no cuenta aún con un sistema para la acreditación de su educación superior. Es más, aunque la Ley General de Educación garantiza su funcionamiento, no existen señales políticas claras que permitan inferir que el Ejecutivo o el Legislativo tengan la voluntad de crear los organismos que velen por la calidad de la educación superior peruana. No existen en el Perú mecanismos que permitan comparar la homogeneidad de la formación de profesionales de la misma especialidad en dos universidades públicas distintas. El Perú, como uno de los tantos países latinoamericanos que permanentemente están sumergidos en la ingobernabilidad, muestra cifras alarmantes de desempleo y subempleo, producto de su falta de planeación educativa. Por ejemplo, si analizamos la evolución del crecimiento universitario observamos que en 1980 existían en el Perú 35 universidades y este número se incrementó a 56 en 1994 y a 78 en el 2002. En 1980, de las 35 universidades que existían, 25 eran públicas; en 1994 de las 56 universidades, 28 eran públicas; y en el 2002, de las 78 universidades 46 eran privadas. Pero a pesar de este importante incremento de universidades privadas, las públicas siguen albergando el mayor número de alumnos (59% de la población estudiantil). Según estudios realizados por el CONCYTEC, la investigación y el desarrollo (I&D) en nuestro país representa el 0,11% del PBI, una de las más bajas de la región y bastante rezagadas respecto de países como Brasil, Cuba, Chile y Argentina, que tienen un coeficiente de 1,05%; 0,62%; 0,56% y 0,42%, respectivamente. En el Perú, en los últimos 25 años, la inversión en I&D ha descendido de 0,36% del PBI en 1975 a 0,10% del PBI en el 2002. La inversión pública en I&D es alrededor del 55% del total de la inversión y el resto es originada en el sector privado; sin embargo, si se analiza por sectores institucionales se puede observar que las universidades en su conjunto representan aproximadamente el 42% del total de la inversión, siendo muy similar los niveles en las universidades públicas y privadas. Según la Asamblea Nacional de Rectores, en el año 2000, el gasto promedio por cada estudiante de universidad pública en el Perú fue equivalente a 780 dólares, mientras que el promedio para el resto de países en América Latina fue de 937 dólares y de 5595 dólares en Estados Unidos, según datos de la UNESCO para 1998. Entre los años 1991 y 2002, el número de postulantes a universidades públicas aumentó en 66%, asimismo en el 2002 postularon 229 107 jóvenes a universidades públicas, mientras que 62 149 lo hicieron a universidades privadas.
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Seguel Sandoval, Marco, Luis Améstica Rivas und Rudi Radrigan Ewoldt. „Una apuesta sustentable en los centros de salud primaria: Una evaluación económica y social“. Universidad Ciencia y Tecnología 25, Nr. 109 (04.06.2021): 139–47. http://dx.doi.org/10.47460/uct.v25i109.461.

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El objetivo de este trabajo es evaluar un proyecto fotovoltaico como fuente de energía alternativa en el sector de salud primaria como estudio de caso, desde la perspectiva económica y social. La evaluación se basó en variables técnicas y económicas bajo los criterios de Valor Actual Neto (VAN) y Tasa interna de retorno (TIR), valorizando las reducciones de carbono (CO2) y utilizando la tasa de descuento social del Ministerio de Desarrollo Social. Los resultados son favorables y sugieren la ejecución de este proyecto como iniciativa de política pública. Sin embargo, queda en evidencia que en periodos de invierno no se cubre las necesidades energéticas, haciendo imprescindible diversificar la matriz con fuentes tradicionales. Palabras Clave: Energía solar fotovoltaica, sector salud, sustentabilidad, evaluación social. Referencias [1]Fondo Nacional de Salud (FONASA), Boletin Estadístico 2016-2017. Disponible: https://www.fonasa.cl/sites/fonasa/adjuntos/Boletin_Estadistico_2016_2017_2018. [2]Cisterna L, Améstica-Rivas L, Piderit M. Proyectos fotovoltaicos en generación distribuida ¿Rentabilidad privada o sustentabilidad ambiental?. Revista Politécnica. 2020; 45(2): en prensa. Disponible: https://revistapolitecnica.epn.edu.ec/ojs2/index.php/revista_politecnica2/issue/view/39. [3]Medina J. La dieta de dióxido de carbono CO2. Conciencia Tecnológica. 2010; 39: 50-53. Disponible: https://www.redalyc.org/articulo.oa?id=94415753009. [4]Mardones C. Muñoz, T. Impuesto al CO2 en el sector eléctrico chileno: efectividad y efectos macroeconómicos. Economía Chilena. 2017; 20(1): 4-25. Disponible: https://www.bcentral.cl/web/guest/articulos-publicados. [5]Ministerio del Medio Ambiente, Tercer Informe de Actualización Bienal de Chile, 2018. Disponible: https://mma.gob.cl/wp-content/uploads/2019/07/2018_NIR_CL.pdf. [6]Gallego Y, Arias R, Casas L, Sosa R. Análisis de la implementación de un parque fotovoltaico en la Universidad Central de las Villas. Ingeniería Energética, 2018; 39(2): 82-90. Disponible: http://rie.cujae.edu.cu/index.php/RIE/article/view/531. [7]Arias R, Pérez I. Nueva metodología para determinar los parámetros de un módulo fotovoltaico. Ingeniería Energética. 2018; 39(1): 38-47. Disponible: http://rie.cujae.edu.cu/index.php/RIE/article/view/557. [8]Plá J, Bolzi C, Durán J.C. Energía Solar Fotovoltaica. Generación Distribuida conectada a la red. Ciencia e Investigación. 2018; 68(1), 51-64. Disponible: http://aargentinapciencias.org/wp-content/uploads/2018/03/tomo68-1/4-Duran-cei68-1-5.pdf. [9]Hou G, Sun H, Jiang Z, Pan Z, Wang Y, Zhang X, Zhao Y, Yao Q. Life cycle assessment of grid-connected photovoltaic power generation from crystalline silicon solar modules in China. Applied Energy. 2016; 164 (15): 882-890. Disponible: https://doi.org/10.1016/j.apenergy.2015.11.023. [10]Baharwani V, Meena N, Dubey A, Brighu U, Mathur J. Life Cycle Analysis of Solar PV System: A Review. International Journal of Environmental Research and Development. 2014; 4(2): 183-190. Disponible: https://www.ripublication.com/ijerd_spl/ijerdv4n2spl_14.pdf [11]Rojas-Hernández I, Lizana F. Tiempo de recuperación de la energía para sistemas fotovoltaicos basados en silicio cristalino en Costa Rica. Ingeniería Energética. 2018; 39 (3):195-202. Disponible: http://rie.cujae.edu.cu/index.php/RIE/article/view/544. [12]World Economic Forum. Informe Energía. 2017. Disponible: https://es.weforum.org/agenda. [13]Zou L, Wang L, Lin A, Zhu H., Peng Y, Zhao Z. Estimation of global solar radiation using an artificial neural network based on an interpolation technique in southeast China. Journal of Atmospheric and Solar-Terrestrial Physics. 2016; 146: 110-122 Disponible: https://doi.org/10.1016/j.jastp.2016.05.013. [14]Crawley D, Lawrie, L, Winkelmann F, Buhl W, Huang C, Pedersend C, Strand R, Liesen R, Fisher D, Witte M, Glazer J. EnergyPlus: creating a new-generation building energy simulation program. Energy and Buildings. 2001; 33(4): 319-331.Disponible: https://doi.org/10.1016/S0378-7788(00)00114-6. [15]Larrain S, Stevens C, Paz M. Las fuentes renovables de energía y el uso eficiente. 2002. LOM Ediciones, Chile Disponible: http://www.archivochile.com/Chile_actual/patag_sin_repre/03/chact_hidroay-3%2000010.pdf. [16]World Economic Forum. Cuatro países que lideran las tendencias de energía solar en América Latina y el Caribe, 2017.Disponible: https://es.weforum.org/agenda/2017/05/cuatro-paises-que-lideran-las-tendencias-de-energia-solar-en-america-latina-y-el-caribe/. [17]Ministerio de Energía. Ley 20.571, Regula el pago de las tarifas eléctricas de las generadoras residenciales. 2012. Disponible: https://www.leychile.cl/Navegar?idNorma=1038211. [18]Comisón Nacional de Energía (CNE) de Chile. Reporte mensual sector energético. 2019; 50. Disponible: https://www.cne.cl. [19]Ministerio de Energía, Programa de Techos Solares Públicos, Reporte de costos. 2018. Disponible: http://www.minenergia.cl/techossolares/wp-content/uploads/2017/04/Reporte-de-Costos-de-Adjudicacion-2018-233x300.jpg. [20]Löhr W, Gauer K, Serrano N, Zamorano A. Igarss 2014. Eficiencia Energética en Hospitales Públicos. Editorial GTZ- Dalkia. Santiago de Chile. [21]Smith M, De Titto E. Hospitales sostenibles frente al cambio climático: huella de carbono de un hospital público de la ciudad de Buenos Aires. Revista Argentina Salud Pública. 2018; 9(36): 7-13. Disponible: http://rasp.msal.gov.ar/rasp/articulos/volumen36/7-13.pdf. [22]Chung J, Meltzer, D. Estimate of the carbon footprint of the US health care sector. Jama. 2009; 302(18):1970-1972. Disponible: https://jamanetwork.com/journals/jama/article-abstract/184856. [23]Nope A, García R, Bobadilla A. Método para la implementación de sistemas solares activos en establecimientos hospitalarios, estudio de caso en el hospital clínico del sur, Concepción, Chile. En Proceedings of the 3rd International Congress on Sustainable Construction and Eco-Efficient Solutions. Sevilla. 2017; 451-464. Disponible: https://idus.us.es/xmlui/handle/11441/58969. [24]Compañía General de Electricidad, Tarifa de Suministro. 2018 Disponible: http://www.cge.cl/wp-content/uploads/2019/08/Publicacion-CGE-2019-08-01-Suministro-electrico.pdf. [25]Ministerio de Desarrollo Social, Precio Social del Carbono. 2018. Disponible: http://sni.ministeriodesarrollosocial.gob.cl/download/precio-social-co2-2017/?wpdmdl=2406.
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Phillips, John D., David P. Steensma, Gerald J. Spangrude und James P. Kushner. „Congenital Erythropoietic Porphyria, β-Thalassemia Intermedia and Thrombocytopenia Due to a GATA1 Mutation.“ Blood 106, Nr. 11 (16.11.2005): 515. http://dx.doi.org/10.1182/blood.v106.11.515.515.

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Abstract Congenital erythropoietic porphyria (CEP), a rare photomutilating disorder, is due to homozygosity or compound heterozygosity for mutant alleles encoding uroporphyrinogen III synthase (U3S), a cytosolic enzyme that converts hydroxymethyl bilane to uroporphyrinogen III. Deficiency of U3S results in an excess of biologically useless uroporphyrin I (URO I), which causes the photomutilation. Clinical expression of CEP is usually associated with co-existence of congenital dyserythropoietic anemia type I, also an autosomal recessive trait. We evaluated a 3-year-old boy of English-French extraction with a photosensitive bullous dermatosis; CEP was suspected. The boy had a hypochromic, microcytic anemia and thrombocytopenia from birth with hemoglobin values averaging 7.0 g/dL, MCV’s averaging 67 fL and platelet counts averaging 70,000/μL. A physical exam revealed scars on the face, hands and forearms, generalized hirsutism and splenomegaly. The diaper fluoresced under a Wood’s lamp. Fifty mL of urine contained 2,003 μg of URO (normal=trace), 92% of which was URO I. Erythrocyte U3S activity was 21% of controls, confirming the diagnosis of CEP. Red cell morphology was compatible with thalassemia and fluorescent red cells were apparent. Hb electrophoresis revealed 36.3% Hb A, 2.4% Hb A2, 59.5% Hb F and 1.8% of a fast moving peak, likely Hb Bart’s. Both parents were hematologically normal, had no evidence of porphyria, and had normal Hb electrophoreses. Genomic U3S was characterized (including the promoter), no mutations or deletions were found in the child or the parents. Characterization of the α and β-globin loci also revealed no mutations or deletions. Lack of a molecular explanation for either the low U3S activity or the β-thalassemia/thrombocytopenia phenotype led us to sequence GATA1, an X-linked transcription factor common to globin genes and the first 4 steps of the heme biosynthetic pathway in erythrocytes. A mutation was found at codon 216 in the child and on one allele of his mother, changing arginine to tryptophan (R216W). A more conservative arginine to glutamine mutation (R216Q) previously described by Yu et al. (Blood2002; 100:2040–5) is the only known human mutation of the DNA-binding domain of the N-finger of GATA1, and did not result in porphyria. Here, in contrast to the reduced activity of U3S, erythrocyte activities of the proximal heme biosynthetic enzymes were normal. To explore the mechanism responsible for the extremely high Hb F levels we sequenced the proximal promoter regions of the γ globin loci. The Xmn I polymorphism (−158 C to T), associated with increased production of G-γ chains, was identified in the promoter region of one G-γ allele in the child and in one allele of his father. The G-γ to A-γ ratio in the child’s Hb F was 2:1, a moderate increase in the expected ratio. Xmn I, when present with the Hb S mutation, results in variable Hb F elevations but almost always <20% (Miller et al Blood1987; 70:716–20), far below the 59.5% level observed. This is the first report of a human porphyria due to a mutation in a trans-acting factor, and the first association of CEP with thalassemia and thrombocytopenia. The Hb F level of 59.5% is not fully explained but a role for GATA1 R216W in altering globin switching is possible. The selective effect of the R216W mutation on U3S suggests that cis-elements vary in their affinity for GATA1. A bone marrow allograft corrected both the porphyria and the thalassemia.
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Ortiz, Andrés, Santiago Ortiz, Julio Paredes und Miriam Córdova. „TELETRABAJO: UN ANÁLISIS NORMATIVO EN LA LEGISLACIÓN ECUATORIANA“. Universidad Ciencia y Tecnología 24, Nr. 106 (15.11.2020): 20–26. http://dx.doi.org/10.47460/uct.v24i106.391.

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Este trabajo es un estudio analítico y comparativo entre el régimen de contrato laboral vigente en Ecuador y el contrato de teletrabajo que busca resolver el problema legal de establecer si la relación laboral de teletrabajo configurada como contrato de trabajo puede estar sujeta a las reglas generales de los contratos o reglas específicas del contrato de vivienda contempladas en el Código de Trabajo Ecuatoriano. Como el teletrabajo no está reconocido por la legislación laboral ecuatoriana, el trabajo se divide en tres capítulos diferentes que buscan solucionar el problema legal mencionado. Se exponen todas las características, elementos y demás cuestiones relevantes al régimen de contratación laboral, sirviendo de antecedente para el análisis comparativo antes mencionado. Posteriormente, se hace una descripción y análisis de la figura del teletrabajo, así como sus características y elementos que lo convierten en una figura diferente y única. Finalmente, se hizo un análisis del trabajo a domicilio (modalidad que está regulada por la legislación laboral ecuatoriana) para luego pasar a compararlo con el teletrabajo. El resultado de esta comparación es determinar si es legalmente posible regular. Palabras Clave: teletrabajo, legislación laboral, contrato de trabajo. Referencias [1]N. Samaniego, «El teletrabajo en el Ecuador,» agosto 2016. [En línea]. Disponible: http://dspace.uniandes.edu.ec/bitstream/123456789/6133/1/TUSDMDL002-2017.pdf. [Último acceso: 09 Septiembre 2020]. [2]P. Alvarez, «Teletrabajo en la experiencia extranjera, » octubre 2018. [En línea]. Disponible: https://obtienearchivo.bcn.cl/obtienearchivo?id=repositorio/10221/25913/2/PA_Teletrabajo_2018.pdf. [Último acceso: 09 09 2020]. [3]M. Palacios, «El teletrabajo: hacia una regulación garantista en el Ecuador,» Quito, 2017. [4]J. Espinosa, «Los Efectos del Condicionamiento del Plazo de un Contrato de Trabajo a la Duración de un Contrato de Servicios Complementarios en Base al Artículo 169 numeral 3ero del Código de Trabajo,» Quito, 2015. [5]Constitución de la República del Ecuador, «Legislación laboral y de Seguridad Social Tomo I,» Pudeleco, Quito, 2016. [6]H. Chiriboga, «Historia del Derecho Laboral como instrumento político del Ecuador,» Guayaquil, 2017. [7]G. Blacio, «La vulneración de los principios constitucionales del trabajo, en cuanto a la exoneración del pago de utilidades a los operarios y aprendices de losartesanos,» Loja , 2016. [8]P. Arpi, «Estrategias para promover el teletrabajo en las empresas del sector privado del Ecuador para mejorar el empleo y la productividad,» Quito, 2018. [9]P. Martín, Teletrabajo y comercio electrónico, Madrid (España): Secretaría General Técnica, 2018. [10]G. Poveda, Abril 2018. [En línea]. Disponible: https://www.eumed.net/actas/18/empresas/18-una-revision-al-teletrabajo.pdf. [Último acceso: 09 09 2020]. [11]Organización Internacional del Trabajo, «Las dificultades y oportunidades del teletrabajo para los trabajadores y empleadores en los sectores de serviciosde tecnología de la información y las comunicaciones (TIC) y financieros,» 2016. [En línea]. Disponible: https://www.ilo.org/wcmsp5/groups/public/---ed_dialogue/---sector/documents/publication/wcms_531116.pdf. [Último acceso: 09 09 2020]. [12]E. Villa, «Beneficios e impactos del teletrabajo en el talento humano: una revisión de literatura,» CEA,vol. 2, nº 4, pp. 59-73, 2016. [13]Ministerio de Trabajo, Agosto 2016. [En línea]. Disponible: http://www.trabajo.gob.ec/wp-content/uploads/2016/10/Acuerdo_Teletrabajo_WEB.pdf. [Últimoacceso: 09 09 2020]. [14]C. Vélez, «Análisis de la norma jurídica sobre el teletrabajo en Ecuador y sus vacíos legales,» Enero 2020. [En línea]. Diponible: http://dspace.uniandes.edu.ec/bitstream/123456789/11164/1/PIUAMDL001-2020. pdf. [Último acceso: 09 09 2020]. [15]R. Hernández, Metodología de la investigación. Las rutas cuantitativa, cualitativa y mixta, México D.F. (México): McGraw Hill, 2018. [16]M. Bonilla y A. López, «Ejemplificación del proceso metodológico de la teoría fundamentada,» Scielo, pp. 305-315, 2016. [17]R. Buenaño, «El fututo del trabajo, teletrabajo y su influencia en la relación laboral,» Derecho Ecuador, 15 05 2020. [En línea]. Disponible: https://www.derechoecuador.com/el-futuro-del-trabajo-teletrabajo-y-su-influencia-en-la-relacion-laboral. [Último acceso: 10 09 2020]. [18]Ministerio del Trabajo y Previsión Social, «Ley 21220 Modifica el código del trabajo en materia de trabajo a distancia,» BCN, Santiago de Chile, 2020. [19]A. Mello y A. Acuña, «Primer Informe Estado del Teletrabajo en América Latina y El Caribe,» Ita Lac, América Latina y El Caribe, 2017. [20]C. Valera, «El teletrabajo en la legislación peruana y latinoamericana,» La Ley, Lima (Perú), 2020. [21]J. Rodríguez, «Teletrabajo en Panamá,» 06 03 2020. [En línea]. Disponible: https://www.dentonsmunoz.com/es/insights/articles/2020/march/6/teleworking-in-panama. [Último acceso: 11 09 2020]. [22]J. Hewitt, A. Acuña y A. Formoso, « Informe del Estado del Teletrabajo en Costa Rica,» CIIDTT, San José, 2017.
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Ceballos Bejarano, Ferdinand Eddington, Jorge Eloy Rojas Nina, Luz Gabriela Cuba Pacheco, Kristhian Pattrick Medina Gámez und Alfredo Ruitval Velazco Gonzales. „Análisis de la calidad del servicio en centros universitarios“. Universidad Ciencia y Tecnología 25, Nr. 108 (03.03.2021): 23–29. http://dx.doi.org/10.47460/uct.v25i108.427.

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En este trabajo se analizó el nivel de percepción de los estudiantes sobre la calidad del servicio los centros universitarios. Para ello participaron 684 estudiantes de pregrado de un programa de estudios elegidos aleatoriamente, a quienes se les aplicó una escala que intenta calcular lo que se espera del servicio educativo. Se encontró que el nivel de percepción es aceptable con tendencia a ser buena sobre la calidad del servicio que presta la universidad, no se encontraron diferencias estadísticamente significativas según la ocupación del estudiante, sin embargo, si se hallaron diferencias según género y centro de estudios evaluados. Por lo tanto, la calidad del servicio aceptado por el estudiante de la universidad se ve reflejada en el aspecto físico, la modernización y el equipamiento, precisando que el personal administrativo debe capacitarse mejor para brindar una adecuada atención al usuario. Palabras Clave: Calidad del servicio, estudiantes, atención al usuario. Referencias [1]Ministerio de Educación, «MINEDU: Ley Universitaria 30220,» 2015. [En línea]. Disponible en: http://www.minedu.gob.pe/reforma-universitaria/pdf/ley_universitaria.pdf. [Último acceso: 15 10 2020]. [2]D. Ceballos, «La Calidad Educativa en la realidad Universitaria Peruana frente al Contexto Latinoamericano,» Flumen, Revista de la Universidad Católica Santo Toribio de Mogrovejo, vol. 7, nº 1, pp. 3-8, 2014. [3]S. Carrasco, Metodología de la investigación científica. Pautas metodológicas para diseñar y elaborar el proyecto de investigación, Lima: Editorial San Marcos E.I.R.L., 2019. [4]J. C. Vergara y Q. V. Manuel, «Análisis de la calidad en el servicio y satisfacción de los estudiantes de Ciencias Económicas de la Universidad de Cartagena mediante un modelo de ecuaciones estructurales,» Revista electrónica de investigación educativa, vol. 13, nº 1, pp. 108-122, 2011. [5]L. Muñoz y J. I. Pérez, «Calidad del servicio de uso de aulas para la enseñanza-aprendizaje desde la perspectiva del estudiante,» Universidad, Ciencia y Tecnología, vol. 17, nº 69, pp. 161-169, 2013. [6]P. I. Palominos, L. E. Quezada, C. A. Osorio, J. A. Torres y L. M. Lippi, «Calidad de los servicios educativos según los estudiantes de una universidad pública en Chile,» Revista iberoamericana de educación superior, vol. 7, nº 18, pp. 130-142, 2016. [7]N. Maneiro, A. Mejías y M. L. Romero, «Evaluación de la calidad de los servicios, una experiencia en la educación superior Venezolana,» Investigación Arbitrada, vol. 12, nº 43, pp. 797-804, 2008. [8]A. Parasuraman, V. Zeithaml y L. Berry, «SERVQUAL: A Multiple-Item Scale for Measuring Consumer Perceptions of Service Quality.,» Journal of Retailing, vol. 64, nº 1, pp. 12-40, 1988. [9]F. Ganga, N. Alarcón y L. Pedraja, «Medición de calidad de servicio mediante el modelo SERVQUAL: el caso del Juzgado de Garantía de la ciudad de Puerto Montt - Chile,» Ingeniare. Revista chilena de ingeniería, vol. 27, nº 4, pp. 668-681, 2019. [10] J. Inquilla, W. Calsina y B. Velazco, «La calidad educativa y administrativa vista desde dentro: caso Universidad Nacional del Altiplano - Puno -Perú 2017,» Comuni@cción, vol. 8, nº 1, pp. 5-15, 2017. [11]A. Mejías y A. Agustín, «Modelo para medir la calidad del servicio en los estudiantes universitarios de postgrado,» Universidad, Ciencia y Tecnología, vol. 9, nº 34, pp. 81-85, 2005. [12]L. D. Sánchez y R. Panduro, «Sociabilización del concepto de calidad y licenciamientoen las universidades del Perú. Lima 2020,» IGOBERNANZA, vol. 3, nº10, pp. 11-28, 2020. [13]L. A. Rivera, Gestión de información académica y el desarrollo del capital humano en las universidades públicas licenciadas, Lima: Universidad Peruana de las Américas, 2019. [14]S. Carrasco, Metodología de la Investigación Científica. Pautas metodológicas para diseñar y elaborar el proyecto de investigación, Lima: Editorial San Marcos, 2019. [15]A. Mejías, O. Reyes y N. Maneiro, «Calidad de los Servicios en la Educación Superior Mexicana: Aplicación del Servqualing en Baja California.,» Revista Investigación y Ciencia, vol. 14, nº 34, pp. 36-41, 2006. [16]J. Arciniegas y A. Mejías, «Percepción de la calidad de los servicios prestados por la Universidad Militar Nueva Granada con base en la escala Servqualing,con análisis factorial y análisis de regresión múltiple,» Comuni@cción, vol. 8, nº 1, pp. 1-11, 2017. [17]D. Frias, Análisis de la consistencia interna de las puntuaciones de un instrumento de medida, Valencia: Universidad de Valencia, 2020. [18]J. L. Ventura, «Tamaño del efecto para la U de Mann-Whitney: aportes al artículo de Valdivia-Peralta et al.,» Revista chilena de neuro-psiquiatría, vol. 54, nº4, pp. 353-354, 2016. [19]M. Tomczak y E. Tomczak, «Se revisó la necesidad de informar las estimaciones del tamaño del efecto. Una descripción general de algunas medidas recomendadas del tamaño del efecto,» Trends Sport Sciences, vol. 1, nº 21, pp. 19-25, 2014. [20]J. Cohen, «A power primer,» Psychological Bulletin, vol. 112, nº 1, pp. 155-159, 1992.
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Insani, Asri, Yufiarti und Elindra Yetti. „Parental Involvement and Mothers' Employment on Children's Independence During Covid-19 Pandemics“. JPUD - Jurnal Pendidikan Usia Dini 15, Nr. 1 (30.04.2021): 22–40. http://dx.doi.org/10.21009/jpud.151.02.

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The pandemic that occurred this year created conditions that changed the activities of parents and children, the role of parents working outside the home often led to a lack of parental involvement in child development, especially the development of independence. The conditions of the Covid-19 pandemic have caused parents and children to be in one place at the same time. This study aims to determine the effect of parental involvement and maternal employment status on the independence of children aged 7-8 years in the Covid-19 pandemic situation. This quantitative research uses a comparative causal ex-post facto design, with groups of working mothers and groups of non-working mothers. The sample of each group was 60 people who were randomly selected. The findings of the study with the calculation of the two-way ANOVA test obtained the value of Fo = 4.616> F table = 3.92 or with p-value = 0.034 <α = 0.05, indicating that there is an interaction between parental involvement and maternal employment status on children's independence, and Based on the results of hypothesis testing, there is no effect of parental involvement and mother's work status on the independence of the child even though there are differences in the average results of children's independence. Keywords: Children's Independence, Parental Involvement and Mothers' Employment References: Areepattamannil, S., & Santos, I. M. (2019). Adolescent students’ perceived information and communication technology (ICT) competence and autonomy: Examining links to dispositions toward science in 42 countries. Computers in Human Behavior. https://doi.org/10.1016/j.chb.2019.04.005 Benner, A. D., Boyle, A. E., & Sadler, S. (2016). Parental Involvement and Adolescents’ Educational Success: The Roles of Prior Achievement and Socioeconomic Status. Journal of Youth and Adolescence, 45(6), 1053–1064. https://doi.org/10.1007/s10964-016-0431-4 Chusniatun, Kuswardhani, & Suwandi, J. (2014). Peran ganda pengembangan karier guru-guru perempuan. Jurnal Pendidikan Ilmu Sosial, 24(2), 53–66. Cohen, J. (1994). The earth is round (p < .05). (Vol. 49). American Psychologist,. DeLuca, C., Pyle, A., Braund, H., & Faith, L. (2020). Leveraging assessment to promote kindergarten learners’ independence and self-regulation within play-based classrooms. Assessment in Education: Principles, Policy & Practice, 27(4), 394–415. https://doi.org/10.1080/0969594X.2020.1719033 Dong, C., Cao, S., & Li, H. (2020). Young children’s online learning during COVID-19 pandemic: Chinese parents’ beliefs and attitudes. Children and Youth Services Review. https://doi.org/10.1016/j.childyouth.2020.105440 Eisenberg, N., Valiente, C., Morris, A. S., Fabes, R. A., Cumberland, A., Reiser, M., Gershoff, E. T., Shepard, S. A., & Losoya, S. (2003). Longitudinal relations among parental emotional expressivity, children’s regulation, and quality of socioemotional functioning. Developmental Psychology, 39(1), 3–19. https://doi.org/10.1037/0012-1649.39.1.3 Gassman-Pines, A., Ananat, E. O., & Fitz-Henley, J. (2020). COVID-19 and parent-Child psychological well-being. Pediatrics, 146(4). https://doi.org/10.1542/peds.2019-3211 Grolnick, W. S., Benjet, C., Kurowski, C. O., & Apostoleris, N. H. (1997). Predictors of Parent Involvement in Children’s Schooling. 11. Gürbüztürk, O., & Şad, S. N. (2010). Turkish parental involvement scale: Validity and reliability studies. Procedia - Social and Behavioral Sciences, 2(2). https://doi.org/10.1016/j.sbspro.2010.03.049 Gusmaniarti, G., & Suweleh, W. (2019). Analisis Perilaku Home Service Orang Tua terhadap Perkembangan Kemandirian dan Tanggung Jawab Anak. Aulad : Journal on Early Childhood. https://doi.org/10.31004/aulad.v2i1.17 Hatzigianni, M., & Margetts, K. (2014). Parents’ beliefs and evaluations of young children’s computer use. Australasian Journal of Early Childhood. https://doi.org/10.1177/183693911403900415 Hornby, G., & Lafaele, R. (2011). Barriers to parental involvement in education: An explanatory model. Educational Review, 63(1), 37–52. https://doi.org/10.1080/00131911.2010.488049 Iftitah, S. L., & Anawaty, M. F. (2020). Peran Orang Tua Dalam Mendampingi Anak Di Rumah Selama Pandemi Covid-19. JCE (Journal of Childhood Education), 4(2), 71. https://doi.org/10.30736/jce.v4i2.256 Jeynes, W. H. (2005). Effects of Parental Involvement and Family Structure on the Academic Achievement of Adolescents. Marriage & Family Review, 37(3), 99–116. https://doi.org/10.1300/J002v37n03_06 Kadir. (2017). Statistika Terapan. PT Raja Grafindo Persada. Komala. (2015). Mengenal dan Mengembangkan Kemandirian Anak Usia Dini Melalui Pola Asuh Orang Tua dan Guru. Tunas Siliwangi, 1(1), 31–45. Kumpulainen, K., Sairanen, H., & Nordström, A. (2020). Young children’s digital literacy practices in the sociocultural contexts of their homes. Journal of Early Childhood Literacy, 20(3), 472–499. https://doi.org/10.1177/1468798420925116 Levitt, M. R., Grolnick, W. S., Caruso, A. J., & Lerner, R. E. (2020). Internally and Externally Controlling Parenting: Relations with Children’s Symptomatology and Adjustment. Journal of Child and Family Studies, 29(11), 3044–3058. https://doi.org/10.1007/s10826-020-01797-z Lie, A., & Prasasti, S. (2004). Menjadi Orang Tua Bijak 101 Cara Membina Kemandirian dan Tanggung Jawab Anak. PT. Alex Media. Livingstone, S., Mascheroni, G., Dreier, M., Chaudron, S., & Lagae, K. (2015). How parents of young children manage digital devices at home: The role of income, education and parental style. 26. Mikelić Preradović, N., Lešin, G., & Šagud, M. (2016). Investigating Parents’ Attitudes towards Digital Technology Use in Early Childhood: A Case Study from Croatia. Informatics in Education, 15(1), 127–146. https://doi.org/10.15388/infedu.2016.07 Moonik, P., Lestari, H. H., & Wilar, R. (2015). Faktor-Faktor Yang Mempengaruhi Keterlambatan Perkembangan Anak Taman Kanak-Kanak. E-CliniC, 3(1), 124–132. https://doi.org/10.35790/ecl.3.1.2015.6752 Ogg, J., & Anthony, C. J. (2020). Process and context: Longitudinal effects of the interactions between parental involvement, parental warmth, and SES on academic achievement. Journal of School Psychology. https://doi.org/10.1016/j.jsp.2019.11.004 Pek, L. S., & Mee, R. W. M. (2020). Parental Involvement On Child’s Education At Home During School Lockdown. Jhss (Journal Of Humanities And Social Studies). https://doi.org/10.33751/jhss.v4i2.2502 Porumbu, D., & Necşoi, D. V. (2013). Relationship between Parental Involvement/Attitude and Children’s School Achievements. Procedia - Social and Behavioral Sciences, 76, 706–710. https://doi.org/10.1016/j.sbspro.2013.04.191 Raeff, C. (2010). Independence and Interdependence in Children’s Developmental Experiences. Child Development Perspectives, 4(1), 31–36. https://doi.org/10.1111/j.1750-8606.2009.00113.x Rantina, M. (2015). Peningkatan Kemandirian Melalui Kegiatan Pembelajaran Practical Life. Jurnal Pendidikan Usia Dini, 9, 181–200. https://doi.org/DOI: https://doi.org/10.21009/JPUD.091 Rihatno, T., Yufiarti, Y., & Nuraini, S. (2017). Pengembangan Model Kemitraan Sekolah Dan Orangtua Pada Pendidikan Anak Usia Dini. JPUD - Jurnal Pendidikan Usia Dini. https://doi.org/10.21009/jpud.111.08 Rika Sa’diyah. (2017). Pentingnya Melatih Kemandirian Anak. Jurnal KORDINAT, 16, 31–46. Yulianti, K., Denessen, E., & Droop, M. (2019). Indonesian Parents’ Involvement in Their Children’s Education: A Study in Elementary Schools in Urban and Rural Java, Indonesia. In School Community Journal. Zhang, D., Zhao, J. L., Zhou, L., & Nunamaker, J. F. (2004). Can e-learning replace classroom learning? Communications of the ACM, 47(5), 75–79. https://doi.org/10.1145/986213.986216
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Calizaya López, José Manuel, Blanca Morales Palao, Hilda Lizbeth Pinto Pomareda und Rildo Santos Bellido Medina. „ANÁLISIS DEL COMPROMISO LABORAL EN COLABORADORES DE GOBIERNOS LOCALES DE LA CIUDAD DE AREQUIPA, PERÚ“. Universidad Ciencia y Tecnología 24, Nr. 106 (15.11.2020): 13–19. http://dx.doi.org/10.47460/uct.v24i106.390.

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El objetivo del estudio fue analizar el nivel de compromiso laboral según factores sociolaborales en colaboradores de dos gobiernos locales, el estudio se realizó en 477 colaboradores de gestión local elegidos aleatoriamente, a quienes se les aplicó la escala UWES-17 (Utrecht Work Engagement Scale). Se encontró que el nivel de compromiso laboral en los colaboradores es de nivel medio, no se encontraron diferencias estadísticamente significativas según sexo y condición laboral, sin embargo, si se hallaron diferencias según centro de trabajo. En conclusión, el nivel de compromiso laboral en los colaboradores se debe a que aún no han experimentado totalmente un estado psicológico positivo hacia su trabajo, para poder dedicarse, involucrarse, entusiasmarse y sentirse bien en su espacio laboral. Palabras Clave: compromiso laboral, colaboradores, gobiernos locales. Referencias [1]Ley Orgánica de Municipalidades. Ley N° 27972, Perú. [2]T. d. J. Cárdenas y A. Jaik, El Engagement (ilusión por el trabajo) y los factores que lo integran, Durango: Fundación Dialnet, 2013. [3]A. Juarez, «Engagement laboral, una concepción científica: entrevista con Wilmar Schaufeli,» Liberabit, vol. 21, nº 2, pp. 187-194, 2015. [4]B. L. Rich, J. A. Lepine y E. R. Crawford, «Job engagement: Antecedents and effects on,» Academy of Management Journal, vol. 53, nº 3, pp. 617-635, 2010. [5]D. Álvarez, C. Castro y G. Vila, «Actitudes y engagement en el trabajo como antecedentes del comportamiento altruista,» Revista Venezolana de Gerencia, vol. 19, nº 65, pp. 23-42, 2014. [6]S. Carrasco, Metodología de la investigación científica. Pautas metodológicas para diseñar y elaborar el proyecto de investigación, Lima: Editorial San Marcos E.I.R.L., 2019. [7]R. Benítez y A. R. Del Aguila, «Compromiso en el trabajo y prácticas de recursos humanos de alto rendimiento en organizaciones de acción social. El caso deAspromanis,» Lan Harremanak - Revista de Relaciones Laborales, vol. 32, nº 1, pp. 159-179, 2015. [8]M. M. Chiang, I. I. Fuentealba y R. A. Nova, «Relación Entre Clima Organizacional y Engagement, en Dos Fundaciones Sociales, Sin Fines de Lucro, de laRegión del Bio Bio,» Ciencia & trabajo, vol. 19, nº 59, pp. 105-112, 2017. [9]M. J. Foncubierta y J. M. Sánchez, «Hacia la Felicidad laboral: Atender motivaciones y eliminar temores digitales,» RETOS. Revista de Ciencias de la Administración y Economía, vol. 9, nº 18, pp. 239-257, 2019. [10]R. R. Romero y F. Palacini, «Relación entre niveles de engagement y niveles de intención de rotación en empleados de dos empresas privadas de Asunción,» Revista Científica de la UCSA, vol. 7, nº 2, pp. 3-25, 2020. [11]J. Pérez y X. L. Pedraza, «Medición del work engagement y su relación con la comunicación, liderazgo y TIC en una empresa editorial mexicana,» SIGNOS, vol. 11, nº 1, pp. 37-53, 2019. [12]W. Schaufeli y A. Bakker, UWES – Utrecht Work Engagement Scale, manual preliminar, Utrecht: Unidad de Psicología de la Salud Ocupacional Universidad de Utrecht, 2003. [13]C. A. Contreras, «Determination of the level of work Engagement among employees of an oil and gas facility offshore in Mexico,» Ciencia & trabajo, vol. 17,nº 52, pp. 37-42, 2015. [14]C. Flores, M. Fernández, A. Juárez, C. Merino y M. Guimet, «Entusiasmo por el trabajo (engagement): un estudio de validez en profesionales de la docencia en Lima, Perú,» Liberabit, vol. 21, nº 2, pp. 195-206, 2015. [15]F. J. López y C. Chiclana, «Engagement, una plataforma para el desarrollo de la persona,» Comunicación y Hombre, vol. 14, nº 1, pp. 53-62, 2017. [16]F. Luna y M. Ross, «Cultura organizacional y engagement en colaboradores de una empresa agroindustrial de Lambayeque,» Tesis de grado, Universidad Señor de Sipán, Pimentel, Perú, 2017. [17]K. S. Diaz, «Engagement entre dos instituciones financieras de Chiclayo,» Tesis de grado, Universidad Señor de Sipán, Pimentel, Perú, 2016. [18]J. Amozorrutia, (2017, abril, 19). La emoción de sentirse bien en el Trabajo. «Great Place to Work,» [En línea]. Disponible: https://www.greatplacetowork.com.pe/publicaciones/otros/blog/la-emocion-de-sentirsebien-en-el-trabajo. [Último acceso: 22 julio 2020]. [19]D. Pérez, J. Peralta y P. Fernández-Davila, «Influencia de variables organizacionales en la calidad de vida laboral de funcionarios del sector público de saluden el extremo norte de Chile,» Universitas Psychologica, vol. 13, nº 2, pp. 541-551, 2014. [20]M. F. Gutiérrez, «Compromiso organizacional y compromiso con el trabajo en instituciones de gestión pública,» Tesis de maestría, Universidad Nacional deEducación, Lima, Perú, 2019. [21]L. V. Chero y L. V. Cordova, «Cultura Organizacional y su relación con el Engagement Laboral en los Colaboradores de la Municipalidad Distrital de Independencia, » Huaraz, Tesis de grado, Universidad César Vallejo, Lima, Perú, 2018. [22]R. A. Herrera y W. A. Álvarez, «El engagement en las organizaciones: caso de un municipio en Ecuador,» Revista de Ciencias Sociales y Humanisticas, vol. 3, nº 16, pp. 89-107, 2019. [23]E. T. Sancho, «Compromiso organizacional según variables sociolaborales en trabajadores de una institución educativa de Lima Metropolitana,» Tesis de grado, Universidad San Ignacio de Loyola, Lima, Perú, 2018. [24]U. Hallberg y W. Schaufeli, Utrecht Work Engagement (UWES), Utrecht , 1999. [25]D. Frías, Apuntes de consistencia interna de las puntuaciones de un instrumento de medida, Valencia: Universidad de Valencia, 2019. [26]J. L. Ventura, «Tamaño del efecto para la U de Mann-Whitney: aportes al artículo de Valdivia-Peralta et al.,» Revista chilena de neuro-psiquiatría, vol. 54, nº4, pp. 353-354, 2016. [27]R. J. Grissom, «Probability of the superior outcome of one treatment over another.,» Journal of Applied Psychology, vol. 79, nº 2, pp. 314-316, 1994. [28]M. Tomczak y E. Tomczak, «The need to report effect size estimates revisited. An overview of some recommended measures of effect size,» Trends SportSciences, vol. 1, nº 21, pp. 19-25, 2014. [29]S. Domínguez, «Magnitud del efecto, una guía rápida, » Educación Médica, vol. 19, nº 4, pp. 251-254, 2018.
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Olaya Delgado, Nancy, Adrián David Vargas und Yhonatan Saúl Jiménez Calderón. „La responsabilidad social empresarial en La Amazonía“. Revista UNIMAR 36, Nr. 1 (29.10.2018): 12. http://dx.doi.org/10.31948/unimar.36-1.7.

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Hoy por hoy, la responsabilidad social empresarial (RSE) es una nueva forma de enfocar las organizaciones, y de tener un poco de conciencia o respeto hacia los diferentes medios o entornos en los cuales éstas desarrollan sus actividades empresariales. Aparte de ello se puede mencionar que, aunque no existe una gran cantidad de organizaciones pertenecientes al sector secundario, encargado de transformar la materia prima en un bien final, existe una amplia cantidad de pequeñas y medianas empresas (Pymes) del sector primario en la región amazónica, que realizan actividades como la extracción de madera, carbón, peces, producción de ganado, entre otras, acciones que perjudican toda la biodiversidad de la Amazonía colombiana. El presente artículo es de enfoque cualitativo y tipo metodológico descriptivo, ya que se buscó caracterizar el impacto de la RSE en la Amazonía colombiana por parte de las pequeñas y medianas empresas. Referencias: Acero, R. (2016). Lineamientos estratégicos para la incorporación congruente de la variable ambiental en los planes y esquemas de ordenamiento territorial de Colombia (Tesis de Maestría). Universidad de Chile. Recuperado de http://mgpa.forestaluchile.cl/Tesis/Acero%20Ronald.pdf Agudelo, E. (2015). Bases científicas para contribuir a la gestión de la pesquería comercial de bagres (familia pimelodidae) en la Amazonía colombiana y sus zonas de frontera. Recuperado de https://ddd.uab.cat/record/142475 Agudelo, S. (2009). Responsabilidad Social Empresarial, Una mirada desde Colombia. Revista de Negocios Internacionales, 2(1), 3‐11. Altuna, M. (2013). Los Factores de la Responsabilidad Social: El Análisis de las Pequeñas y Medianas Empresas Manufactureras Guipuzcoanas. Azkoaga, 16, 149-172. Anónimo. (s.f.). La RSE. “Modelo de Buena Práctica Empresarial”. Recuperado de https://aprendeenlinea.udea.edu.co/revistas/index.php/ tgcontaduria/article/viewFile/323512/20780676 Arenas, A., Escobar, E., Acosta, J., Monsalve, L. y Oyola, E. (2012). RSE “Moda o Compromiso Real” (Trabajo de Grado). Universidad de Medellín. Medellín, Colombia. Recuperado de http://repository.udem.edu.co/bitstream/handle/11407/357/ Responsabilidad%20social%20empresarial.%20%E2%80%9CModa% 20o%20compromiso%20 real%E2%80%9D.pdf?sequence=1&isAllowed=y Aristimuño, M. y Rodríguez, C. (2014), Responsabilidad social universitaria. Su gestión desde la perspectiva de directivos y docentes. Estudio de caso: una pequeña universidad latinoamericana. Interciencia, 39(6), 375-382. Baltera, P., Díaz, E. y Dussert, J. (2005). Responsabilidad Social Empresarial, Alcances y Potencialidades en Materia Laboral. Cuaderno de Investigación N° 25. Recuperado de http://www.dt.gob.cl/portal/1626/articles-88984_recurso_1.pdf Barrena, A. (2012). La protección de las especies silvestres, especial tratamiento de la protección en situ (Tesis doctoral). Universidad de Alicante. Recuperada de https://rua.ua.es/dspace/handle/10045/28038Bencomo, T. (2007). Desarrollo de las TIC y la formación profesional. http://www.saber.ula.ve/bitstream/handle/123456789/25149/articulo1.pdf; jsessionid=A8697326F48141C4F9366A86EA3CED46?sequence=2 Buriticá, L. (2011). La RSE y su Relación Teórica con la Gestión del Talento Humano. Universidad de Manizales (Tesis de Maestría). Universidad de Manizales. Recuperado de http://ridum.umanizales.edu.co:8080/xmlui/bitstream/handle/6789/297/Buritica_ Castro_Lida_Marcela_ 2011.pdf?sequence= Camejo, A. y Cejas, M. (2009). Responsabilidad social: factor clave de la gestión de los recursos humanos en las organizaciones del siglo XXI. Nómadas, Critical Journal of Social and Juridical Sciences, 21(1), 127-142. Cardona, C. y Giraldo, L. (2010). Estandarización de Indicadores de Responsabilidad Social Empresarial Propuestas por Organizaciones de Reconocimiento Mundial (Trabajo de Grado). Universidad Tecnológica de Pereira. Recuperado de http://repositorio.utp.edu.co/dspace/bitstream/handle/11059/1549/ 658408C268. pdf;jsessionid=A24F7FD84FFE4F942F3159EE7AB68BF7?sequence=1 Congreso de la República de Colombia. (2000). Ley 590 de 2000 “por la cual se dicta disposiciones para promover el desarrollo de las micro, pequeñas y medianas empresas”. Bogotá, Colombia. Recuperada de http://www.alcaldiabogota.gov.co/sisjur/normas/Norma1.jsp?i=12672 Curatola, G. (2011). Patrones de distribución espacial de Triplaris Americana en Tambopata, Perú. Pontificia Universidad Católica del Perú. Recuperado de http://tesis.pucp.edu.pe/repositorio/handle/123456789/454 De La Cuadra, F. (2013). Cambio climático, movimientos sociales y políticas públicas, una vinculación necesaria. 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Kristanto, Wisnu. „Javanese Traditional Songs for Early Childhood Character Education“. JPUD - Jurnal Pendidikan Usia Dini 14, Nr. 1 (30.04.2020): 169–84. http://dx.doi.org/10.21009/141.12.

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Character education in early childhood is not new, and character education is also not just a transfer of knowledge, but something that needs to be built early on through various stimula- tions. This study aims to develop the character of early childhood through audio-visual media with traditional Javanese songs. Using educational design-based research to develop audio-visual media from traditional songs, this media was tested in the field with an experimental design with a control group. Respondents involved 71 kindergarten students from one experimental class in one control class. The data revealed that character education in children shows the average value of the experi- mental class is higher than the control group, this means character education in children can be built through traditional songs. Further research can be done to improve the character of early childhood through a variety of media that interests children. Keywords: Early Childhood, Character Education, Javanese Traditional Songs Media References: Anderson, T., & Shattuck, J. (2012). Design-based research: A decade of progress in education research? Educational Researcher, 41(1), 16–25. https://doi.org/10.3102/0013189X11428813 Bates, A. (2016). The management of ‘emotional labour’ in the corporate re-imagining of primary education in England. International Studies in Sociology of Education, 26(1), 66–81. https://doi.org/10.1080/09620214.2016.1175959 Bates, A. (2019). Character education and the ‘priority of recognition.’ Cambridge Journal of Education, 49(6), 695–710. https://doi.org/10.1080/0305764X.2019.1590529 Battistich, V., Schaps, E., Watson, M., Solomon, D., & Lewis, C. (2000). Effects of the Child Development Project on students’ drug use and other problem behaviors. Journal of Primary Prevention, 21(1), 75–99. https://doi.org/10.1023/A:1007057414994 Berkowitz, M. W. (1933). The Science of Character. 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Sánchez, Roberto, Norma Jiménez und Bladimir Urgiles. „EVASIÓN TRIBUTARIA: UN ANÁLISIS CRÍTICO DE LA NORMATIVA LEGAL EN LAS PEQUEÑAS Y MEDIANAS EMPRESAS“. Universidad Ciencia y Tecnología 24, Nr. 107 (24.12.2020): 4–11. http://dx.doi.org/10.47460/uct.v24i107.408.

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La investigación se fundamenta en la normativa vigente y las sanciones correspondientes por evasión tributaria a las pequeñas y medianas empresas. El estudio se basó en analizar las contribuciones tributarias de todos los sectores económicos y la gestión que realiza el SRI para combatir las empresas fantasmas. El objetivo del estudio fue determinar los principales delitos que existen y las sanciones correspondientes por cada infracción. El diseño metodológico fue de orden mixto. Cualitativo porque se realizó un análisis descriptivo de los principales delitos especificados en el COIP Art. 298. Cuantitativo porque se analizó e interpretó datos económicos acerca de las PYMES, contribuciones tributarias generales y evasión de impuestos. Los resultados revelaron que las PYMES generan un alto valor tributario, por ende, existe incremento de empresas fantasmas que evaden impuestos y no existe una adecuada gestión para combatir este problema. Palabras Clave: Contribución tributaria, PYMES, evasión de impuestos, empresas fantasmas. Referencias [1]I. Quispe, “La evasión tributaria y su influencia en las micro y pequeñas empresas del sector comercio distrito de quilmaná provincia de cañete, periódo 2018,” 2019. [2]E. Cobos, “Los impuestos financian el 70% del sector público,” Rev. Gestión, no. El petróleo pierde revancha, pp. 1–2, 2018, [En línea]. Disponible en: https://revistagestion. ec/index.php/economia-y-finanzas-analisis/los-impuestos-financian-el-70-del-sector-publico. [Último acceso: 4 de mayo de 2020] [3]J. Yañez, “Evasión Tributaria : Atentado a la Equidad,” Cent. Estud. Tribut. Univ. Chile, pp. 171–206, 2015, [En línea]. Disponible en: https://revistaestudiostributarios.uchile.cl/index.php/RET/article/view/39874%0Ahttps://revistaestudiostributarios.uchile.cl/index.php/RET/article/view/39874/41444. [Último acceso: 4 de mayo de 2020]. [4]J. Benítez, R. Granda, R. Noboa, E. Villegas, I. Valero, and S. López, “Incidencia De Las Obligaciones Tributarias En Las Utilidades De Mipymes En Ecuador,caso comercial “su hacienda” del cantón general Antonio Elizalde (Bucay) Del Año 2014,” Rev. Caribeña Ciencias Soc., vol. 11, no. 2016_05, pp. 61–67, 2016. [5]M. Tamariz, “La evasión tributaria en la legislación ecuatoriana,” Universidad de Cuenca, 2015. [6]M. D. Echaiz and M. S. Echaiz, “La elusión tributaria : Análisis crítico de la actual normatividad y propuestas para una futura reforma,” Derecho Soc., p. 17,2014. [7]J. Sánchez, F. Esparza, I. Gaibor, and M. Barba, “La evasión tributaria originada en el uso de comprobantes de venta/Evaluation of micro and small enterprises of the popular and solidarity economy prior to participating in a Business Round,” KnE Eng., vol. 2020, pp.149–163, 2020, doi: 10.18502/keg.v5i2.6231. [8]SRI, “SRI investiga a nuevas empresas que presuntamente evaden impuestos con la falsificación de facturas,”Quito, 2017. [En línea]. Disponible en: https://www.sri.gob.ec/web/guest/detalle-noticias?idnoticia=412. [Último acceso: 4 de mayo de 2020]. [9]C. Yance, L. Solis, I. Burgos, I. Hermida, “La importancia de las Pymes en México,” Rev. Obs. la Econ. Latinoam. Ecuador, p. 22, 2017. [10]J. García, S. Galarza, and A. Altamirano, “Importancia de la administración eficiente del capital de trabajo en las Pymes,” Rev. Cienc. UNEMI, vol. 10,no. 2528–7737, pp. 30–39, 2017, [En línea]. Disponible en: http://ojs.unemi.edu.ec/ojs/index.php/cienciaunemi/article/view/495. [Último acceso: 4 de mayo de 2020]. [11]R. E. Ron Amores and V. A. Sacoto Castillo, “Las PYMES ecuatorianas: Su impacto en el empleo como contribución del PIB PYMES al PIB total,” Espacios,vol. 38, no. 53, 2017. [12]M. Maldonado, “Cultura Tributaria De Las Mipymes Y Su Incidencia En El Contexto Socio-Económico Ecuatoriano.,” Rev. Sur Acad., vol. 1, no. 8, pp. 43–50, 2017. [13]D. D. Delgado and G. P. Chávez, “Las pymes en el Ecuador y sus fuentes de financiamiento,” Rev. Obs. la Econ. Lationamericana, no. Abril, pp. 1–18, 2018, [En línea]. Disponible en: https://www.eumed.net/rev/oel/2018/04/pymes-ecuador-financiamiento.html. [Último acceso: 4 de mayo de 2020] [14]Asamblea Constituyente, “Codigo Organico Integral Penal,” Noticias, p. 1, 2015, [En línea]. Disponible en: https://www.mendeley.com/import/. [Último acceso: 4 de mayo de 2020]. [15]R. Hernández, Metodología de la investigación, vol. 3, no. 2. 2015. [16]M. Saltos, “El delito tributario en ecuador,” vol. 11, no. 1390, pp. 43–46, 2017. [17]M. Caguana, “Defraudación tributaria según el Código Orgánico Integral Penal (COIP)”. Tesis de maestría. Universidad de Cuenca, 2015. [18]Asamblea Constituyente, “Ley Reformatoria para la Ewuidsd Tributaria del Ecuador,” Quito, 2018. [19]W. Carrillo, P. Sánchez, and G. 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Coelho, Iandra Maria Weirich da Silva. „As competências básicas no processo de ensino e aprendizagem de línguas: um estudo pautado no domínio comunicativo-digital (Basic competences in the teaching-learning process of language: a study based on the communicative-digital domain)“. Revista Eletrônica de Educação 14 (07.05.2020): 2820081. http://dx.doi.org/10.14244/198271992820.

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This paper presents a theoretical investigation with the objective of identifying the basic competences to be acquired and developed in the language teaching-learning process, especially in virtual contexts. The study herein presented, of bibliographic nature, evidences a discussion and reflections on the theme competences and the representativeness of the communicative-digital domain, in the production and sharing of information, in the written and oral modality. The results achieve three basic skills : interacion through Information and Communication Technologies, creation of digital contents and sharing digital contents in the target language.ResumoEste artigo apresenta uma investigação teórica, com o objetivo de identificar as competências básicas a serem adquiridas e desenvolvidas no processo de ensino-aprendizagem de línguas, especialmente em contextos virtuais. O estudo em questão, de natureza bibliográfica, evidencia uma discussão e reflexões sobre a temática competências e a representatividade do domínio comunicativo-digital na produção e compartilhamento de informações, na modalidade escrita e oral. Os resultados evidenciam três competências básicas: interação por meio das Tecnologias de Informação e Comunicação, criação de conteúdos digitais e compartilhamento de conteúdos na língua-alvo.Resumen Este artículo presenta una investigación teórica con el objetivo de identificar las competencias básicas que vayan a ser adquiridas y desarrolladas en el proceso de enseñanza y aprendizaje de lenguas, especialmente en contextos virtuales. El estudio en cuestión, de naturaleza bibliográfica, evidencia una discusión y reflexiones sobre el tema competencias y la representatividad del dominio comunicativo-digital, en la producción y el intercambio de información, en la modalidad escrita y oral. Los resultados comprenden tres competencias básicas: interacción por medio de las Tecnologías de Información y Comunicación, creación de contenidos digitales e intercambio de contenidos en la lengua.Palavras-chave: Ensino de línguas, Competências, Competência comunicativa, Tecnologias.Keywords: Language Teaching, Competences, Communicative competence, Technologys.Palabras claves: Enseñanza de lenguas, Competencias, Competencia cumunicativa, Tecnologías.ReferencesALCARÁ, Adriana Rosecler et al. Fatores que influenciam o compartilhamento da informaçaõ e do conhecimento. Perspectivas em Ciência da Informação, v.14, n.1, p. 170-191, jan./abr., 2009. Disponível em: http://www.scielo.br/pdf/pci/v14n1/v14n1a12. Acesso em: 15 mar. 2019.AREA MOREIRA, Manuel. La alfabetización en la sociedad digital. In: Alfabetización digital y competencias informacionales. Colección Fundación Telefónica. Espanha: Editorial Ariel, p. 3-40, 2012.BARBERO ANDRÉS, J. et al. 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El uso del correo electrónico (asincrónico) y de las salas electrónicas de conversación (sincrónico) en la clase de español como lengua extranjera. ASELE – Actas, 2001. Disponível em: https://cvc.cervantes.es/ensenanza/biblioteca_ele/asele/pdf/12/12_0477.pdf. Acesso em: 12 set. 2019.DURAND, Jean-Pierre. O Modelo da competência: uma nova roupagem para velhas ideias. Revista Latinoamericana de Estudios del Trabajo, México, v. 7, n. 14, p. 203-228, 2001.FREITAS, Henrique, et al. Sphinx aprendiz. Canoas: Sphinx, 2008.GARAGORRI YARZA, Xabier. Propuestas curriculares basadas en competencias en el ámbito europeo. Aula de Innovación Educativa, n. 161, Espanha, 2007, p. 56-59. Dispnonível em: http://ardilladigital.com/DOCUMENTOS/EDUCACION%20ESPECIAL/COMPETENCIAS/Propuestas%20Curriculares%20en%20el%20ambito%20europeo%20%20Garagorri%20-%20articulo.pdf. Acesso em: 10 jan. 2020.HYMES, Dell. H. On communicative competence. In: BRUMFIT, Christopher; JOHNSON, Keith. 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Acesso em: 12 set. 2019.MANRÍQUEZ PANTOJA, Luis. ¿Evaluación en competencias?. Estudios Pedagógicos, XXXVIII, Nº 1, p. 355-366, 2012.MECD. Ministerio de Educación, Cultura y Deporte. Ley Orgánica de Educación (2006/962/CE). Descreve as relações entre as competências, os conteúdos e os critérios de avaliação da Educação primária, educação secundária obrigatória e o Bachalerado. Boletín Oficial del Estado, núm. 25, p. 6986 – 7003, de 29 de janeiro de 2015. Disponível em: https://www.boe.es/buscar/doc.php?id=BOE-A-2015-738. Acesso em: 12 jan. 2020.MECD. Enseñanza tradicional versus enseñanza por competencias. Blog del Centro Nacional de Innovación e Investigación Educativa. Madri, 2013. Disponível em: http://blog.educalab.es/cniie/2013/04/21/ensenanza-tradicional-versus-ensenanza-por-competencias/. Acesso em: 10 jan. 2020.MECD. Ministerio de Educación y Ciencia de España. Evaluación General de diagnóstico 2009: Marco de la evaluación, Madri, 2009.MULLOR, María del Carmen Mondragón. 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Disponível em: https://eur-lex.europa.eu/legal-content/ES/TXT/?uri=celex%3A32006H0962. Acesso em: 12 set. 2019.PERRENOUD, Philippe. Dez novas competências para ensinar. Tradução de Chittoni Ramos. Porto Alegre: Artmed, 2000, 162 p.PERRENOUD, Philippe; THURLER, Monica Gather. As Competências para Ensinar no Século XXI: A Formação dos Professores e o Desafio da Avaliação. Tradução de Cláudia Schilling e Fátima Murad. Porto Alegre: Artmed Editora, 2002, 176 p.RAMOS, M. N. A. Pedagogia das competências: autonomia ou adaptação? São Paulo: Cortez, 2001.REDECKER, Christine; PUNIE Yves. European Framework for the Digital Competence of Educators: DigCompEdu, Luxembourg: Publications Office of the European Union, 2017. Disponível em: https://ec.europa.eu/jrc/en/publication/eur-scientific-and-technical-research-reports/european-framework-digital-competence-educators-digcompedu. Acesso em: 5 jan. 2020.RICHARDS, Jack C.; RODGERS,Theodore S. Enfoques y métodos em la enseñanza de idiomas. 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Bhandari, Sudhir, Ajit Singh Shaktawat, Bhoopendra Patel, Amitabh Dube, Shivankan Kakkar, Amit Tak, Jitendra Gupta und Govind Rankawat. „The sequel to COVID-19: the antithesis to life“. Journal of Ideas in Health 3, Special1 (01.10.2020): 205–12. http://dx.doi.org/10.47108/jidhealth.vol3.issspecial1.69.

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The pandemic of COVID-19 has afflicted every individual and has initiated a cascade of directly or indirectly involved events in precipitating mental health issues. The human species is a wanderer and hunter-gatherer by nature, and physical social distancing and nationwide lockdown have confined an individual to physical isolation. The present review article was conceived to address psychosocial and other issues and their aetiology related to the current pandemic of COVID-19. The elderly age group has most suffered the wrath of SARS-CoV-2, and social isolation as a preventive measure may further induce mental health issues. Animal model studies have demonstrated an inappropriate interacting endogenous neurotransmitter milieu of dopamine, serotonin, glutamate, and opioids, induced by social isolation that could probably lead to observable phenomena of deviant psychosocial behavior. Conflicting and manipulated information related to COVID-19 on social media has also been recognized as a global threat. Psychological stress during the current pandemic in frontline health care workers, migrant workers, children, and adolescents is also a serious concern. Mental health issues in the current situation could also be induced by being quarantined, uncertainty in business, jobs, economy, hampered academic activities, increased screen time on social media, and domestic violence incidences. The gravity of mental health issues associated with the pandemic of COVID-19 should be identified at the earliest. Mental health organization dedicated to current and future pandemics should be established along with Government policies addressing psychological issues to prevent and treat mental health issues need to be developed. References World Health Organization (WHO) Coronavirus Disease (COVID-19) Dashboard. 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Vieira, Sofia Lerche, und Eloisa Maia Vidal. „Liderança e gestão democrática na educação pública brasileira (Democratic leadership and management in Brazilian public education)“. Revista Eletrônica de Educação 13, Nr. 1 (05.01.2019): 11. http://dx.doi.org/10.14244/198271993175.

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This article seeks to deepen the debate on leadership, exploring specifcities of the Brazilian context on this topic, more specifically the principle of democratic management. The reflection focuses on both topics, explaining the path of the debate on democratic management since the mid-eighties of the twentieth century, passing through the Federal Constitution of 1988, the Law of Guidelines and Bases of National Education - Law number 9.394/96) and arriving on the most recent context, where the National Education Plan (PNE), of 2014, incorporates the subject to its goals. Considerations are presented on program contents of two national training programs: the Distance Training Program for School Managers (Progestão) and the National School Program for Managers of Basic Public Education (PNEGEB), also known as School of Managers. The main regulatory frameworks for democratic management are focused on relevant legislation. The study allows us to suggest the hypothesis that the principle of democratic management, associated with a political leadership, would have preponderated in the literature and initiatives of formation of school directors in the country, being the more technical dimension of the subject a little prioritized theme. In this sense, it can be said that the topic of leadership, as it is configured in other contexts, has become a repressed demand in Brazilian educational policy.ResumoEste artigo procura aprofundar o debate sobre liderança, explorando especificidades do contexto brasileiro em relação a esta temática, mais especificamente o princípio da gestão democrática. A reflexão detém-se sobre os dois temas, explicitando a trajetória do debate sobre gestão democrática desde meados dos anos oitenta do século XX, passando pela Constituição Federal de 1988, a Lei de Diretrizes e Bases da Educação Nacional – LDB (Lei nº 9.394/96) e chegando ao contexto mais recente, onde o Plano Nacional de Educação (PNE) de 2014 incorpora o assunto às suas metas. São apresentadas considerações sobre conteúdos programáticos de dois programas nacionais de formação: o Programa de Capacitação a Distância para Gestores Escolares (Progestão) e o Programa Nacional Escola de Gestores da Educação Básica Pública (PNEGEB), também conhecido como Escola de Gestores. Os principais marcos regulatórios da gestão democrática são focalizados na legislação pertinente. O estudo permite sugerir a hipótese de que o princípio da gestão democrática, associado a uma liderança de natureza política, teria preponderado na literatura e iniciativas de formação de diretores escolares no país, sendo a dimensão mais técnica do assunto um tema pouco priorizado. Nesse sentido, pode-se dizer que o tema da liderança, tal como se configura em outros contextos, tem se constituído em demanda reprimida na política educacional brasileira.ResumenEste artículo busca profundizar el debate sobre liderazgo, explorando especificidades del contexto brasileño en relación a esta temática, más específicamente el principio de la gestión democrática. La reflexión se detiene sobre los dos temas, explicitando la trayectoria del debate sobre gestión democrática desde mediados de los años ochenta del siglo XX, pasando por la Constitución Federal de 1988, la Ley de Directrices y Bases de la Educación Nacional - LDB (Ley nº 9.394/96) y llegando al contexto más reciente, donde el Plan Nacional de Educación (PNE), de 2014, incorpora el asunto a sus metas. Se presentan consideraciones sobre contenidos programáticos de dos programas nacionales de formación: el Programa de Capacitación a Distancia para Gestores Escolares (Progestão) y el Programa Nacional Escuela de Gestores de la Educación Básica Pública (PNEGEB), también conocido como Escuela de Gestores. Los principales marcos regulatorios de la gestión democrática se centran en la legislación pertinente. El estudio permite sugerir la hipótesis de que el principio de la gestión democrática, asociado a un liderazgo de naturaleza política, habría preponderado en la literatura e iniciativas de formación de directores escolares en el país, siendo la dimensión más técnica del tema un tema poco priorizado. En ese sentido, se puede decir que el tema del liderazgo, tal como se configura en otros contextos, se ha constituido en demanda reprimida en la política educativa brasileña.Keywords: Leadership and democratic management, Educational legislation, Public policies, Scholar managers training.Palavras-chave: Liderança e gestão democrática, Legislação educacional. Políticas públicas, Formação de gestores escolares.Palabras claves: Liderazgo y gestión democrática, Legislación educativa, Políticas públicas, Formación de gestores escolares.ReferencesALMEIDA, Bruno Luiz Teles de. Construindo uma gestão democrática no Estado da Bahia: contribuições do Curso de Especialização em Gestão Escolar promovido pelo Programa Escola de Gestores. Universidade Federal da Bahia. 2015. Dissertação de Mestrado, 2015. Disponível em: https://repositorio.ufba.br/ri/handle/ri/17694. Acesso em: 27 out. 2018.BENTO, António; OLIVEIRA, Maria Isabel. A liderança escolar a três dimensões: diretores, professores e alunos. Bragança: Ideias em prática, 2013. Disponível em: https://bibliotecadigital. ipb.pt/handle/10198/9560. Acesso em: 18 ago. 2018.BIANCO, Mônica de Fátima; SOUZA, Eloísio Moulin de; SOUZA-REIS, Antônio Marcos. A nova gestão pública: um estudo do Pró-gestão focado em dois projetos prioritários no estado do Espírito Santo. Revista Gestão e Planejamento, Salvador, v. 15, n. 1, p. 118-143, jan./abr. 2014.BOLIVAR, Antonio. El liderazgo pedagógico de la dirección escolar en España: limitaciones y acciones. In: LIMA, Licinio; SÁ, Virginio (orgs.). O Governo das escolas: democracia, controlo e performatividade. Ribeirão: Edições Humus, 2017, p. 151-171. Acesso em: 18 ago. 2018.BOLIVAR, Antonio; YÁÑEZ, Julián López; MURILLO, F. Javier. Liderazgo en las instituciones educativas. Una revisión de líneas de investigación. School leadership. A review of current research perspectives. Red de Investigación sobre Liderazgo y Mejora Educativa (RILME). Revista Fuentes, 14, 2013, pp. 15-60. Disponível em: http://institucional.us.es/revistas/fuente/14/Firma%20invitada.pdf> Acesso em: 18 ago. 2018.BRASIL. Constituição Federal de 1988. Disponível em http://www.planalto.gov.br/ccivil _03/constituicao/ConstituicaoCompilado.Htm. Acesso 6 dez. 2018.BRASIL. Lei nº 9.394, de 20 de dezembro de 1996. Estabelece as diretrizes e bases da educação nacional. Disponível em http://www.planalto.gov.br/ccivil_03/Leis/l9394.htm. Acesso 14 jun. 2018.BRASIL. MEC. INEP. Desempenho dos alunos na Prova Brasil: diversos caminhos para o sucesso escolar nas redes municipais de ensino. Brasília: Instituto Nacional de Estudos e Pesquisas Educacionais, 2008.BRASIL. MEC. UNICEF. UNDIME. Aprova Brasil: o direito de aprender – boas práticas em escolas públicas avaliadas pela Prova Brasil. 2. ed. Brasília: MEC.UNICEF, 2007. Disponível em: <https://www.unicef.org/brazil/pt/aprova_final.pdf> Acesso em: 07 ago. 2018.BRASIL. MEC. UNICEF. UNDIME. Redes de aprendiizagem: boas práticas de municipios que garantem o direito de aprender.BRASIL. Presidência da República. Casa Civil. Subchefia para Assuntos Jurídicos. Lei nº 13.005, de 25 de junho de 2014. Aprova o Plano Nacional de Educação – PNE e dá outras providências.BROOKE, Nigel; SOARES, José Francisco (orgs.). Pesquisa em eficácia escolar: origem e trajetórias. Belo Horizonte: Editora UFMG, 2008.BUENO, Edna Maria Gomes da Silva. 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O programa escola de gestores da educação básica e seus efeitos para a formação de gestores escolares em Minas Gerais. 2014. Dissertação de Mestrado. Universidade Federal de Juiz de Fora. 2014. Disponível em: https://repositorio.ufjf.br/jspui/handle/ufjf/184> Acesso em: 27 out. 2018.FERREIRA, Maria Salonilde. A IV Conferência Brasileira de Educação: algumas considerações. Revista Educação em Questão. V. 1. N. 1. Jan./Jun. 1987. Disponível em: https://periodicos.ufrn.br/educacaoemquestao/article/view/12026> Acesso em: 26 out. 2018.HONORATO, Hercules Guimarães. O gestor escolar e suas competências: a liderança em discussão. Disponível em http://www.anpae.org.br/iberoamericano2012/Trabalhos/ HerculesGuimaraesHonorato_res_int_GT8.pdf. Acesso em: 26 out. 2018.INEP. Relatório do 2º Ciclo de Monitoramento das Metas do Plano Nacional de Educação. Brasília, 2018. Disponível em http://portal.inep.gov.br/informacao-da-publicacao/-/asset_publisher/6JYIsGMAMkW1/document/id/1476034. Acesso em 31 out. 2018.LEITHWOOD, K.; DAY, C.; SAMMONS, P; HARRIS, Alma; HOPKINS, D. Successful school leardership. What it is and how it influences pupil learning. National College for School Leadership. Research Report n° 800. University of Nottingham. 2006. Disponível em http://www.nysed.gov/common/nysed/files/principal-project-file-55-successful-school-leadership-what-it-is-and-how-it-influences-pupil-learning.pdf. Acesso em 31 out. 2018.LIMA, Licinio; SÁ, Virginio (orgs.). O Governo das escolas: democracia, controlo e performatividade. Ribeirão: Edições Humus, 2017. LÜCK, Heloísa. Dimensões da gestão escolar e suas competências. Curitiba: Editora Positivo, 2009.LÜCK, Heloísa. Liderança em gestão escolar. Petrópolis: Vozes, 2008.LÜCK, Heloísa. Mapeamento de práticas de seleção e capacitação de diretores escolares. Estudos e pesquisas. São Paulo: Fundação Victor Civita, 2011, p. 167-225. Disponível em: http://www.fvc.org.br/pdf/livro2-03-mapeamento.pdf. Acesso em: 25 set. 2016.MAGALDI, Ana Maria; GONDRA, José G. A reorganização do campo educacional no Brasil: manifestações, manifestos e manifestantes. Rio de Janeiro: 7Letras, 2003.MELO, Marisete Fernandes de. Programa nacional escola de gestores para a educação básica: um olhar sobre a proposta e execução na Paraíba (2010 - 2012). 2017. Dissertação de Mestrado. Universidade Federal da Paraíba. Mestrado Profissional em Políticas Públicas, Gestão e Avaliação da Educação, 2017. Disponível em https://repositorio.ufpb.br/ jspui/handle/tede/9320. Acesso em 31 out. 2018.NOGUEIRA, Danielle Xabregas Pamplona. Programa de Capacitação a Distância de Gestores Escolares – Progestão no Estado do Pará: um estudo sobre a implementação do curso de especialização, no período de 2001 a 2002. 2008. Dissertação(Mestrado em Educação). Universidade de Brasília, Brasília, 2008. Disponível em: http://repositorio.unb.br/handle/10482/1845. Acesso em: 27 out. 2018.OLIVEIRA, Ana Cristina Prado de. Gestão, liderança e clima escolar. Curitiba: Appris, 2018.OLIVEIRA, Ana Cristina Prado de; CARVALHO, Cynthia Paes de. Gestão escolar, liderança do diretor e resultados educacionais no Brasil. Rev. Bras. Educ. 2018, vol.23, p. 1-18. Disponível em: http://www.scielo.br/pdf/rbedu/v23/1809-449X-rbedu-23-e230015.pdf. Acesso em: 19 ago. 2018.OLIVEIRA, Ana Cristina Prado de; WALDHELM, Andrea Paula Souza. Liderança do diretor, clima escolar e desempenho dos alunos: qual a relação? Ensaio: aval. pol. públ. Educ., Rio de Janeiro, v. 24, n. 93, p. 824-844, out./dez. 2016. Disponível em http://www.scielo.br/pdf/ensaio/v24n93/1809-4465-ensaio-24-93-0824.pdf. Acesso em 12 jun. 2018. PENA, Anderson Córdova. Um conceito para liderança escolar: estudo realizado com diretores de escolas da rede pública estadual de Minas Gerais. 2013. Universidade Federal de Juiz de Fora. Tese de Doutorado. 2013. Disponível em: https://repositorio.ufjf.br/jspui/ handle/ufjf/2426. Acesso em 31 out. 2018.PINHEIRO, Camila Mendes; DAL RI, Neusa Maria. Democratização da educação na década de 1980: o Fórum da Educação na Constituinte e a IV Conferência Brasileira de Educação 1986. Disponível em: http://www.histedbr.fe.unicamp.br/acer_histedbr/jornada/ jornada11/artigos/8/artigo_simposio_8_749_mila_pinheiro_@hotmail.com.pdf Acesso em: 26 out. 2018.PINHEIRO, Camila Mendes. O Fórum Nacional em Defesa da Escola Pública e o princípio de gestão democrática na Constituição Federal de 1988. 2015. 234 f. Dissertação (mestrado). Universidade Estadual Paulista Júlio de Mesquita Filho, Faculdade de Filosofia e Ciências, 2015. Disponível em: http://hdl.handle.net/11449/ 124369. Acesso em: 26 out. 2018.POLON, Thelma Lucia P. Perfis de liderança e seus reflexos na gestão escolar. In: 34ª Reunião Anual da ANPED, 2011, Anais... Natal/RN: Centro de Convenções, 2011.ROMANO, Alessandro Segala; OLIVEIRA, Márcia Pacini de. A gestão participativa e o papel da liderança do diretor na educação profissional. Revista InSIET: Revista In Sustentabilidade, Inovação & Empreendedorismo Tecnológico, São Paulo, v. 2 n. 2, agosto/dezembro de 2015.RUA, Maria das Graças. Análise de políticas públicas: conceitos básicos. s. d.SCOTUZZI, Claudia Aparecida Sorgon. Gestão democrática nas escolas e progestão: que relação é esta?. 2008. Dissertação (mestrado). Universidade Estadual Paulista, Instituto de Biociências de Rio Claro, 2008. Disponível em: <http://hdl.handle.net/11449/90065> Acesso em: 27 out 2018.SILVA, Givanildo da; SILVA, Alex Vieira da; SANTOS, Inalda Maria dos Santos. Concepções de gestão escolar pós–LDB: o gerencialismo e a gestão democrática. Revista Retratos da Escola, Brasília, v. 10, n. 19, p. 533-549, jul./dez. 2016.SILVA, Luís Gustavo Alexandre da; ALVES, Miriam Fábia. Gerencialismo na escola pública: contradições e desafios concernentes à gestão, à autonomia e à organização do trabalho escolar. RBPAE - v. 28, n. 3, p. 665-681, set/dez. 2012. SOTTANI, Natália Bazoti Brito; MARIANO, Sandra Regina Holanda; MORAES, Joysi; DIAS, Bruno Francisco. Políticas públicas de formação de diretores de escolas públicas no Brasil: Uma análise do Programa Nacional Escola de Gestores da Educação Básica (PNEGEB). ARCHIVOS ANALÍTICOS DE POLÍTICAS EDUCATIVAS / EDUCATION POLICY ANALYSIS ARCHIVES, v. 26, p. 153, 2018.SOUZA, Celina. Introdução Políticas Públicas: uma revisão da literatura. Sociologias, Porto Alegre, ano 8, nº 16, jul/dez 2006, p. 20-45. TEODORO, António. Considerações breves sobre transdiciplinaridade de um campo de estudos. Revista de Humanidades e Tecnologias. s.d. p. 117-121. Disponível em: http://recil.ulusofona.pt/bitstream/handle/10437/2356/1019.pdf?sequence=1. Acesso em: 08 dez. 2018.UNESCO. El liderazgo escolar em América Latina y el Caribe: un estado del arte com base en ocho sistemas escolares de la región. Oficina Regional de Educación para América Latina y el Caribe (OREALC/UNESCO Santiago). 2014. Disponível em http://unesdoc.unesco.org/images/0023/002327/232799s.pdf. Acesso em 31 out. 2018.VAILLANT, Denise. Liderazgo escolar, evolución de políticas y prácticas y mejora de la calidad educativa. 2015. Disponivel em http://www.maestro100puntos.org.gt/ sites/default/files/liderazgo-escolar-evolucion-de-politicas-mejora-de-la-calidad-unesco.pdf. Acesso em 31 out. 2018.VIDAL, Eloisa Maia; VIEIRA, Sofia Lerche. Meta 19. In: INEP Plano Nacional de Educação PNE 2014 - 2024: Linha de Base. Brasília, DF: Inep, 2015. p. 313 – 334. Disponível em http://portal.inep.gov.br/informacao-da-publicacao/-/asset_publisher/6JYIsGMAMkW1/ document/id/493812. Acesso em 31 out. 2018.VIEIRA, Sofia Lerche. Poder local e educação no Brasil: dimensões e tensões. RBPAE. v.27, n.1, p. 123-133, jan./abr. 2011. Disponível em file:///C:/Users/elois/Downloads/ 19972-72432-1-PB.pdf. Acesso em 31 out. 2018.WEINSTEIN, José. (org.). Liderazgo educativo en las escuelas: nueve miradas. Santiago de Chile, Salesianos Impresores, 2016.
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Farias Valenzuela, Claudio Italo Ariel, Gerson Luis De Moraes Ferrari, Sebastian Ignacio Espoz Lazo, Emilio Eduardo Jofré Saldía, Paloma Andrea Ferrero Hernández und Pedro Ángel Valdivia Moral. „Escuelas especiales de Chile: ¿Responsables del desarrollo de la condición física-funcional para la inclusión laboral de personas con discapacidad intelectual?“ Journal of Movement & Health 18, Nr. 2 (23.10.2020). http://dx.doi.org/10.5027/jmh-vol18-issue2(2021)art109.

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La prevalencia de personas con discapacidad en Chile asciende al 20% de su población, de los cuales un porcentaje cercano al 12% asiste a establecimientos educacionales especiales, quienes en su mayoría, presentan discapacidad intelectual, condición que se relaciona a comorbilidades y menor condición física. El año 2018, entró en vigencia la ley Nº 21.015 que incentiva a las empresas a la contratación e inclusión laboral de personas con discapacidad, sin embargo no existen programas y estrategias gubernamentales orientadas a promover el bienestar general y el desarrollo condición física en el ciclo escolar para la transferencia mundo laboral de personas con discapacidad intelectual.
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Leiva, Natalia, Jazmín Ortíz, Valeska Robles und Leonardo Vidal. „IMPACTO QUE GENERA EL DIAGNÓSTICO DE VIH EN MUJERES TRABAJADORAS DE LA REGIÓN DE ANTOFAGASTA Y METROPOLITANA.“ Revista Chilena de Terapia Ocupacional 15, Nr. 2 (31.12.2015). http://dx.doi.org/10.5354/0719-5346.2015.38163.

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El propósito del presente artículo expone como el diagnóstico de VIH ha afectado a mujeres chilenas en su rol de trabajadoras, conociéndolo desde su propia perspectiva. Es una investigación cualitativa, donde se entrevistan a 3 mujeres sero positivo de edad entre los 20 y 65 años, que cuentan con experiencia laboral previo al diagnóstico de VIH. Los resultados identifican un antes y después del diagnóstico de VIH, donde para mantener su rol de trabajadoras ocultan su diagnóstico al empleador y a sus compañeros de trabajo por miedo a ser discriminada; dan a conocer abiertamente su diagnóstico al contexto social que se desenvuelven para evitar prejuicios; o cambian su rubro laboral. De esta manera, se reconoce que la ley del SIDA de Chile no logra cubrir una protección real que permita el respeto, fiscalización y responsabilidad de estas normas, siendo vulnerados los derechos de las mujeres que viven con VIH. Las mujeres diagnosticadas sufren apartheid ocupacional e injusticia ocupacional, ya que no logran realizar su rol como trabajadoras debido a la desinformación que existe en la sociedad frente al VIH y a los estigmas que se encuentran en torno a ella, desencadenando prejuicios sociales históricos que han favorecido que mujeres vivan ocultando su realidad.
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MacDonald, Tonya, Olès Dorcely, Joycelyne E. Ewusie, Elizabeth K. Darling, Sandra Moll und Lawrence Mbuagbaw. „The effect of a new maternity unit on maternal outcomes in rural Haiti: an interrupted time series study“. BMC Pregnancy and Childbirth 21, Nr. 1 (04.09.2021). http://dx.doi.org/10.1186/s12884-021-04062-3.

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Abstract Background In Haiti where there are high rates of maternal and neonatal mortality, efforts to reduce mortality and improve maternal newborn child health (MNCH) must be tracked and monitored to measure their success. At a rural Haitian hospital, local surveillance efforts allowed for the capture of MNCH indicators. In March 2018, a new stand-alone maternity unit was opened, with increased staff, personnel, and physical space. We aimed to determine if the new maternity unit brought about improvements in maternal and neonatal outcomes. Methods We conducted an interrupted time series analysis using data collected between July 2016 and October 2019 including 20 months before the opening of the maternity unit and 20 months after. We examined maternal-neonatal outcomes such as physiological (vaginal) births, caesarean birth, postpartum hemorrhage (PPH), maternal deaths, stillbirths and undesirable outcomes (eclampsia, PPH, perineal laceration, postpartum infection, maternal death or stillbirth). Results Immediately after the opening of the new maternity, the number of physiological births decreased by 7.0% (β = − 0.070; 95% CI: − 0.110 to − 0.029; p = 0.001) and there was an increase of 6.7% in caesarean births (β = 0.067; 95% CI: 0.026 to 0.107; p = 0.002). For all undesirable outcomes, preintervention there was an increasing trend of 1.8% (β = 0.018; 95% CI: 0.013 to 0.024; p < 0.001), an immediate 14.4% decrease after the intervention (β = − 0.144; 95% CI: − 0.255 to − 0.033; p = 0.012), and a decreasing trend of 1.8% through the postintervention period (β = − 0.018; 95% CI: − 0.026 to − 0.009; p < 0.001). No other significant level or trend changes were noted. Conclusions The new maternity unit led to an upward trend in caesarean births yet an overall reduction in all undesirable maternal and neonatal outcomes. The new maternity unit at this rural Haitian hospital positively impacted and improved maternal and neonatal outcomes.
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Green, Lelia. „No Taste for Health: How Tastes are Being Manipulated to Favour Foods that are not Conducive to Health and Wellbeing“. M/C Journal 17, Nr. 1 (17.03.2014). http://dx.doi.org/10.5204/mcj.785.

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Background “The sense of taste,” write Nelson and colleagues in a 2002 issue of Nature, “provides animals with valuable information about the nature and quality of food. Mammals can recognize and respond to a diverse repertoire of chemical entities, including sugars, salts, acids and a wide range of toxic substances” (199). The authors go on to argue that several amino acids—the building blocks of proteins—taste delicious to humans and that “having a taste pathway dedicated to their detection probably had significant evolutionary implications”. They imply, but do not specify, that the evolutionary implications are positive. This may be the case with some amino acids, but contemporary tastes, and changes in them, are far from universally beneficial. Indeed, this article argues that modern food production shapes and distorts human taste with significant implications for health and wellbeing. Take the western taste for fried chipped potatoes, for example. According to Schlosser in Fast Food Nation, “In 1960, the typical American ate eighty-one pounds of fresh potatoes and about four pounds of frozen french fries. Today [2002] the typical American eats about forty-nine pounds of fresh potatoes every year—and more than thirty pounds of frozen french fries” (115). Nine-tenths of these chips are consumed in fast food restaurants which use mass-manufactured potato-based frozen products to provide this major “foodservice item” more quickly and cheaply than the equivalent dish prepared from raw ingredients. These choices, informed by human taste buds, have negative evolutionary implications, as does the apparently long-lasting consumer preference for fried goods cooked in trans-fats. “Numerous foods acquire their elastic properties (i.e., snap, mouth-feel, and hardness) from the colloidal fat crystal network comprised primarily of trans- and saturated fats. These hardstock fats contribute, along with numerous other factors, to the global epidemics related to metabolic syndrome and cardiovascular disease,” argues Michael A. Rogers (747). Policy makers and public health organisations continue to compare notes internationally about the best ways in which to persuade manufacturers and fast food purveyors to reduce the use of these trans-fats in their products (L’Abbé et al.), however, most manufacturers resist. Hank Cardello, a former fast food executive, argues that “many products are designed for ‘high hedonic value’, with carefully balanced combinations of salt, sugar and fat that, experience has shown, induce people to eat more” (quoted, Trivedi 41). Fortunately for the manufactured food industry, salt and sugar also help to preserve food, effectively prolonging the shelf life of pre-prepared and packaged goods. Physiological Factors As Glanz et al. discovered when surveying 2,967 adult Americans, “taste is the most important influence on their food choices, followed by cost” (1118). A person’s taste is to some extent an individual response to food stimuli, but the tongue’s taste buds respond to five basic categories of food: salty, sweet, sour, bitter, and umami. ‘Umami’ is a Japanese word indicating “delicious savoury taste” (Coughlan 11) and it is triggered by the amino acid glutamate. Japanese professor Kikunae Ikeda identified glutamate while investigating the taste of a particular seaweed which he believed was neither sweet, sour, bitter, or salty. When Ikeda combined the glutamate taste essence with sodium he formed the food additive sodium glutamate, which was patented in 1908 and subsequently went into commercial production (Japan Patent Office). Although individual, a person’s taste preferences are by no means fixed. There is ample evidence that people’s tastes are being distorted by modern food marketing practices that process foods to make them increasingly appealing to the average palate. In particular, this industrialisation of food promotes the growth of a snack market driven by salty and sugary foods, popularly constructed as posing a threat to health and wellbeing. “[E]xpanding waistlines [are] fuelled by a boom in fast food and a decline in physical activity” writes Stark, who reports upon the 2008 launch of a study into Australia’s future ‘fat bomb’. As Deborah Lupton notes, such reports were a particular feature of the mid 2000s when: intense concern about the ‘obesity epidemic’ intensified and peaked. Time magazine named 2004 ‘The Year of Obesity’. That year the World Health Organization’s Global Strategy on Diet, Physical Activity and Health was released and the [US] Centers for Disease Control predicted that a poor diet and lack of exercise would soon claim more lives than tobacco-related disease in the United States. (4) The American Heart Association recommends eating no more than 1500mg of salt per day (Hamzelou 11) but salt consumption in the USA averages more than twice this quantity, at 3500mg per day (Bernstein and Willett 1178). In the UK, a sustained campaign and public health-driven engagement with food manufacturers by CASH—Consensus Action on Salt and Health—resulted in a reduction of between 30 and 40 percent of added salt in processed foods between 2001 and 2011, with a knock-on 15 percent decline in the UK population’s salt intake overall. This is the largest reduction achieved by any developed nation (Brinsden et al.). “According to the [UK’s] National Institute for Health and Care Excellence (NICE), this will have reduced [UK] stroke and heart attack deaths by a minimum of 9,000 per year, with a saving in health care costs of at least £1.5bn a year” (MacGregor and Pombo). Whereas there has been some success over the past decade in reducing the amount of salt consumed, in the Western world the consumption of sugar continues to rise, as a graph cited in the New Scientist indicates (O’Callaghan). Regular warnings that sugar is associated with a range of health threats and delivers empty calories devoid of nutrition have failed to halt the increase in sugar consumption. Further, although some sugar is a natural product, processed foods tend to use a form invented in 1957: high-fructose corn syrup (HFCS). “HFCS is a gloopy solution of glucose and fructose” writes O’Callaghan, adding that it is “as sweet as table sugar but has typically been about 30% cheaper”. She cites Serge Ahmed, a French neuroscientist, as arguing that in a world of food sufficiency people do not need to consume more, so they need to be enticed to overeat by making food more pleasurable. Ahmed was part of a team that ran an experiment with cocaine-addicted rats, offering them a mutually exclusive choice between highly-sweetened water and cocaine: Our findings clearly indicate that intense sweetness can surpass cocaine reward, even in drug-sensitized and -addicted individuals. We speculate that the addictive potential of intense sweetness results from an inborn hypersensitivity to sweet tastants. In most mammals, including rats and humans, sweet receptors evolved in ancestral environments poor in sugars and are thus not adapted to high concentrations of sweet tastants. The supranormal stimulation of these receptors by sugar-rich diets, such as those now widely available in modern societies, would generate a supranormal reward signal in the brain, with the potential to override self-control mechanisms and thus lead to addiction. (Lenoir et al.) The Tongue and the Brain One of the implications of this research about the mammalian desire for sugar is that our taste for food is about more than how these foods actually taste in the mouth on our tongues. It is also about the neural response to the food we eat. The taste of French fries thus also includes that “snap, mouth-feel, and hardness” and the “colloidal fat crystal network” (Rogers, “Novel Structuring” 747). While there is no taste receptor for fats, these nutrients have important effects upon the brain. Wang et al. offered rats a highly fatty, but palatable, diet and allowed them to eat freely. 33 percent of the calories in the food were delivered via fat, compared with 21 percent in a normal diet. The animals almost doubled their usual calorific intake, both because the food had a 37 percent increased calorific content and also because the rats ate 47 percent more than was standard (2786). The research team discovered that in as little as three days the rats “had already lost almost all of their ability to respond to leptin” (Martindale 27). Leptin is a hormone that acts on the brain to communicate feelings of fullness, and is thus important in assisting animals to maintain a healthy body weight. The rats had also become insulin resistant. “Severe resistance to the metabolic effects of both leptin and insulin ensued after just 3 days of overfeeding” (Wang et al. 2786). Fast food restaurants typically offer highly palatable, high fat, high sugar, high salt, calorific foods which can deliver 130 percent of a day’s recommended fat intake, and almost a day’s worth of an adult man’s calories, in one meal. The impacts of maintaining such a diet over a comparatively short time-frame have been recorded in documentaries such as Super Size Me (Spurlock). The after effects of what we widely call “junk food” are also evident in rat studies. Neuroscientist Paul Kenny, who like Ahmed was investigating possible similarities between food- and cocaine-addicted rats, allowed his animals unlimited access to both rat ‘junk food’ and healthy food for rats. He then changed their diets. “The rats with unlimited access to junk food essentially went on a hunger strike. ‘It was as if they had become averse to healthy food’, says Kenny. It took two weeks before the animals began eating as much [healthy food] as those in the control group” (quoted, Trivedi 40). Developing a taste for certain food is consequently about much more than how they taste in the mouth; it constitutes an individual’s response to a mixture of taste, hormonal reactions and physiological changes. Choosing Health Glanz et al. conclude their study by commenting that “campaigns attempting to change people’s perception of the importance of nutrition will be interpreted in terms of existing values and beliefs. A more promising strategy might be to stress the good taste of healthful foods” (1126). Interestingly, this is the strategy already adopted by some health-focused cookbooks. I have 66 cookery books in my kitchen. None of ten books sampled from the five spaces in which these books are kept had ‘taste’ as an index entry, but three books had ‘taste’ in their titles: The Higher Taste, Taste of Life, and The Taste of Health. All three books seek to promote healthy eating, and they all date from the mid-1980s. It might be that taste is not mentioned in cookbook indexes because it is a sine qua non: a focus upon taste is so necessary and fundamental to a cookbook that it goes without saying. Yet, as the physiological evidence makes clear, what we find palatable is highly mutable, varying between people, and capable of changing significantly in comparatively short periods of time. The good news from the research studies is that the changes wrought by high salt, high sugar, high fat diets need not be permanent. Luciano Rossetti, one of the authors on Wang et al’s paper, told Martindale that the physiological changes are reversible, but added a note of caution: “the fatter a person becomes the more resistant they will be to the effects of leptin and the harder it is to reverse those effects” (27). Morgan Spurlock’s experience also indicates this. In his case it took the actor/director 14 months to lose the 11.1 kg (13 percent of his body mass) that he gained in the 30 days of his fast-food-only experiment. Trivedi was more fortunate, stating that, “After two weeks of going cold turkey, I can report I have successfully kicked my ice cream habit” (41). A reader’s letter in response to Trivedi’s article echoes this observation. She writes that “the best way to stop the craving was to switch to a diet of vegetables, seeds, nuts and fruits with a small amount of fish”, adding that “cravings stopped in just a week or two, and the diet was so effective that I no longer crave junk food even when it is in front of me” (Mackeown). Popular culture indicates a range of alternative ways to resist food manufacturers. In the West, there is a growing emphasis on organic farming methods and produce (Guthman), on sl called Urban Agriculture in the inner cities (Mason and Knowd), on farmers’ markets, where consumers can meet the producers of the food they eat (Guthrie et al.), and on the work of advocates of ‘real’ food, such as Jamie Oliver (Warrin). Food and wine festivals promote gourmet tourism along with an emphasis upon the quality of the food consumed, and consumption as a peak experience (Hall and Sharples), while environmental perspectives prompt awareness of ‘food miles’ (Weber and Matthews), fair trade (Getz and Shreck) and of land degradation, animal suffering, and the inequitable use of resources in the creation of the everyday Western diet (Dare, Costello and Green). The burgeoning of these different approaches has helped to stimulate a commensurate growth in relevant disciplinary fields such as Food Studies (Wessell and Brien). One thing that all these new ways of looking at food and taste have in common is that they are options for people who feel they have the right to choose what and when to eat; and to consume the tastes they prefer. This is not true of all groups of people in all countries. Hiding behind the public health campaigns that encourage people to exercise and eat fresh fruit and vegetables are the hidden “social determinants of health: The conditions in which people are born, grow, live, work and age, including the health system” (WHO 45). As the definitions explain, it is the “social determinants of health [that] are mostly responsible for health iniquities” with evidence from all countries around the world demonstrating that “in general, the lower an individual’s socioeconomic position, the worse his or her health” (WHO 45). For the comparatively disadvantaged, it may not be the taste of fast food that attracts them but the combination of price and convenience. If there is no ready access to cooking facilities, or safe food storage, or if a caregiver is simply too time-poor to plan and prepare meals for a family, junk food becomes a sensible choice and its palatability an added bonus. For those with the education, desire, and opportunity to break free of the taste for salty and sugary fats, however, there are a range of strategies to achieve this. There is a persuasive array of evidence that embracing a plant-based diet confers a multitude of health benefits for the individual, for the planet and for the animals whose lives and welfare would otherwise be sacrificed to feed us (Green, Costello and Dare). Such a choice does involve losing the taste for foods which make up the lion’s share of the Western diet, but any sense of deprivation only lasts for a short time. The fact is that our sense of taste responds to the stimuli offered. It may be that, notwithstanding the desires of Jamie Oliver and the like, a particular child never will never get to like broccoli, but it is also the case that broccoli tastes differently to me, seven years after becoming a vegan, than it ever did in the years in which I was omnivorous. When people tell me that they would love to adopt a plant-based diet but could not possibly give up cheese, it is difficult to reassure them that the pleasure they get now from that specific cocktail of salty fats will be more than compensated for by the sheer exhilaration of eating crisp, fresh fruits and vegetables in the future. Conclusion For decades, the mass market food industry has tweaked their products to make them hyper-palatable and difficult to resist. They do this through marketing experiments and consumer behaviour research, schooling taste buds and brains to anticipate and relish specific cocktails of sweet fats (cakes, biscuits, chocolate, ice cream) and salty fats (chips, hamburgers, cheese, salted nuts). They add ingredients to make these products stimulate taste buds more effectively, while also producing cheaper items with longer life on the shelves, reducing spoilage and the complexity of storage for retailers. Consumers are trained to like the tastes of these foods. Bitter, sour, and umami receptors are comparatively under-stimulated, with sweet, salty, and fat-based tastes favoured in their place. Western societies pay the price for this learned preference in high blood pressure, high cholesterol, diabetes, and obesity. Public health advocate Bruce Neal and colleagues, working to reduce added salt in processed foods, note that the food and manufacturing industries can now provide most of the calories that the world needs to survive. “The challenge now”, they argue, “is to have these same industries provide foods that support long and healthy adult lives. And in this regard there remains a very considerable way to go”. If the public were to believe that their sense of taste is mutable and has been distorted for corporate and industrial gain, and if they were to demand greater access to natural foods in their unprocessed state, then that journey towards a healthier future might be far less protracted than these and many other researchers seem to believe. References Bernstein, Adam, and Walter Willett. “Trends in 24-Hr Sodium Excretion in the United States, 1957–2003: A Systematic Review.” American Journal of Clinical Nutrition 92 (2010): 1172–1180. Bhaktivedanta Book Trust. 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Getz, Christy, and Aimee Shreck. “What Organic and Fair Trade Labels Do Not Tell Us: Towards a Place‐Based Understanding of Certification.” International Journal of Consumer Studies 30.5 (2006): 490–501. Glanz, Karen, Michael Basil, Edward Maibach, Jeanne Goldberg, & Dan Snyder. “Why Americans Eat What They Do: Taste, Nutrition, Cost, Convenience, and Weight Control Concerns as Influences on Food Consumption.” Journal of the American Dietetic Association 98.10 (1988): 1118–1126. Green, Lelia, Leesa Costello, and Julie Dare. “Veganism, Health Expectancy, and the Communication of Sustainability.” Australian Journal of Communication 37.3 (2010): 87–102 Guthman, Julie. Agrarian Dreams: the Paradox of Organic Farming in California. Berkley and Los Angeles, CA: U of California P, 2004 Guthrie, John, Anna Guthrie, Rob Lawson, & Alan Cameron. “Farmers’ Markets: The Small Business Counter-Revolution in Food Production and Retailing.” British Food Journal 108.7 (2006): 560–573. Hall, Colin Michael, and Liz Sharples. Eds. Food and Wine Festivals and Events Around the World: Development, Management and Markets. Oxford, UK: Routledge, 2008. Hamzelou, Jessica. “Taste Bud Trickery Needed to Cut Salt Intake.” New Scientist 2799 (2011): 11. Japan Patent Office. History of Industrial Property Rights, Ten Japanese Great Inventors: Kikunae Ikeda: Sodium Glutamate. Tokyo: Japan Patent Office, 2002. L’Abbé, Mary R., S. Stender, C. M. Skeaff, Ghafoorunissa, & M. Tavella. “Approaches to Removing Trans Fats from the Food Supply in Industrialized and Developing Countries.” European Journal of Clinical Nutrition 63 (2009): S50–S67. Lenoir, Magalie, Fuschia Serre, Lauriane Cantin, & Serge H. Ahmed. “Intense Sweetness Surpasses Cocaine Reward.” PLOS One (2007). 2 Feb. 2014 ‹http://www.plosone.org/article/info%3Adoi%2F10.1371%2Fjournal.pone.0000698›. Lupton, Deborah. Fat. Oxford, UK: Routledge, 2013. MacGregor, Graham, and Sonia Pombo. “The Amount of Hidden Sugar in Your Diet Might Shock You.” The Conversation 9 January (2014). 2 Feb. 2014 ‹http://theconversation.com/the-amount-of-hidden-sugar-in-your-diet-might-shock-you-21867›. Mackeown, Elizabeth. “Cold Turkey?” [Letter]. New Scientist 2787 (2010): 31. Martindale, Diane. “Burgers on the Brain.” New Scientist 2380 (2003): 26–29. Mason, David, and Ian Knowd. “The Emergence of Urban Agriculture: Sydney, Australia.” The International Journal of Agricultural Sustainability 8.1–2 (2010): 62–71. Neal, Bruce, Jacqui Webster, and Sebastien Czernichow. “Sanguine About Salt Reduction.” European Journal of Preventative Cardiology 19.6 (2011): 1324–1325. Nelson, Greg, Jayaram Chandrashekar, Mark A. Hoon, Luxin Feng, Grace Zhao, Nicholas J. P. Ryba, & Charles S. Zuker. “An Amino-Acid Taste Receptor.” Nature 416 (2002): 199–202. O’Callaghan, Tiffany. “Sugar on Trial: What You Really Need to Know.” New Scientist 2954 (2011): 34–39. Rogers, Jenny. Ed. The Taste of Health: The BBC Guide to Healthy Cooking. London, UK: British Broadcasting Corporation, 1985. Rogers, Michael A. “Novel Structuring Strategies for Unsaturated Fats—Meeting the Zero-Trans, Zero-Saturated Fat Challenge: A Review.” Food Research International 42.7 August (2009): 747–753. Schlosser, Eric. Fast Food Nation. London, UK: Penguin, 2002. Super Size Me. Dir. Morgan Spurlock. Samuel Goldwyn Films, 2004. Stafford, Julie. Taste of Life. Richmond, Vic: Greenhouse Publications Ltd, 1983. Stark, Jill. “Australia Now World’s Fattest Nation.” The Age 20 June (2008). 2 Feb. 2014 ‹http://www.theage.com.au/news/health/australia-worlds-fattest-nation/2008/06/19/1213770886872.html›. Trivedi, Bijal. “Junkie Food: Tastes That Your Brain Cannot Resist.” New Scientist 2776 (2010): 38–41. Wang, Jiali, Silvana Obici, Kimyata Morgan, Nir Barzilai, Zhaohui Feng, & Luciano Rossetti. “Overfeeding Rapidly Increases Leptin and Insulin Resistance.” Diabetes 50.12 (2001): 2786–2791. Warin, Megan. “Foucault’s Progeny: Jamie Oliver and the Art of Governing Obesity.” Social Theory & Health 9.1 (2011): 24–40. Weber, Christopher L., and H. Scott Matthews. “Food-miles and the Relative Climate Impacts of Food Choices in the United States.” Environmental Science & Technology 42.10 (2008): 3508–3513. Wessell, Adele, and Donna Lee Brien. Eds. Rewriting the Menu: the Cultural Dynamics of Contemporary Food Choices. Special Issue 9, TEXT: Journal of Writing and Writing Programs October 2010. World Health Organisation. Closing the Gap: Policy into Practice on Social Determinants of Health [Discussion Paper]. Rio de Janeiro, Brazil: World Conference on Social Determinants of Health, World Health Organisation, 19–21 October 2011.
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Franks, Rachel. „A Taste for Murder: The Curious Case of Crime Fiction“. M/C Journal 17, Nr. 1 (18.03.2014). http://dx.doi.org/10.5204/mcj.770.

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Introduction Crime fiction is one of the world’s most popular genres. Indeed, it has been estimated that as many as one in every three new novels, published in English, is classified within the crime fiction category (Knight xi). These new entrants to the market are forced to jostle for space on bookstore and library shelves with reprints of classic crime novels; such works placed in, often fierce, competition against their contemporaries as well as many of their predecessors. Raymond Chandler, in his well-known essay The Simple Art of Murder, noted Ernest Hemingway’s observation that “the good writer competes only with the dead. The good detective story writer […] competes not only with all the unburied dead but with all the hosts of the living as well” (3). In fact, there are so many examples of crime fiction works that, as early as the 1920s, one of the original ‘Queens of Crime’, Dorothy L. Sayers, complained: It is impossible to keep track of all the detective-stories produced to-day [sic]. Book upon book, magazine upon magazine pour out from the Press, crammed with murders, thefts, arsons, frauds, conspiracies, problems, puzzles, mysteries, thrills, maniacs, crooks, poisoners, forgers, garrotters, police, spies, secret-service men, detectives, until it seems that half the world must be engaged in setting riddles for the other half to solve (95). Twenty years after Sayers wrote on the matter of the vast quantities of crime fiction available, W.H. Auden wrote one of the more famous essays on the genre: The Guilty Vicarage: Notes on the Detective Story, by an Addict. Auden is, perhaps, better known as a poet but his connection to the crime fiction genre is undisputed. As well as his poetic works that reference crime fiction and commentaries on crime fiction, one of Auden’s fellow poets, Cecil Day-Lewis, wrote a series of crime fiction novels under the pseudonym Nicholas Blake: the central protagonist of these novels, Nigel Strangeways, was modelled upon Auden (Scaggs 27). Interestingly, some writers whose names are now synonymous with the genre, such as Edgar Allan Poe and Raymond Chandler, established the link between poetry and crime fiction many years before the publication of The Guilty Vicarage. Edmund Wilson suggested that “reading detective stories is simply a kind of vice that, for silliness and minor harmfulness, ranks somewhere between crossword puzzles and smoking” (395). In the first line of The Guilty Vicarage, Auden supports Wilson’s claim and confesses that: “For me, as for many others, the reading of detective stories is an addiction like tobacco or alcohol” (406). This indicates that the genre is at best a trivial pursuit, at worst a pursuit that is bad for your health and is, increasingly, socially unacceptable, while Auden’s ideas around taste—high and low—are made clear when he declares that “detective stories have nothing to do with works of art” (406). The debates that surround genre and taste are many and varied. The mid-1920s was a point in time which had witnessed crime fiction writers produce some of the finest examples of fiction to ever be published and when readers and publishers were watching, with anticipation, as a new generation of crime fiction writers were readying themselves to enter what would become known as the genre’s Golden Age. At this time, R. Austin Freeman wrote that: By the critic and the professedly literary person the detective story is apt to be dismissed contemptuously as outside the pale of literature, to be conceived of as a type of work produced by half-educated and wholly incompetent writers for consumption by office boys, factory girls, and other persons devoid of culture and literary taste (7). This article responds to Auden’s essay and explores how crime fiction appeals to many different tastes: tastes that are acquired, change over time, are embraced, or kept as guilty secrets. In addition, this article will challenge Auden’s very narrow definition of crime fiction and suggest how Auden’s religious imagery, deployed to explain why many people choose to read crime fiction, can be incorporated into a broader popular discourse on punishment. This latter argument demonstrates that a taste for crime fiction and a taste for justice are inextricably intertwined. Crime Fiction: A Type For Every Taste Cathy Cole has observed that “crime novels are housed in their own section in many bookshops, separated from literary novels much as you’d keep a child with measles away from the rest of the class” (116). Times have changed. So too, have our tastes. Crime fiction, once sequestered in corners, now demands vast tracts of prime real estate in bookstores allowing readers to “make their way to the appropriate shelves, and begin to browse […] sorting through a wide variety of very different types of novels” (Malmgren 115). This is a result of the sheer size of the genre, noted above, as well as the genre’s expanding scope. Indeed, those who worked to re-invent crime fiction in the 1800s could not have envisaged the “taxonomic exuberance” (Derrida 206) of the writers who have defined crime fiction sub-genres, as well as how readers would respond by not only wanting to read crime fiction but also wanting to read many different types of crime fiction tailored to their particular tastes. To understand the demand for this diversity, it is important to reflect upon some of the appeal factors of crime fiction for readers. Many rules have been promulgated for the writers of crime fiction to follow. Ronald Knox produced a set of 10 rules in 1928. These included Rule 3 “Not more than one secret room or passage is allowable”, and Rule 10 “Twin brothers, and doubles generally, must not appear unless we have been duly prepared for them” (194–6). In the same year, S.S. Van Dine produced another list of 20 rules, which included Rule 3 “There must be no love interest: The business in hand is to bring a criminal to the bar of justice, not to bring a lovelorn couple to the hymeneal altar”, and Rule 7 “There simply must be a corpse in a detective novel, and the deader the corpse the better” (189–93). Some of these directives have been deliberately ignored or have become out-of-date over time while others continue to be followed in contemporary crime writing practice. In sharp contrast, there are no rules for reading this genre. Individuals are, generally, free to choose what, where, when, why, and how they read crime fiction. There are, however, different appeal factors for readers. The most common of these appeal factors, often described as doorways, are story, setting, character, and language. As the following passage explains: The story doorway beckons those who enjoy reading to find out what happens next. The setting doorway opens widest for readers who enjoy being immersed in an evocation of place or time. The doorway of character is for readers who enjoy looking at the world through others’ eyes. Readers who most appreciate skilful writing enter through the doorway of language (Wyatt online). These doorways draw readers to the crime fiction genre. There are stories that allow us to easily predict what will come next or make us hold our breath until the very last page, the books that we will cheerfully lend to a family member or a friend and those that we keep close to hand to re-read again and again. There are settings as diverse as country manors, exotic locations, and familiar city streets, places we have been and others that we might want to explore. There are characters such as the accidental sleuth, the hardboiled detective, and the refined police officer, amongst many others, the men and women—complete with idiosyncrasies and flaws—who we have grown to admire and trust. There is also the language that all writers, regardless of genre, depend upon to tell their tales. In crime fiction, even the most basic task of describing where the murder victim was found can range from words that convey the genteel—“The room of the tragedy” (Christie 62)—to the absurd: “There it was, jammed between a pallet load of best export boneless beef and half a tonne of spring lamb” (Maloney 1). These appeal factors indicate why readers might choose crime fiction over another genre, or choose one type of crime fiction over another. Yet such factors fail to explain what crime fiction is or adequately answer why the genre is devoured in such vast quantities. Firstly, crime fiction stories are those in which there is the committing of a crime, or at least the suspicion of a crime (Cole), and the story that unfolds revolves around the efforts of an amateur or professional detective to solve that crime (Scaggs). Secondly, crime fiction offers the reassurance of resolution, a guarantee that from “previous experience and from certain cultural conventions associated with this genre that ultimately the mystery will be fully explained” (Zunshine 122). For Auden, the definition of the crime novel was quite specific, and he argued that referring to the genre by “the vulgar definition, ‘a Whodunit’ is correct” (407). Auden went on to offer a basic formula stating that: “a murder occurs; many are suspected; all but one suspect, who is the murderer, are eliminated; the murderer is arrested or dies” (407). The idea of a formula is certainly a useful one, particularly when production demands—in terms of both quality and quantity—are so high, because the formula facilitates creators in the “rapid and efficient production of new works” (Cawelti 9). For contemporary crime fiction readers, the doorways to reading, discussed briefly above, have been cast wide open. Stories relying upon the basic crime fiction formula as a foundation can be gothic tales, clue puzzles, forensic procedurals, spy thrillers, hardboiled narratives, or violent crime narratives, amongst many others. The settings can be quiet villages or busy metropolises, landscapes that readers actually inhabit or that provide a form of affordable tourism. These stories can be set in the past, the here and now, or the future. Characters can range from Edgar Allan Poe’s C. Auguste Dupin to Dashiell Hammett’s Sam Spade, from Agatha Christie’s Miss Jane Marple to Kerry Greenwood’s Honourable Phryne Fisher. Similarly, language can come in numerous styles from the direct (even rough) words of Carter Brown to the literary prose of Peter Temple. Anything is possible, meaning everything is available to readers. For Auden—although he required a crime to be committed and expected that crime to be resolved—these doorways were only slightly ajar. For him, the story had to be a Whodunit; the setting had to be rural England, though a college setting was also considered suitable; the characters had to be “eccentric (aesthetically interesting individuals) and good (instinctively ethical)” and there needed to be a “completely satisfactory detective” (Sherlock Holmes, Inspector French, and Father Brown were identified as “satisfactory”); and the language descriptive and detailed (406, 409, 408). To illustrate this point, Auden’s concept of crime fiction has been plotted on a taxonomy, below, that traces the genre’s main developments over a period of three centuries. As can be seen, much of what is, today, taken for granted as being classified as crime fiction is completely excluded from Auden’s ideal. Figure 1: Taxonomy of Crime Fiction (Adapted from Franks, Murder 136) Crime Fiction: A Personal Journey I discovered crime fiction the summer before I started high school when I saw the film version of The Big Sleep starring Humphrey Bogart and Lauren Bacall. A few days after I had seen the film I started reading the Raymond Chandler novel of the same title, featuring his famous detective Philip Marlowe, and was transfixed by the second paragraph: The main hallway of the Sternwood place was two stories high. Over the entrance doors, which would have let in a troop of Indian elephants, there was a broad stained-glass panel showing a knight in dark armour rescuing a lady who was tied to a tree and didn’t have any clothes on but some very long and convenient hair. The knight had pushed the visor of his helmet back to be sociable, and he was fiddling with the knots on the ropes that tied the lady to the tree and not getting anywhere. I stood there and thought that if I lived in the house, I would sooner or later have to climb up there and help him. He didn’t seem to be really trying (9). John Scaggs has written that this passage indicates Marlowe is an idealised figure, a knight of romance rewritten onto the mean streets of mid-20th century Los Angeles (62); a relocation Susan Roland calls a “secular form of the divinely sanctioned knight errant on a quest for metaphysical justice” (139): my kind of guy. Like many young people I looked for adventure and escape in books, a search that was realised with Raymond Chandler and his contemporaries. On the escapism scale, these men with their stories of tough-talking detectives taking on murderers and other criminals, law enforcement officers, and the occasional femme fatale, were certainly a sharp upgrade from C.S. Lewis and the Chronicles of Narnia. After reading the works written by the pioneers of the hardboiled and roman noir traditions, I looked to other American authors such as Edgar Allan Poe who, in the mid-1800s, became the father of the modern detective story, and Thorne Smith who, in the 1920s and 1930s, produced magical realist tales with characters who often chose to dabble on the wrong side of the law. This led me to the works of British crime writers including Arthur Conan Doyle, Agatha Christie, and Dorothy L. Sayers. My personal library then became dominated by Australian writers of crime fiction, from the stories of bushrangers and convicts of the Colonial era to contemporary tales of police and private investigators. There have been various attempts to “improve” or “refine” my tastes: to convince me that serious literature is real reading and frivolous fiction is merely a distraction. Certainly, the reading of those novels, often described as classics, provide perfect combinations of beauty and brilliance. Their narratives, however, do not often result in satisfactory endings. This routinely frustrates me because, while I understand the philosophical frameworks that many writers operate within, I believe the characters of such works are too often treated unfairly in the final pages. For example, at the end of Ernest Hemingway’s A Farewell to Arms, Frederick Henry “left the hospital and walked back to the hotel in the rain” after his son is stillborn and “Mrs Henry” becomes “very ill” and dies (292–93). Another example can be found on the last page of George Orwell’s Nineteen Eighty-Four when Winston Smith “gazed up at the enormous face” and he realised that he “loved Big Brother” (311). Endings such as these provide a space for reflection about the world around us but rarely spark an immediate response of how great that world is to live in (Franks Motive). The subject matter of crime fiction does not easily facilitate fairy-tale finishes, yet, people continue to read the genre because, generally, the concluding chapter will show that justice, of some form, will be done. Punishment will be meted out to the ‘bad characters’ that have broken society’s moral or legal laws; the ‘good characters’ may experience hardships and may suffer but they will, generally, prevail. Crime Fiction: A Taste For Justice Superimposed upon Auden’s parameters around crime fiction, are his ideas of the law in the real world and how such laws are interwoven with the Christian-based system of ethics. This can be seen in Auden’s listing of three classes of crime: “(a) offenses against God and one’s neighbor or neighbors; (b) offenses against God and society; (c) offenses against God” (407). Murder, in Auden’s opinion, is a class (b) offense: for the crime fiction novel, the society reflected within the story should be one in “a state of grace, i.e., a society where there is no need of the law, no contradiction between the aesthetic individual and the ethical universal, and where murder, therefore, is the unheard-of act which precipitates a crisis” (408). Additionally, in the crime novel “as in its mirror image, the Quest for the Grail, maps (the ritual of space) and timetables (the ritual of time) are desirable. Nature should reflect its human inhabitants, i.e., it should be the Great Good Place; for the more Eden-like it is, the greater the contradiction of murder” (408). Thus, as Charles J. Rzepka notes, “according to W.H. Auden, the ‘classical’ English detective story typically re-enacts rites of scapegoating and expulsion that affirm the innocence of a community of good people supposedly ignorant of evil” (12). This premise—of good versus evil—supports Auden’s claim that the punishment of wrongdoers, particularly those who claim the “right to be omnipotent” and commit murder (409), should be swift and final: As to the murderer’s end, of the three alternatives—execution, suicide, and madness—the first is preferable; for if he commits suicide he refuses to repent, and if he goes mad he cannot repent, but if he does not repent society cannot forgive. Execution, on the other hand, is the act of atonement by which the murderer is forgiven by society (409). The unilateral endorsement of state-sanctioned murder is problematic, however, because—of the main justifications for punishment: retribution; deterrence; incapacitation; and rehabilitation (Carter Snead 1245)—punishment, in this context, focuses exclusively upon retribution and deterrence, incapacitation is achieved by default, but the idea of rehabilitation is completely ignored. This, in turn, ignores how the reading of crime fiction can be incorporated into a broader popular discourse on punishment and how a taste for crime fiction and a taste for justice are inextricably intertwined. One of the ways to explore the connection between crime fiction and justice is through the lens of Emile Durkheim’s thesis on the conscience collective which proposes punishment is a process allowing for the demonstration of group norms and the strengthening of moral boundaries. David Garland, in summarising this thesis, states: So although the modern state has a near monopoly of penal violence and controls the administration of penalties, a much wider population feels itself to be involved in the process of punishment, and supplies the context of social support and valorization within which state punishment takes place (32). It is claimed here that this “much wider population” connecting with the task of punishment can be taken further. Crime fiction, above all other forms of literary production, which, for those who do not directly contribute to the maintenance of their respective legal systems, facilitates a feeling of active participation in the penalising of a variety of perpetrators: from the issuing of fines to incarceration (Franks Punishment). Crime fiction readers are therefore, temporarily at least, direct contributors to a more stable society: one that is clearly based upon right and wrong and reliant upon the conscience collective to maintain and reaffirm order. In this context, the reader is no longer alone, with only their crime fiction novel for company, but has become an active member of “a moral framework which binds individuals to each other and to its conventions and institutions” (Garland 51). This allows crime fiction, once viewed as a “vice” (Wilson 395) or an “addiction” (Auden 406), to be seen as playing a crucial role in the preservation of social mores. It has been argued “only the most literal of literary minds would dispute the claim that fictional characters help shape the way we think of ourselves, and hence help us articulate more clearly what it means to be human” (Galgut 190). Crime fiction focuses on what it means to be human, and how complex humans are, because stories of murders, and the men and women who perpetrate and solve them, comment on what drives some people to take a life and others to avenge that life which is lost and, by extension, engages with a broad community of readers around ideas of justice and punishment. It is, furthermore, argued here that the idea of the story is one of the more important doorways for crime fiction and, more specifically, the conclusions that these stories, traditionally, offer. For Auden, the ending should be one of restoration of the spirit, as he suspected that “the typical reader of detective stories is, like myself, a person who suffers from a sense of sin” (411). In this way, the “phantasy, then, which the detective story addict indulges is the phantasy of being restored to the Garden of Eden, to a state of innocence, where he may know love as love and not as the law” (412), indicating that it was not necessarily an accident that “the detective story has flourished most in predominantly Protestant countries” (408). Today, modern crime fiction is a “broad church, where talented authors raise questions and cast light on a variety of societal and other issues through the prism of an exciting, page-turning story” (Sisterson). Moreover, our tastes in crime fiction have been tempered by a growing fear of real crime, particularly murder, “a crime of unique horror” (Hitchens 200). This has seen some readers develop a taste for crime fiction that is not produced within a framework of ecclesiastical faith but is rather grounded in reliance upon those who enact punishment in both the fictional and real worlds. As P.D. James has written: [N]ot by luck or divine intervention, but by human ingenuity, human intelligence and human courage. It confirms our hope that, despite some evidence to the contrary, we live in a beneficent and moral universe in which problems can be solved by rational means and peace and order restored from communal or personal disruption and chaos (174). Dorothy L. Sayers, despite her work to legitimise crime fiction, wrote that there: “certainly does seem a possibility that the detective story will some time come to an end, simply because the public will have learnt all the tricks” (108). Of course, many readers have “learnt all the tricks”, or most of them. This does not, however, detract from the genre’s overall appeal. We have not grown bored with, or become tired of, the formula that revolves around good and evil, and justice and punishment. Quite the opposite. Our knowledge of, as well as our faith in, the genre’s “tricks” gives a level of confidence to readers who are looking for endings that punish murderers and other wrongdoers, allowing for more satisfactory conclusions than the, rather depressing, ends given to Mr. Henry and Mr. Smith by Ernest Hemingway and George Orwell noted above. Conclusion For some, the popularity of crime fiction is a curious case indeed. When Penguin and Collins published the Marsh Million—100,000 copies each of 10 Ngaio Marsh titles in 1949—the author’s relief at the success of the project was palpable when she commented that “it was pleasant to find detective fiction being discussed as a tolerable form of reading by people whose opinion one valued” (172). More recently, upon the announcement that a Miles Franklin Award would be given to Peter Temple for his crime novel Truth, John Sutherland, a former chairman of the judges for one of the world’s most famous literary awards, suggested that submitting a crime novel for the Booker Prize would be: “like putting a donkey into the Grand National”. Much like art, fashion, food, and home furnishings or any one of the innumerable fields of activity and endeavour that are subject to opinion, there will always be those within the world of fiction who claim positions as arbiters of taste. Yet reading is intensely personal. I like a strong, well-plotted story, appreciate a carefully researched setting, and can admire elegant language, but if a character is too difficult to embrace—if I find I cannot make an emotional connection, if I find myself ambivalent about their fate—then a book is discarded as not being to my taste. It is also important to recognise that some tastes are transient. Crime fiction stories that are popular today could be forgotten tomorrow. Some stories appeal to such a broad range of tastes they are immediately included in the crime fiction canon. Yet others evolve over time to accommodate widespread changes in taste (an excellent example of this can be seen in the continual re-imagining of the stories of Sherlock Holmes). Personal tastes also adapt to our experiences and our surroundings. A book that someone adores in their 20s might be dismissed in their 40s. A storyline that was meaningful when read abroad may lose some of its magic when read at home. Personal events, from a change in employment to the loss of a loved one, can also impact upon what we want to read. Similarly, world events, such as economic crises and military conflicts, can also influence our reading preferences. Auden professed an almost insatiable appetite for crime fiction, describing the reading of detective stories as an addiction, and listed a very specific set of criteria to define the Whodunit. Today, such self-imposed restrictions are rare as, while there are many rules for writing crime fiction, there are no rules for reading this (or any other) genre. People are, generally, free to choose what, where, when, why, and how they read crime fiction, and to follow the deliberate or whimsical paths that their tastes may lay down for them. Crime fiction writers, past and present, offer: an incredible array of detective stories from the locked room to the clue puzzle; settings that range from the English country estate to city skyscrapers in glamorous locations around the world; numerous characters from cerebral sleuths who can solve a crime in their living room over a nice, hot cup of tea to weapon wielding heroes who track down villains on foot in darkened alleyways; and, language that ranges from the cultured conversations from the novels of the genre’s Golden Age to the hard-hitting terminology of forensic and legal procedurals. Overlaid on these appeal factors is the capacity of crime fiction to feed a taste for justice: to engage, vicariously at least, in the establishment of a more stable society. Of course, there are those who turn to the genre for a temporary distraction, an occasional guilty pleasure. There are those who stumble across the genre by accident or deliberately seek it out. There are also those, like Auden, who are addicted to crime fiction. So there are corpses for the conservative and dead bodies for the bloodthirsty. There is, indeed, a murder victim, and a murder story, to suit every reader’s taste. References Auden, W.H. “The Guilty Vicarage: Notes on The Detective Story, By an Addict.” Harper’s Magazine May (1948): 406–12. 1 Dec. 2013 ‹http://www.harpers.org/archive/1948/05/0033206›. Carter Snead, O. “Memory and Punishment.” Vanderbilt Law Review 64.4 (2011): 1195–264. Cawelti, John G. Adventure, Mystery and Romance: Formula Stories as Art and Popular Culture. Chicago: U of Chicago P, 1976/1977. Chandler, Raymond. The Big Sleep. London: Penguin, 1939/1970. ––. The Simple Art of Murder. New York: Vintage Books, 1950/1988. Christie, Agatha. The Mysterious Affair at Styles. London: HarperCollins, 1920/2007. Cole, Cathy. Private Dicks and Feisty Chicks: An Interrogation of Crime Fiction. Fremantle: Curtin UP, 2004. Derrida, Jacques. “The Law of Genre.” Glyph 7 (1980): 202–32. Franks, Rachel. “May I Suggest Murder?: An Overview of Crime Fiction for Readers’ Advisory Services Staff.” Australian Library Journal 60.2 (2011): 133–43. ––. “Motive for Murder: Reading Crime Fiction.” The Australian Library and Information Association Biennial Conference. Sydney: Jul. 2012. ––. “Punishment by the Book: Delivering and Evading Punishment in Crime Fiction.” Inter-Disciplinary.Net 3rd Global Conference on Punishment. Oxford: Sep. 2013. Freeman, R.A. “The Art of the Detective Story.” The Art of the Mystery Story: A Collection of Critical Essays. Ed. Howard Haycraft. New York: Simon & Schuster, 1924/1947. 7–17. Galgut, E. “Poetic Faith and Prosaic Concerns: A Defense of Suspension of Disbelief.” South African Journal of Philosophy 21.3 (2002): 190–99. Garland, David. Punishment and Modern Society: A Study in Social Theory. Chicago: U of Chicago P, 1993. Hemingway, Ernest. A Farewell to Arms. London: Random House, 1929/2004. ––. in R. Chandler. The Simple Art of Murder. New York: Vintage Books, 1950/1988. Hitchens, P. A Brief History of Crime: The Decline of Order, Justice and Liberty in England. London: Atlantic Books, 2003. James, P.D. Talking About Detective Fiction. New York: Alfred A. Knopf, 2009. Knight, Stephen. Crime Fiction since 1800: Death, Detection, Diversity, 2nd ed. New York: Palgrave Macmillian, 2010. Knox, Ronald A. “Club Rules: The 10 Commandments for Detective Novelists, 1928.” Ronald Knox Society of North America. 1 Dec. 2013 ‹http://www.ronaldknoxsociety.com/detective.html›. Malmgren, C.D. “Anatomy of Murder: Mystery, Detective and Crime Fiction.” Journal of Popular Culture Spring (1997): 115–21. Maloney, Shane. The Murray Whelan Trilogy: Stiff, The Brush-Off and Nice Try. Melbourne: Text Publishing, 1994/2008. Marsh, Ngaio in J. Drayton. Ngaio Marsh: Her Life in Crime. Auckland: Harper Collins, 2008. Orwell, George. Nineteen Eighty-Four. London: Penguin Books, 1949/1989. Roland, Susan. From Agatha Christie to Ruth Rendell: British Women Writers in Detective and Crime Fiction. London: Palgrave, 2001. Rzepka, Charles J. Detective Fiction. Cambridge: Polity, 2005. Sayers, Dorothy L. “The Omnibus of Crime.” The Art of the Mystery Story: A Collection of Critical Essays. Ed. Howard Haycraft. New York: Simon & Schuster, 1928/1947. 71–109. Scaggs, John. Crime Fiction: The New Critical Idiom. London: Routledge, 2005. Sisterson, C. “Battle for the Marsh: Awards 2013.” Black Mask: Pulps, Noir and News of Same. 1 Jan. 2014 http://www.blackmask.com/category/awards-2013/ Sutherland, John. in A. Flood. “Could Miles Franklin turn the Booker Prize to Crime?” The Guardian. 1 Jan. 2014 ‹http://www.guardian.co.uk/books/2010/jun/25/miles-franklin-booker-prize-crime›. Van Dine, S.S. “Twenty Rules for Writing Detective Stories.” The Art of the Mystery Story: A Collection of Critical Essays. Ed. Howard Haycraft. New York: Simon & Schuster, 1928/1947. 189-93. Wilson, Edmund. “Who Cares Who Killed Roger Ackroyd.” The Art of the Mystery Story: A Collection of Critical Essays. Ed. Howard Haycraft. New York: Simon & Schuster, 1944/1947. 390–97. Wyatt, N. “Redefining RA: A RA Big Think.” Library Journal Online. 1 Jan. 2014 ‹http://lj.libraryjournal.com/2007/07/ljarchives/lj-series-redefining-ra-an-ra-big-think›. Zunshine, Lisa. Why We Read Fiction: Theory of Mind and the Novel. Columbus: Ohio State UP, 2006.
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Alves Filho, Manoel Elio Almeida, Jaqueline Oliveira Barreto, Silvestre Estrela da Silva-Júnior, Julliana Cariry Palhano Freire, Julierme Ferreira Rocha und Eduardo Dias-Ribeiro. „Estudo retrospectivo das complicações associadas a exodontia de terceiros molares em um serviço de referência no sertão paraibano, Brasil“. ARCHIVES OF HEALTH INVESTIGATION 8, Nr. 7 (03.10.2019). http://dx.doi.org/10.21270/archi.v8i7.3810.

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A cirurgia de terceiros molares, embora seja um procedimento rotineiro em nível ambulatorial pode evoluir para complicações trans ou pós-operatorias, as quais o cirurgião deverá estar apto para conduzir os casos da maneira mais adequada. O objetivo desta pesquisa foi avaliar a prevalência das complicações associados a terceiros molares em um serviço de referência no sertão paraibano, Brasil. Este estudo se trata de pesquisa retrospectiva com levantamentos de dados através de prontuários odontológicos, os quais para serem inclusos para análise deveriam estar preenchidos completamente e os pacientes terem se submetidos a exodontias de algum terceiro molar e acompanhado por pelo menos 07 dias pós-operatório. A amostra foi formada com 226 prontuários, os quais registram 483 desses tipos de exodontias. Verificou-se que as complicações tiveram uma prevalência geral de 8,9%, de forma que as mais frequentes foram fratura radicular (27,9%), alveolite (20,93%), parestesia do nervo alveolar inferior (18,6%), parestesia do nervo lingual (7,0%), hemorragia trans-operatória (7,0%), fratura do túber da maxila (4,65%), parestesia do nervo facial (2,32%), luxação da ATM (2,32%), fratura de broca (2,32%), hemorragia pós-operatória (2,32%), laceração de tecido mole (2,32%), e lipotínea (2,32%). Conclui-se que os pacientes na faixa etária de 16 a 25 anos, do gênero feminino foram os mais acometidos e a fratura radicular apresentou-se mais prevalente seguida da alveolite e parestesia do nervo alveolar inferior.Descritores: Prevalência; Cirurgia Bucal; Dente Serotino.ReferênciasCosta MG, Pazzini CA, Pantuzo MCG, Jorge MLR, Marques LS. Is there justification for prophylactic extraction of third molars? A systematic review. Braz Oral Res. 2013;27(2):183-88.Chang SK, Perrott DH, Susarla SM, Dodson TB. Age as a risk factor for third molar surgery complications. J Oral Maxillofacial Surg. 2007;65(9):1685-92.Haug RH, Perrott DH, Gonzalez ML, Talwar RM. The American Association of Oral and Maxillofacial Surgeons Age-Related Third Molar Study. J Oral Maxillofac Surg. 2005;63:1106-14.Mahdey HM, Arora S, Wei M. Prevalence and difficulty index associated with themandibular molar impaction among malaysian ethnicities: a clinico-radiographic study. J Clin Diagn Res. 2015;9(9):ZC65-8.Dias-Ribeiro E, Lima-Júnior JL, Barbosa JL, Haagsma IB, Lucena LBS, Marzola C. Avaliação das posições de terceiros molares retidos em relação à classificação de Winter. Rev Odontol UNESP. 2008;37(3):203-9.Kanneppady SK, Balamanikandasrinivasan, Kumaresan R, Sakri SB. A comparative study on radiographic analysis of impacted third molars among three ethnic groups of patients attending AIMST Dental Institute, Malaysia. Dent Res (Isfahan). 2013;10(3):353-58.Reddy KVG, Prasad KVV. Prevalence of third molar impactions in urban population of age 22-30 years in South India: an epidemological study. J Indian Dent Assoc. 2011;5(5):609-11.Al-Anqudi SM, Al-Sudairy S, Al-Hosni A, Al-Maniri A. Prevalence and pattern of third molar impaction - a retrospective study of radiographs in Oman. Sultan Qaboos Univ Med J. 2014;14(3):e388-e92.Susarla SM, Dodson TB. Risk factors for third molar extraction difficulty. J Oral Maxillofac Surg. 2004;62(11):1363-71.Sursala MS, Blaeser BF, Magalnick D. Third molar surgery and associated complication. Oral Maxillofacial Surg Clin North Am. 2003;15(2):177-86.de Carvalho RW, de Araújo Filho RC, do Egito Vasconcelos BC. Assessment of factors associated with surgical difficulty during removal of impacted maxillary third molars. J Oral Maxillofac Surg. 2013;71(5):839-45.Osborn TP, Frederickson G Jr, Small IA, Torgerson TS. A Prospective study of complications related to mandibular third molar surgery. J Oral Maxillofac Surg. 1985;43(10):767-69.Bui, CH, Seldin EB, Dodson TB. Types, frequencies, and risk factors for complications after third molar extraction. J. Oral Maxillofac Surg. 2003;61(12):1379-89.Chiapasco M, De Cicco L, Marrone G. Side effects and complications associates with third molar surgery. Oral Surg Oral Med Oral Pathol. 2006;76(4):412-20.Kato RB, Bueno RBL, Oliveira Neto PJ, Ribeiro MC, Azenha MR. Acidentes e complicações associadas á cirurgia dos terceiros molares realizada por alunos de odontologia. Rev cir traumatol buco-maxilo-fac. 2010,;10(4):45-54.Bachmann H, Cáceres R, Muñoz C, Uribe S. Complicaciones en cirugía de terceros molares entre los años 2007-2010, en un hospital urbano, Chile. Int J Odontostomat. 2014;8(1):107-12.Blondeau F, Daniel NG. Extraction of impacted mandibular third molars: postoperative complications and their risk factors. J Can Dent Assoc. 2007;73(4):325.Pitekova, L.; Satko, I. & Novotnakova, D. Complications after third molar surgery. Bratisl Lek Listy. 2010;111(5):296-98.Benediktsdóttir IS, Wenzel A, Petersen JK, Hintze H. Mandibular third molar removal: Risk indicators for extended operation time, postoperative pain, and complications. Oral Surg, Oral Med, Oral Pathol, Oral Radiol, Endod. 2004;97(4):438-46.Hupp JR. Cirurgia oral maxilofacial contemporânea. 6. ed. Rio de Janeiro:Elsevier; 2015.Laskin D. Oral and Maxillofacial Surgery. St Louis:Mosby Co; 1985.Killey HC, Kay LW. The impacted wisdom tooth. Edinburgh: Churchill Livingstone; 1975.Araujo OC, Agostinho CNLF, Marinho LMRF, Rabêlo LRS, Bastos EG, Silva VC. Incidência dos acidentes e complicações em cirurgias de terceiros molares. Rev Odontol UNESP. 2011;40(6):290-95.Oliveira LB, Schmidt DB, Assis AF, Gabrielli MAC, Hochuli-Vieira EH, Pereira Filho VAP. Avaliação dos acidentes e complicações associados à exodontias dos 3º molares. Rev cir traumatol buco-maxilo-fac. 2006;6(2):51-6.al-Khateeb TL, El-Marsafi AI, Butler NP. The relationship between the indications of the surgical removal of impacted third molars and incidence of alveolar osteitis. J Oral Maxillofac Surg. 1991;49(2):141-45.Alling CC 3rd. Dysesthesia of the lingual and inferior alveolar nerves following third molar surgery. J Oral Maxillofac Surg. 1986;44(6):454-57.Mercier P, Precious D. Risk and benefits of removal of impacted third molars: a critical review of the literature. J Oral Maxillofac Surg. 1992;21(1):17-27.Cheung LK, Leung YY, Chow LK, Wong MC, Chan EK, Fok YH. Incidence of neurosensory deficits and recovery after lower third molar surgery: a prospective clinical study of 4,338 cases. Int J Oral Maxillofac Surg. 2010;39(4):320-26.Contar CM, de Oliveira P, Kanegusuku K, Berticelli RD, Azevedo-Alanis LR, Machado MA. Complications in third molar removal: a retrospective study of 588 patients. Med Oral Patol Oral Cir Bucal. 2010;15(1):e74-8.Silveira KG, Costa FWG, Bezerra MF, Pimenta AVM, Carvalho FSR, Soares ECS. Sinais radiográficos preditivos de proximidade entre terceiro molar e canal mandibular através de tomografia computorizada. Rev Port Estomatol Med Dent Cir Maxilofac. 2016;57(1):30-7.Sebastiani, AM, Todero SRB, Gabardo G, Costa DJ, Rebelatto NLB, Scario R. Intraoperative accidents associated with surgical removal of third molars. Braz J Oral Sci. 2014;13(4):276-80Wofford DT, Miller RI. Prospective study of dysesthesia following odontectomy of impacted mandibular third molars. J Oral Maxillofac Surg. 1987;45(1):15-9.Swanson AE. Removing the mandibular third molar: neurosensory deficits and consequent litigation. J Can Dent Assoc. 1989;55(5):383-86.Bouloux GF, Steed MB, Perciaccante VJ. Complications of third molar surgery. Oral Maxillofacial Surg Clin North Am. 2007; 19(1):117-28.Santos MESM, Martins CAM, Beltrao GC, Gallo TB. Paralisia do nervo facial após remoção de enxerto mandibular- relato de caso. Rev cir traumatol buco-maxilo-fac. 2006;6(3):33-8.Santiago JA, Martins Neto RS, Lima VN, Queiroz SBF, Carvalho ACGS, Magro Filho O. Avaliação dos cirurgiões-dentistas de Quixerobim sobre emergências médicas em consultório odontológico. Braz J Surg Clin Res – BJSCR. 2016, 13(1):23-8.
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Tuters, Marc, Emilija Jokubauskaitė und Daniel Bach. „Post-Truth Protest: How 4chan Cooked Up the Pizzagate Bullshit“. M/C Journal 21, Nr. 3 (15.08.2018). http://dx.doi.org/10.5204/mcj.1422.

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IntroductionOn 4 December 2016, a man entered a Washington, D.C., pizza parlor armed with an AR-15 assault rifle in an attempt to save the victims of an alleged satanic pedophilia ring run by prominent members of the Democratic Party. While the story had already been discredited (LaCapria), at the time of the incident, nearly half of Trump voters were found to give a measure of credence to the same rumors that had apparently inspired the gunman (Frankovic). Was we will discuss here, the bizarre conspiracy theory known as "Pizzagate" had in fact originated a month earlier on 4chan/pol/, a message forum whose very raison d’être is to protest against “political correctness” of the liberal establishment, and which had recently become a hub for “loose coordination” amongst members the insurgent US ‘alt-right’ movement (Hawley 48). Over a period of 25 hours beginning on 3 November 2016, contributors to the /pol/ forum combed through a cache of private e-mails belonging to Hillary Clinton’s campaign manager John Podesta, obtained by Russian hackers (Franceschi-Bicchierai) and leaked by Julian Assange (Wikileaks). In this short time period contributors to the forum thus constructed the basic elements of a narrative that would be amplified by a newly formed “right-wing media network”, in which the “repetition, variation, and circulation” of “repeated falsehoods” may be understood as an “important driver towards a ‘post-truth’ world” (Benkler et al). Heavily promoted by a new class of right-wing pundits on Twitter (Wendling), the case of Pizzagate prompts us to reconsider the presumed progressive valence of social media protest (Zuckerman).While there is literature, both popular and academic, on earlier protest movements associated with 4chan (Stryker; Olson; Coleman; Phillips), there is still a relative paucity of empirical research into the newer forms of alt-right collective action that have emerged from 4chan. And while there have been journalistic exposés tracing the dissemination of the Pizzagate rumors across social media as well as deconstructing its bizarre narrative (Fisher et al.; Aisch; Robb), as of yet there has been no rigorous analysis of the provenance of this particular story. This article thus provides an empirical study of how the Pizzagate conspiracy theory developed out of a particular set of collective action techniques that were in turn shaped by the material affordances of 4chan’s most active message board, the notorious and highly offensive /pol/.Grammatised Collective ActionOur empirical approach is partially inspired by the limited data-scientific literature of 4chan (Bernstein et al.; Hine et al.; Zannettou et al.), and combines close and distant reading techniques to study how the technical design of 4chan ‘grammatises’ new forms of collective action. Our coinage of grammatised collective action is based on the notion of “grammars of action” from the field of critical information studies, which posits the radical idea that innovations in computational systems can also be understood as “ontological advances” (Agre 749), insofar as computation tends to break the flux of human activity into discrete elements. By introducing this concept our intent is not to minimise individual agency, but rather to emphasise the ways in which computational systems can be conceptualised in terms of an individ­ual-milieu dyad where the “individual carries with it a certain inheritance […] animated by all the potentials that characterise [...] the structure of a physical system” (Simondon 306). Our argument is that grammatisation may be thought to create new kinds of niches, or affordances, for new forms of sociality and, crucially, new forms of collective action — in the case of 4chan/pol/, how anonymity and ephemerality may be thought to afford a kind of post-truth protest.Affordance was initially proposed as a means by which to overcome the dualistic tendency, inherited from phenomenology, to bracket the subject from its environment. Thus, affordance is a relational concept “equally a fact of the environment and a fact of behaviour” (Gibson 129). While, in the strictly materialist sense affordances are “always there” (Gibson 132), their capacity to shape action depends upon their discovery and exploitation by particular forms of life that are capable of perceiving them. It is axiomatic within ethology that forms of life can be understood to thrive in their own dynamic, yet in some real sense ontologically distinct, lifeworlds (von Uexküll). Departing from this axiom, affordances can thus be defined, somewhat confusingly but accurately, as an “invariant combination of variables” (Gibson 134). In the case of new media, the same technological object may afford different actions for specific users — for instance, the uses of an online platform appears differently from the perspective of the individual users, businesses, or a developer (Gillespie). Recent literature within the field of new media has sought to engage with this concept of affordance as the methodological basis for attending to “the specificity of platforms” (Bucher and Helmond 242), for example by focussing on how a platform’s affordances may be used as a "mechanism of governance" (Crawford and Gillespie 411), how they may "foster democratic deliberation" (Halpern and Gibbs 1159), and be implicated in the "production of normativity" (Stanfill 1061).As an anonymous and essentially ephemeral peer-produced image-board, 4chan has a quite simple technical design when compared with the dominant social media platforms discussed in the new media literature on affordances. Paradoxically however in the simplicity of their design 4chan boards may be understood to afford rather complex forms of self-expression and of coordinated action amongst their dedicated users, whom refer to themselves as "anons". It has been noted, for example, that the production of provocative Internet memes on 4chan’s /b/ board — the birthplace of Rickrolling — could be understood as a type of "contested cultural capital", whose “media literate” usage allows anons to demonstrate their in-group status in the absence of any persistent reputational capital (Nissenbaum and Shiffman). In order to appreciate how 4chan grammatises action it is thus useful to study its characteristic affordances, the most notable of which is its renowned anonymity. We should thus begin by noting how the design of the site allows anyone to post anything virtually anonymously so long as comments remain on topic for the given board. Indeed, it was this particular affordance that informed the emergence of the collective identity of the hacktivist group “Anonymous”, some ten years before 4chan became publicly associated with the rise of the alt-right.In addition to anonymity the other affordance that makes 4chan particularly unique is ephemerality. As stated, the design of 4chan is quite straightforward. Anons post comments to ongoing threaded discussions, which start with an original post. Threads with the most recent comments appear first in order at the top of a given board, which result in the previous threads getting pushed down the page. Even in the case of the most popular threads 4chan boards only allow a finite number of comments before threads must be purged. As a result of this design, no matter how popular a discussion might be, once having reached the bump-limit threads expire, moving down the front page onto the second and third page either to be temporarily catalogued or else to disappear from the site altogether (see Image 1 for how popular threads on /pol/, represented in red, are purged after reaching the bump-limit).Image 1: 55 minutes of all 4chan/pol/ threads and their positions, sampled every 2 minutes (Hagen)Adding to this ephemerality, general discussion on 4chan is also governed by moderators — this in spite of 4chan’s anarchic reputation — who are uniquely empowered with the ability to effectively kill a thread, or a series of threads. Autosaging, one of the possible techniques available to moderators, is usually only exerted in instances when the discussion is deemed as being off-topic or inappropriate. As a result of the combined affordances, discussions can be extremely rapid and intense — in the case of the creation of Pizzagate, this process took 25 hours (see Tokmetzis for an account based on our research).The combination of 4chan’s unique affordances of anonymity and ephemerality brings us to a third factor that is crucial in order to understand how it is that 4chan anons cooked-up the Pizzagate story: the general thread. This process involves anons combing through previous discussion threads in order to create a new thread that compiles all the salient details on a given topic often archiving this data with services like Pastebin — an online content hosting service usually used to share snippets of code — or Google Docs since the latter tend to be less ephemeral than 4chan.In addition to keeping a conversation alive after a thread has been purged, in the case of Pizzagate we noticed that general threads were crucial to the process of framing those discussions going forward. While multiple general threads might emerge on a given topic, only one will consolidate the ongoing conversation thereby affording significant authority to a single author (as opposed to the anonymous mass) in terms of deciding on which parts of a prior thread to include or exclude. While general threads occur relatively commonly in 4chan, in the case of Pizzagate, this process seemed to take on the form of a real-time collective research effort that we will refer to as bullshit accumulation.The analytic philosopher Harry Frankfurt argues that bullshit is form of knowledge-production that appears unconcerned with objective truth, and as such can be distinguished from misinformation. Frankfurt sees bullshit as “more ambitious” than misinformation defining it as “panoramic rather than particular” since it is also prepared to “fake the context”, which in his estimation makes bullshit a “greater enemy of the truth” than lies (62, 52). Through an investigation into the origins of Pizzagate on /pol/, we thus are able to understand how grammatised collective action assists in the accumulation of bullshit in the service of a kind of post-truth political protest.Bullshit Accumulation4chan has a pragmatic and paradoxical relationship with belief that has be characterised in terms of kind of quasi-religious ironic collectivism (Burton). Because of this "weaponizing [of] irony" (Wilson) it is difficult to objectively determine to what extent anons actually believed that Pizzagate was real, and in a sense it is beside the point. In combination then with the site’s aforementioned affordances, it is this peculiar relationship with the truth which thus makes /pol/ so uniquely productive of bullshit. Image 2: Original pizzagate post on 4chan/pol/When #Pizzagate started trending on Twitter on 4 November 2017, it became clear that much of the narrative, and in particular the ‘pizza connection’, was based on arcane (if not simply ridiculous) interpretations of a cache of e-mails belonging to Hillary Clinton’s campaign manager John Podesta released by Wikileaks during the final weeks of the campaign. While many of the subsequent journalistic exposé would claim that Pizzagate began on 4chan, they did not explore its origins, perhaps because of the fact that 4chan does not consistently archive its threads. Our analysis overcame this obstacle by using a third party archive, Archive4plebs, which allowed us to pinpoint the first instance of a thread (/pol/) that discussed a connection between the keyword “pizza” and the leaked e-mails (Image 2).Image 3: 4chan/pol/ Pizzagate general threadsStarting with the timestamp of the first thread, we identified a total of 18 additional general threads related to the topic of Pizzagate (see Image 3). This establishes a 25-hour timeframe in which the Pizzagate narrative was formed (from Wednesday 2 November 2016, 22:17:20, until Thursday 3 November 2016, 23:24:01). We developed a timeline (Image 4) identifying 13 key moments in the development of the Pizzagate story such as the first attempts at disseminating the narrative to other platforms such as the Reddit forum r/The_Donald a popular forum whose reactionary politics had arguably set the broader tone for the Trump campaign (Heikkila).Image 4: timeline of the birth of Pizzagate. Design by Elena Aversa, information design student at Density Design Lab.The association between the Clinton campaign and pedophilia came from another narrative on 4chan known as ‘Orgy Island’, which alleged the Clintons flew to a secret island for sex tourism aboard a private jet called "Lolita Express" owned by Jeffrey Epstein, an American financier who had served 13 months in prison for soliciting an underage prostitute. As with the Pizzagate story, this narrative also appears to have developed through the shared infrastructure of Pastebin links included in general posts (Pastebin) often alongside Wikileaks links.Image 5: Clues about “pizza” being investigatedOrgy Island and other stories were thus combined together with ‘clues’, many of which were found in the leaked Podesta e-mails, in order to imagine the connections between pedophila and pizza. It was noticed that several of Podesta’s e-mails, for example, mentioned the phrase ‘cheese pizza’ (see Image 5), which on 4chan had long been used as a code word for ‘child pornography’ , the latter which is banned from the site.Image 6: leaked Podesta e-mail from Marina AbramovicIn another leaked e-mail, for example, sent to Podesta from the renowned performance artist Marina Abramovich (see Image 6), a reference to one of her art projects, entitled ‘Spirit Cooking’ — an oblique reference to the mid-century English occultist Aleister Crowley — was interpreted as evidence of Clinton’s involvement in satanic rituals (see Image 7). In the course of this one-day period then, many if not most of the coordinates for the Pizzagate narrative were thus put into place subsequently to be amplified by a new breed of populist social media activists in protest against a corrupt Democratic establishment.Image 7: /pol/ anon’s reaction to the e-mail in Image 6During its initial inception on /pol/, there was the apparent need for visualisations in order make sense of all the data. Quite early on in the process, for example, one anon posted:my brain is exploding trying to organize the connections. Anyone have diagrams of these connections?In response, anons produced numerous conspiratorial visualisations, such as a map featuring all the child-related businesses in the neighbourhood of the D.C. pizza parlor — owned by the boyfriend of the prominent Democratic strategist David Brock — which seemed to have logos of the same general shape as the symbols apparently used by pedophiles, and whose locations seems furthermore to line up in the shape of a satanic pentagram (see Image 8). Such visualisations appear to have served three purposes: they helped anons to identify connections, they helped them circumvent 4chan’s purging process — indeed they were often hosted on third-party sites such as Imgur — and finally they helped anons to ultimately communicate the Pizzagate narrative to a broader audience.Image 8. Anonymously authored Pizzagate map revealing a secret pedophilia network in D.C.By using an inductive approach to categorise the comments in the general threads a set of non-exclusive codes emerged, which can be grouped into five overarching categories: researching, interpreting, soliciting, archiving and publishing. As visualised in Image 9, the techniques used by anons in the genesis of Pizzagate appears as a kind of vernacular rendition of many of the same “digital methods” that we use as Internet researchers. An analysis of these techniques thus helps us to understanding how a grammatised form of collective action arises out of anons’ negotiations with the affordances of 4chan — most notably the constant purging of threads — and how, in special circumstances, this can lead to bullshit accumulation.Image 9: vernacular digital methods on /pol/ ConclusionWhat this analysis ultimately reveals is how 4chan/pol/’s ephemerality affordance contributed to an environment that is remarkably productive of bullshit. As a type of knowledge-accumulation, bullshit confirms preconceived biases through appealing to emotion — this at the expense of the broader shared epistemic principles, an objective notion of “truth” that arguably forms the foundation for public reason in large and complex liberal societies (Lynch). In this sense, the bullshit of Pizzagate resonates with Hannah Arendt’s analysis of totalitarian discourse which nurtures a conspiratorial redefining of emotional truth as “whatever respectable society had hypocritically passed over, or covered with corruption" (49).As right-wing populism establishes itself evermore firmly in many countries in which technocratic liberalism had formerly held sway, the demand for emotionally satisfying post-truth, will surely keep the new online bullshit factories like /pol/ in business. 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