To see the other types of publications on this topic, follow the link: United States – Economic conditions – 1971-.

Journal articles on the topic 'United States – Economic conditions – 1971-'

Create a spot-on reference in APA, MLA, Chicago, Harvard, and other styles

Select a source type:

Consult the top 50 journal articles for your research on the topic 'United States – Economic conditions – 1971-.'

Next to every source in the list of references, there is an 'Add to bibliography' button. Press on it, and we will generate automatically the bibliographic reference to the chosen work in the citation style you need: APA, MLA, Harvard, Chicago, Vancouver, etc.

You can also download the full text of the academic publication as pdf and read online its abstract whenever available in the metadata.

Browse journal articles on a wide variety of disciplines and organise your bibliography correctly.

1

Lauritsen, Janet L., Maribeth L. Rezey, and Karen Heimer. "Violence and Economic Conditions in the United States, 1973-2011." Journal of Contemporary Criminal Justice 30, no. 1 (November 15, 2013): 7–28. http://dx.doi.org/10.1177/1043986213509024.

Full text
APA, Harvard, Vancouver, ISO, and other styles
2

Carmichael, Calum M. "Economic Conditions and the Popularity of the Incumbent Party in Canada." Canadian Journal of Political Science 23, no. 4 (December 1990): 713–26. http://dx.doi.org/10.1017/s0008423900020813.

Full text
Abstract:
AbstractThis study measures the effects of macroeconomic conditions upon the popularity of the incumbent party in Canadian federal general elections from 1945 to 1988. In so doing it uses a model similar to the retrospective voting models used in electoral studies in the United States. The results suggest that for the elections from 1945 to 1972, bad economic conditions preceding the election benefited the incumbent party. For the elections from 1974 to 1988, these effects were diminished or reversed. Such results have precedents in separate studies that use Canadian poll data. However, they contradict the general conclusion of American studies that bad conditions hurt the incumbent. This contradiction suggests that the model's assumptions about voting behaviour, which appear to be verified by the American studies, do not apply universally.
APA, Harvard, Vancouver, ISO, and other styles
3

Oliinyk, O. "JAPANESE "ECONOMIC MIRACLE": HISTORICAL DEVELOPMENT OF THE COUNTRY IN THE PERIOD OF 1945–1991." Bulletin of Taras Shevchenko National University of Kyiv. History, no. 148 (2021): 46–57. http://dx.doi.org/10.17721/1728-2640.2021.148.8.

Full text
Abstract:
The article presents the experience of Japan in the post-war reconstruction of the country in the period 1945–1991. The socio-economic situation of the country after the Second World War was considered. The historical stages of the country's development in the period under study are determined. The historical conditions in which the country found itself in the postwar period are analyzed. Key historical figures who influenced the development of the country were identified. The directions and measures of reforming and development of the country are revealed and presented. The importance of external factors and foreign policy for the country's assertion on the world stage has been proved. The factors of creating an effective political system, effective public administration, sustainable social and human development are formulated. It was proved that the United States has played an important role in forcing both Japan's political and economic systems. The United States provided Japan with significant financial, economic, and food aid to Japan. During the war between the United States and Korea and Vietnam, the United States placed military orders in Japan, which contributed to the development of the country's industrial base. It was found that the quality of the labor force, its general education and professional level played an extremely important role in the reconstruction of the economy. The effective state regulation of economic development in Japan, which on the one hand was aimed at developing the civil sector of the economy, and on the other at concentrating efforts on cooperation between government and private business at the stage of developing solutions to economic development, played a critical role in "Japanese miracle".
APA, Harvard, Vancouver, ISO, and other styles
4

Dorofeev, M. L. "Impact of Monetary Policy on the Level of Economic Inequality in the United States." MGIMO Review of International Relations 13, no. 5 (November 11, 2020): 97–114. http://dx.doi.org/10.24833/2071-8160-2020-5-74-97-114.

Full text
Abstract:
Abstract: After the reform of the world monetary system in 1971, the competition between countries for the global market is taking place in completely new conditions. Monetary and fiscal authorities have accumulated vast experience in regulating the economy and strengthening country competitive advantages through complex mechanisms of quantitative easing, foreign exchange rates manipulation, increasing debts, etc. Overcoming the consequences of the financial crises of the 21st century every time forces monetary regulators to implement increasingly radical measures in order to save the economy by injecting enormous amounts of liquidity into the market to buy out bad corporate debts as well as government debt securities. At the same time, the questions of how monetary policy affects the level of economic inequality and who is its beneficiary are becoming more relevant.The article seeks to analyze the impact of changes in monetary policy parameters on wealth inequality in the United States. Given the cyclical nature of economic inequality, the main method of research was chosen as a graphical statistical analysis, since it allows to identify trends effectively and keep in focus more than 100-year picture of changes in the analyzed indicators. For a more holistic picture, the dynamics of economic wealth inequality level were compared not only with key indicators of monetary policy, but also with the dynamics of marginal tax rates in US.One conclusion of the research is that wealth inequality depends more on fiscal adjustment and marginal tax rates than on monetary factors. Inadequate marginal income and inheritance tax rates are factors of rising of wealth inequality in US. Changing of monetary system settings also influences on the level of wealth inequality, because it affects the valuation of financial assets, and therefore the wealth of the richest people in US. Another important conclusion is the idea that the new monetary policy, despite all fears that it is a source of growing economic inequality, is acceptable with marginal income and inheritance tax rates of about 60% and with effective macroprudential regulation of US economy.
APA, Harvard, Vancouver, ISO, and other styles
5

Rosner, David, and Gerald Markowitz. "A Short History of Occupational Safety and Health in the United States." American Journal of Public Health 110, no. 5 (May 2020): 622–28. http://dx.doi.org/10.2105/ajph.2020.305581.

Full text
Abstract:
As this short history of occupational safety and health before and after establishment of the Occupational Safety and Health Administration (OSHA) clearly demonstrates, labor has always recognized perils in the workplace, and as a result, workers’ safety and health have played an essential part of the battles for shorter hours, higher wages, and better working conditions. OSHA’s history is an intimate part of a long struggle over the rights of working people to a safe and healthy workplace. In the early decades, strikes over working conditions multiplied. The New Deal profoundly increased the role of the federal government in the field of occupational safety and health. In the 1960s, unions helped mobilize hundreds of thousands of workers and their unions to push for federal legislation that ultimately resulted in the passage of the Mine Safety and Health Act of 1969 and the Occupational Safety and Health Act of 1970. From the 1970s onward, industry developed a variety of tactics to undercut OSHA. Industry argued over what constituted good science, shifted the debate from health to economic costs, and challenged all statements considered damaging.
APA, Harvard, Vancouver, ISO, and other styles
6

Plíhal, Tomáš, and Tomáš Urbanovský. "Increasing Impact Of Stock Market Performance On Government Tax Revenues." KnE Social Sciences 1, no. 2 (March 19, 2017): 333. http://dx.doi.org/10.18502/kss.v1i2.667.

Full text
Abstract:
<p class="AbstractText">The aim of this paper is to investigate the relationship between fiscal policy, economic growth and stock market in the United States. This issue has gained importance in the last decade because the market has changed. A significance break has been detected which impacts the nature of the nexus between certain variables. The correlation between the tax revenues and the stock market has increased noticeably, encouraging the revision of the current approach to fiscal policy. This study examines relationship between three variables, namely real GDP, federal government current tax receipts and the stock market represented by the Wilshire 5000 Total Market Index. Quarterly data from 1971 to 2015 are used, divided into two subsets in the year 2000, because there is an obvious change in trend and volatility of the variables. The analysis uses ADF and KPSS unit root tests to find the order of the integration of the data. Subsequent analysis applies Johansen cointegration test, vector error correction model, Granger causality tests and variance decomposition analysis. The results demonstrate that the selected variables are cointegrated, and performance of the stock market significantly increases its influence on government tax revenues in the second period. The findings of this paper are significant for policy makers. Understanding how stock market development and economic growth influence tax revenues and vice versa is crucial for the efficient implementation of successful fiscal policy. Investors in the economy of the United States will be also able to benefit from these results which will help them to understand economic conditions and improve their investment decisions. </p>
APA, Harvard, Vancouver, ISO, and other styles
7

Golomolzin, A. N. "Historical lessons on the protection and development of competition." Russian competition law and economy, no. 4 (December 30, 2019): 6–21. http://dx.doi.org/10.32686/2542-0259-2019-4-6-21.

Full text
Abstract:
The analysis of historical experience of development and protection of competition is carried out in the context of history of development of economic relations, formation and development of the Antimonopoly legislation and practice of its application. Ensuring the development and protection of competition is evaluated taking into account the values and philosophies, the development of economic doctrines, based on the ongoing changes in the economy and technological shifts. More than a thousand years of experience of antimonopoly regulation in India, the Roman Empire and Byzantium is summarized. The antitrust experience of the United States revealed based on the analysis of history of development of economic relations in the country studies of the background of the U.S. antitrust laws in the late XIX century describes the main conditions and precedents of the application of the antitrust laws of the United States, the major structural changes in the economy in the XX century. Examples of adjustment of priorities of antitrust policy of the USA in the conditions of dynamic changes in the XXI century are given. The main stages of the millennial history of market relations in Russia are considered, including the analysis of the most important monuments of Russian history (Russkaya Pravda 1016, Kormchaya kniga 1274, the Cathedral Code of Tsar Alexei Mikhailovich 1649). The basic Antimonopoly provisions of the decrees of the Peter I era, which initiated the formation of the Antimonopoly legislation and the development of competition, the Antimonopoly norms of the Criminal and Correctional Penalties Act of 1845, approved by Nikolay I for half a century of the appearance of antitrust legislation in the United States, are investigated. The history of the development of organized trade during the development of the Russian North, Siberia and the Far East, the practice of countering the monopolization and cartelization of the economy of pre-revolutionary Russia are studied. The reasons and mechanism of monopolization and cartelization of the Russian and the Soviet economy after 1917 are revealed. The ideologies of socialism and capitalism and the reasons for their isolation from the practice of economic development are assessed. The practice of formation and development of economic relations in the Soviet period is investigated.
APA, Harvard, Vancouver, ISO, and other styles
8

György, Simon. "Ireland’s “economic miracle” and globalisation." Medjunarodni problemi 57, no. 1-2 (2005): 5–30. http://dx.doi.org/10.2298/medjp0502005s.

Full text
Abstract:
The paper gives a comprehensive picture of fundamental issues connected with the Irish ?economic miracle?, with especial regard to globalisation effect. The analysis of Ireland?s economic development in the period from 1960 to 2003 answers the question why it decelerated, instead of accelerating, for a long time: two decades after the accession to the European Community in 1973 and mainly the enigma, the ?economic miracle? why the rate of growth accelerated in the decade after 1993 to an extent (on annual average to almost 8 percent) similar to that previously observed only in East Asia. The country has not only caught up economically with the European Union, but has approximated the level of development of the United States. The analysis shows that all this can be attributed not only to Ireland?s favourable conditions, but also to an adequate economic policy and foreign direct investment. The author reveals the so-called globalisation effect that in Ireland after 1993 had a decisive role in the extraordinary acceleration of economic growth.
APA, Harvard, Vancouver, ISO, and other styles
9

Nelson, Peter B. "Migration and the Regional Redistribution of Nonearnings Income in the United States: Metropolitan and Nonmetropolitan Perspectives from 1975 to 2000." Environment and Planning A: Economy and Space 37, no. 9 (September 2005): 1613–36. http://dx.doi.org/10.1068/a37170.

Full text
Abstract:
Many advanced economies have an aging population that relies heavily on government pensions, social security, and privately held investment-based income. In the United States the geography of social security and investment income (collectively called nonearnings income) is uneven. Furthermore, the ways in which migration serves to redistribute such income across space remain unstudied. This paper highlights regions in the United States that are becoming increasingly attractive to nonearnings income through migration. Overall, there is a consistent Rustbelt-to-Sunbelt shift in nonearnings income due to migration. These income shifts, however, are quite distinct between metropolitan and nonmetropolitan areas. Starting in the late 1980s, nonmetropolitan portions of the Rustbelt enjoyed net gains in nonearnings income through migration processes. Therefore, it appears that the migration systems which drew income away from the nonmetropolitan north during the 1970s are now shifting to some degree. Analysis further indicates that migration contributes to greater levels of economic disparity across space. Whereas flows of social security income are highly influenced by the aggregate level of migration, flows of investment income are more influenced by differentials in migrants' per capita income levels. Regions such as the Plains are attracting migrants with relatively low per capita nonearnings income whereas the Rocky Mountain and New England regions are attracting individuals with high per capita income. Destinations such as the Rocky Mountains and New England are likely to enjoy significant economic benefits as new sources of income arrive which are tied to migration, but the Plains region is left with less-well-off populations, which pose significant social and economic problems in such sending regions. As the population in the United States and other advanced economies ages, these processes of nonearnings income migration become increasingly important in shaping local and regional economic conditions.
APA, Harvard, Vancouver, ISO, and other styles
10

Seklivanova, Irina. "Mexican Revolution 1910-1917 and British interests." Latin-american Historical Almanac 31, no. 1 (August 26, 2021): 7–32. http://dx.doi.org/10.32608/2305-8773-2021-31-1-7-32.

Full text
Abstract:
Mexico experienced relative political stability during the period of President Porfirio Diaz. This process was accompanied by accelerated capitalist development with dependence on foreign capital and the preservation of precapitalist features. The President of the country Diaz created favorable conditions for the penetration of foreign capital into the country's economy. Great Britain has shown an interest in establishing strong economic relations with the Mexican state, seeking to consolidate its economic dominance in the Latin American market. With the backing of the Diaz government in Mexico, major British entrepreneurs such as Whitman Pearson received favorable conditions to grow their businesses. At the same time, the country experienced a serious confrontation between Britain and the United States of America for influence on the Mexican economy and politics. The focus of the article is on the relationship between Great Britain and Mexico during the revolution of 1910-1917. The study reveals the position of London in relation to the Mexican governments replacing each other during the revolutionary events, headed by General Victoriano Huerta and the leader of the constitutionalists Venustiano Carranza.
APA, Harvard, Vancouver, ISO, and other styles
11

Tsai, Shih-Feng. "Urbanization, Public Finance and Carbon Intensity – Based on Panel Data and Error Correction Model." Journal of Sustainable Development 9, no. 1 (January 26, 2016): 23. http://dx.doi.org/10.5539/jsd.v9n1p23.

Full text
Abstract:
<span lang="EN-US">Aiming at six big emerging economies in the world, namely, China, United States, United Kingdom, Germany, France and Japan, this paper analyzes their carbon emission conditions based on the data of carbon emission, energy consumption and economic development during 1970—2008 from the statistics in the World Development Index Database (WDI) of the World Bank, and carries out empirical analyses based on theories &amp; policies and driving factors of their low carbon economy. It is found that energy intensity, economic growth and urbanization progress exert more remarkable influences on carbon intensity, and the effect of carbon emission reduction depending on government fiancé is not sustainable. Thus, this paper is intended to explain that China needs more actively promoting green sustainable towns with its sustainable development, and developing urban low carbon industries and buildings for more civilized ecological towns.</span>
APA, Harvard, Vancouver, ISO, and other styles
12

TEMKIN, MOSHIK. "CULTURE VS.KULTUR, OR A CLASH OF CIVILIZATIONS: PUBLIC INTELLECTUALS IN THE UNITED STATES AND THE GREAT WAR, 1917–1918." Historical Journal 58, no. 1 (February 9, 2015): 157–82. http://dx.doi.org/10.1017/s0018246x14000594.

Full text
Abstract:
AbstractThis article analyses the historical conditions for, and implications of, the attitudes and conduct of a number of prominent or influential public intellectuals in the United States during the Great War. It argues that many intellectuals, particularly those who supported American entry to the war, shared a general lack of concern with the realities of full-scale warfare. Their response to the war had little to do with the war itself – its political and economic causes, brutal and industrial character, and human and material costs. Rather, their positions were often based on their views of culture and philosophy, or on their visions of the post-war world. As a result, relatively few of these intellectuals fully considered the political, social, and economic context in which the catastrophe occurred. The war, to many of them, was primarily a clash of civilizations, a battle of good versus evil, civilized democracy versus barbaric savagery, progress versus backwardness, culture versus kultur. The article describes several manifestations of American intellectual approaches to the war, discusses the correlation between intellectual and general public attitudes, and concludes with some implications for thinking about the relationship between intellectuals and war in more recent American history.
APA, Harvard, Vancouver, ISO, and other styles
13

Kobets, P. N. "EXPERIENCE IN IMPROVING ECONOMIC SECURITY OF JAPAN IN THE PERIOD 1950-1970 BASED ON CREATING A NEW EFFECTIVE ECONOMIC MODEL." Scientific Review: Theory and Practice 10, no. 4 (May 4, 2020): 676–84. http://dx.doi.org/10.35679/2226-0226-2020-10-4-676-684.

Full text
Abstract:
The author chose as a subject of the research and analysis the causes and conditions that led to constructing a new Japanese economic model, which provided the annual growth in the country’s economy in the 1950-1970s. The goal was to find out what progressive movements in the economic sphere allowed the country to ensure high economic security of the state through the revival of the economic sector and to receive the status of the second world economy after the United States at the end of the last century. The study showed that in order to strengthen the economic security of the country, in accordance with the first “Five-Year Plan of Economic Independence” published in 1955, the Japanese government was primarily engaged in the reconstruction of existing production facilities, and only then began to create new ones. In addition, the state was engaged in the active acquisition of patents, technologies, and original inventions. Against the background of favorable external conditions, the economic growth that provided the highest labor productivity in the country, which in Japan was significantly higher than the global average rate, did not stop. The country quickly joined the world scientific and technological race and began to produce some of the most attractive and high-quality goods on the international market. As a result of the formed economic policy, Japan was able to enter the world market of goods and services, having a wide variety of products - from electrical goods to highly equipped cars and ships. The author’s vision of improving the economic security of Japan in the 1950-1970s based on the construction of a new effective economic model is a novelty. The practical significance of the study consists in the possibility of using Japanese experience for improving the economic security of the Russian Federation.
APA, Harvard, Vancouver, ISO, and other styles
14

Morrow-Jones, H. A. "The Housing Life-Cycle and the Transition from Renting to Owning a Home in the United States: A Multistate Analysis." Environment and Planning A: Economy and Space 20, no. 9 (September 1988): 1165–84. http://dx.doi.org/10.1068/a201165.

Full text
Abstract:
In this paper the concepts of the housing life-cycle and housing occupancy patterns in the United States are examined. The focus is on the move from renting to owning a home in the young adult years of life. Data from the national American Housing Survey, for the years 1974–1983, are combined with the techniques of multistate demography to produce housing life summary statistics and rates of movement by age. Parameterized curves are fitted to the empirical age-rate schedules and exogenous variables used to explain variation in the parameters related to young adults. Three simple, projection scenarios are also examined. The results indicate the importance of life-cycle factors and economic conditions in the shift from renting to owning a home.
APA, Harvard, Vancouver, ISO, and other styles
15

Xanthakis, Georgios. "Motivation Theories: Validity During Economic Crisis. The Evidence of Greek Structural Design Engineers." International Business & Economics Studies 1, no. 1 (May 11, 2019): p78. http://dx.doi.org/10.22158/ibes.v1n1p78.

Full text
Abstract:
A first attempt to understand human motivation dates back to the time of Greek philosophers and focuses on hedonisms a basic driving force in human behavior One of the first studies on motivation in the workplace is the work of Frederick Taylor (1911) and his collaborators that resulted in the development of the Scientific Management theory. In the 1950s, many new models of employees motivation emerged, while in the mid-1960s, a new approach to studying work motivation emerged, that focused on outlining the processes that could explain job motivation. These American motivation theories reflect the cultural environment of the United States of the late 19th and 20th century and were developed based on American national culture in conditions of rapid economic growth. In Greece during 2010-2018 a great economic crisis happened resulted in high and constantly increasing unemployment rates, and a reduction in the well-being. It may be therefore not be particularly suited to studying cases that escaped this particular socio-economic model or required a rethink of the importance of the motivation factors considered by them.
APA, Harvard, Vancouver, ISO, and other styles
16

Coates, Benjamin A. "The Secret Life of Statutes: A Century of the Trading with the Enemy Act." Modern American History 1, no. 2 (May 16, 2018): 151–72. http://dx.doi.org/10.1017/mah.2018.12.

Full text
Abstract:
In 1917 Congress passed the Trading with the Enemy Act to prevent trade with Germany and the Central Powers. It was a wartime law designed for wartime conditions but one that, over the course of the following century, took on a secret, surprising life of its own. Eventually it became the basis for a project of worldwide economic sanctions applied by the United States at the discretion of the president during times of both war and peace. This article traces the history of the law in order to explore how the expansion of American power in the twentieth century required a transformation of the American state and the extensive use of executive powers justified by repeated declarations of national emergency.
APA, Harvard, Vancouver, ISO, and other styles
17

Hawkins, H. Gene, Kay Fitzpatrick, and Marcus A. Brewer. "Developing and Implementing Manual on Uniform Traffic Control Devices Criteria for Selecting Traffic Control for Unsignalized Intersections." Transportation Research Record: Journal of the Transportation Research Board 2673, no. 11 (June 14, 2019): 319–31. http://dx.doi.org/10.1177/0361198119847979.

Full text
Abstract:
The 2009 United States Manual on Uniform Traffic Control Devices (MUTCD) includes guidance for the use of various types of traffic control at unsignalized intersections. Despite changes and advances in traffic engineering in recent decades, the MUTCD content related to selection of traffic control in Part 2B has seen only minor changes since 1971. The types of unsignalized traffic control addressed in the current research included no control, yield control, two-way stop control, and all-way stop control. The research team developed recommendations using information available from reviews of existing literature, policies, guidelines, and findings from an economic analysis along with the engineering judgment of the research team and panel. The researchers then developed recommended language for the next edition of the MUTCD for unsignalized intersections. This includes consideration of high-speed (rural) and low-speed (urban) conditions along with the number of legs at the intersection. Because the number of expected crashes at an intersection is a function of the number of legs, the decision on appropriate traffic control should also be sensitive to the number of legs present. The proposed language includes introductory general considerations, discusses alternatives to changing right-of-way control, and steps through the various forms of unsignalized control from least restrictive to most restrictive, beginning with no control and concluding with all-way stop control.
APA, Harvard, Vancouver, ISO, and other styles
18

Collins, Ahmed, and Meera. "Simulation of the Grondona System of Conditional Currency Convertibility Based on Primary Commodities, Considered as a Means to Resist Currency Crises." Journal of Risk and Financial Management 12, no. 2 (April 29, 2019): 75. http://dx.doi.org/10.3390/jrfm12020075.

Full text
Abstract:
Currency crises are a significant feature of the present-day world economy, in which financial transactions are many times larger than monetary flows in the “real economy”, so that defending a currency’s exchange-rate is a major challenge for the governments of countries which may be smaller than a single large corporation. It is made even more difficult due to the United States government and its agents openly using economic pressures to try to force other countries to obey its orders, even including regime change. Guaranteed convertibility of a currency, such as maintaining a gold standard, can in principle help to stabilise its value, but this has been absent since the end of US dollar convertibility in 1971. The Grondona system of conditional currency convertibility was not planned as a counter-measure for currency crises. However the simulation of its operation demonstrated in this paper shows clearly how its automatic counter-cyclical stock-holding in response to movements in commodity prices—and so to exchange-rate movements that alter domestic commodity prices—causes monetary flows that would resist large exchange-rate movements (among other effects), and thereby tend to ameliorate a currency crisis. Moreover, it would achieve this without the need for international negotiations, agreements or other geopolitical trade-offs.
APA, Harvard, Vancouver, ISO, and other styles
19

Rubin, Joshua D., Susanna Fioratta, and Jeffrey W. Paller. "Ethnographies of emergence: everyday politics and their origins across Africa Introduction." Africa 89, no. 03 (July 16, 2019): 429–36. http://dx.doi.org/10.1017/s0001972019000457.

Full text
Abstract:
The articles that appear in this part issue focus on disparate topics, from rumours of electoral fraud to the production of art, and span the African continent from Guinea and Ghana in the west to Zimbabwe in the south. Despite their evident differences, the contributors see their pieces as united by a common theme: emergence. Elaborating on Simone's influential exploration of the intertwined concepts of emergence and emergency (2004), as well as prior research in Africa on informal economic practices (the exchange of goods and services unregulated by states) (Hart 1973; Piot 2010; Roitman 2004; Weiss 2009), we consider emergence to be the process by which new social formations become thinkable, repeatable, and even – at times – habitual. Although conditions of crisis or precarity or even revolutionary upheaval might be fertile ground for emergence, insofar as these social conditions represent ‘rupture[s] in the organization of the present’ (Simone 2004: 4), the articles here also show that new social practices do not emerge out of nowhere. Rather, these articles demonstrate that attention to quotidian encounters can illuminate how citizens mobilize previously existing norms and patterns of behaviour in response to social change or economic crisis.
APA, Harvard, Vancouver, ISO, and other styles
20

Amira, Khaled, and Mark L. Muzere. "Collateral and Yield Spread of Syndicated Loans." Accounting and Finance Research 7, no. 3 (June 27, 2018): 180. http://dx.doi.org/10.5430/afr.v7n3p180.

Full text
Abstract:
We examine factors that influence the use of collateral in syndicated loans and explore debt contract theories under adverse selection and moral hazard. Using a probit model (Agresti, 2007) to analyse syndicated loan data (1987-2007) for firms in the United States, we find that loan and borrower specific factors and general economic conditions as well are significant in explaining the presence of collateral in these loans. Further testing exploring the relationship between collateral and yield spread of syndicated loans while using an econometric procedure (Heckman, 1976; Lee, 1978) to control for the simultaneity between the decision to use collateral and the determination of the yield spread confirms the empirical predictions of the moral hazard debt theory. The use of collateral reduces risk and the cost of borrowing for syndicated loans, providing further clarification to the mixed empirical evidence in the literature.
APA, Harvard, Vancouver, ISO, and other styles
21

Morawska, Ewa. "Labor Migrations of Poles in the Atlantic World Economy, 1880–1914." Comparative Studies in Society and History 31, no. 2 (April 1989): 237–72. http://dx.doi.org/10.1017/s0010417500015814.

Full text
Abstract:
The recent influx to the United States of a new large wave of immigrants from Hispanic America and Asia has reinvigorated immigration and ethnic studies, including those devoted to the analysis of the origins and process of international migrations. The accumulation of research in this field in the last fifteen years has brought about a shift in the theoretical paradigm designed to interpret these movements. The classical approach explains the mass flow into North America of immigrants (from Southern and Eastern Europe, in the period 1880 to 1914), as an international migration interpreted in terms of push and pull forces. Demographic and economic conditions prompted individuals to move from places with a surplus of population, little capital, and underemployment, to areas where labor was scarce and wages were higher (Jerome, 1926; Thomas, 1973; Piore, 1979; Gould, 1979). This interpretation views individual decisions and actions as the outcome of a rational economic calculation of the costs and benefits of migration. Recent studies of international population movements have reconceptualized this problem, recasting the unit(s) of analysis from separate nation-states, linked by one-way transfer of migrants between two unequally developed economies, to a comprehensive economic system composed of a dominant core and a dependent periphery— a world system that forms a complex network of supranational exchanges of technology, capital, and labor (Castells, 1975; Cardoso and Faletto, 1979; Kritz, 1983; Sassen-Koob, 1980; Portes, 1978; Portes and Walton, 1981; Wood, 1982). In this conceptualization, the development of the core and the underdevelopment of the peripheral societies are seen not as two distinct phenomena, but as two aspects of the same process—the expanding capitalist world system, explained in terms of each other. Generated by the economic imbalances and social dislocations resulting from the incorporation of the peripheries into the orbit of the core, international labor migrations between the developing and industrialized regions are viewed as part of a global circulation of resources within a single system of world economy. This interpretation shifts the central emphasis from the individual (and his/her decisions) to the broad structural determinants of human migrations within a global economic system.
APA, Harvard, Vancouver, ISO, and other styles
22

Tôth, M., P. M. Guerin, H. R. Buser, H. Müller, G. Szöcs, G. Sziráki, and H. Arn. "Z-11-TETRADECENYL ACETATE: SEX ATTRACTANT OF AGAPETA ZOEGANA (LEPIDOPTERA: TORTRICIDAE), A POTENTIAL SPECIES FOR THE BIOLOGICAL CONTROL OF KNAPWEED." Canadian Entomologist 117, no. 9 (September 1985): 1163–65. http://dx.doi.org/10.4039/ent1171163-9.

Full text
Abstract:
In Canada, 78 of the most important weed species are introductions from Eurasia (Frankton and Mulligan 1970). Classical biological control aims to reduce the density of alien weeds below the economic threshold through introduction of specific herbivores from the native distribution area (Peschken 1979). During extended field surveys in central and southeastern Europe, the Commonwealth Institute of Biological Control established the root-mining tortricid Agapeta zoegana Haw. as a promising control agent for Centaurea diffusa Lam. and C. maculosa Lam., 2 important ranch weeds in southwestern Canada (Harris and Myers 1984) and the northwestern United States (Maddox 1982). Due to the limited host range and suitable climatic conditions this moth was chosen for introduction into North America (Müller et al. 1982; Müller 1984). We wish to report an attractant that may be used to monitor the establishment of this beneficial species in its new habitat.
APA, Harvard, Vancouver, ISO, and other styles
23

Gabaccia, Donna. "The Transplanted: Women and Family in Immigrant America." Social Science History 12, no. 3 (1988): 243–53. http://dx.doi.org/10.1017/s0145553200018551.

Full text
Abstract:
As any casual reader of John Bodnar’s major new synthesis, The Transplanted (1985), knows, the family is the central analytical concept in this work. Bodnar (1985: xvii) asks us to see immigrants’ adjustment to life in the United States in a new way—taking place at all “the points where immigrant families met the challenges of capitalism and modernity: the homeland, the neighborhood, the school, the workplace, the church, the family and the fraternal hall.” This represents a significant change—I would argue, an advance—over earlier studies which focused on the confrontation of ethnic groups with American society, on the interaction of modern and traditional cultures, or on the peculiarities of American class struggle (Handlin, 1951; Archdeacon, 1983; Cumbler, 1986).By focusing on small family units and a large economic system, Bodnar is able to escape from the confines of the case history, which has dominated immigration history since the late 1960s. Furthermore, he is able to focus quite properly on the considerable fragmentation that characterized most immigrant communities in the United States. Because small groups of immigrants responded to capitalism, they inevitably made differing decisions, both socially and ideologically; they also supported leaders with fundamentally conflicting views of the best interests and futures for immigrant communities. Bodnar’s immigrants, in other words, are human beings who make history, although never under conditions which they themselves determined. Furthermore, they are not isolated economist decision makers.
APA, Harvard, Vancouver, ISO, and other styles
24

Chung, Joseph H. "La nature du déclin économique de la région de Montréal." Industrie manufacturière 50, no. 3 (July 9, 2009): 326–41. http://dx.doi.org/10.7202/803051ar.

Full text
Abstract:
Abstract There are definitely signs of economic difficulties in the Montreal area. The growth of population, the rate of unemployment, the productivity of its manufacturing industries, the exodus of head offices of major financial institutions and corporations and several other key indicators of economic growth suggest that the Montreal area has been going through a profound economic malaise. The basic question one might raise is whether such economic difficulties reflect a secular stagnation or merely a cyclical recession. This paper is addressed to this question. This paper's thesis is that economic difficulties and the loss of economic supremacy of Montreal are not a matter of cyclical recession and that they are the consequences of a secular stagnation which began as early as 1970's. Started originally by fur and wheat trade and, later, by the trade of iron ore and other minerals, stimulated by railroad and telecommunications, Montreal largely dominated Toronto until 1920's. However, during the decades that followed, while Toronto was taking advantage of the westward shift of economic frontiers in the United States and was rapidly adopting its economy to changing economic conditions, Montreal was unable to readjust its industrial structure to new market and technological requirements. As a result, Montreal has been loosing its traditional market in the West as well as in the Atlantic provinces and the economic gap between Toronto and Montreal in favor of the former has been widening ever since. This is illustrated well by the evolution of the value of building permits. In short, recent economic difficulties in the Montreal area reflect a secular stagnation of its economy and are not the result of a cyclical recession. In light of these considerations, it is clear that needed remedies require something much more then policies applied so far by the government.
APA, Harvard, Vancouver, ISO, and other styles
25

MINAT, V. N. "EVOLUTION OF THE USA HEALTHCARE: EFFECTIVENESS, SAFETY, QUALITY AND ACCESS TO HEALTHCARE." Central Russian Journal of Social Sciences 16, no. 3 (2021): 200–234. http://dx.doi.org/10.22394/2071-2367-2021-16-3-200-234.

Full text
Abstract:
The relevance of the study of the evolution of the socially significant sphere of the United States of America, located at the point of bifurcation of socio-economic development, one way or another concerns the entire global community. The main aim of the study is to identify trends in the evolution of American health care in terms of ensuring the effectiveness, safety, quality and accessibility of medical services. Its achievement is based on the traditional methodological basis of statistical and economic analysis of the average annual growth of the main indicators of the development of American health care during the formation of its modern organizational-functional structure in 1951-2020. The results obtained reflect the general direction of the evolution of the USA health care as a haphazard complex mechanism functioning in direct resonance with socio-economic cyclicality. Identified trends in the evolution of healthcare in the context of the extraordinary commercialization of medicine and insurance dependence of patients on market conditions. Analysis of long-term development indicators of the USA health care dynamics reveals rather low results of permanent reforms of national health care due to the adjustment of their parameters and indicators to the existing concept of free market relations in the relevant market of medical goods and services. The limitation of the market mechanism in the use of potential resources of American health care, which is generally provided with both financial and innovative and technological potential, is revealed.
APA, Harvard, Vancouver, ISO, and other styles
26

Habibullah, Muzafar Shah. "The Rationality Of Economic Forecasts: The Cases Of Rubber, Oil Palm, Forestry And Mining Sector." Agro Ekonomi 10, no. 1 (November 29, 2016): 67. http://dx.doi.org/10.22146/agroekonomi.16788.

Full text
Abstract:
Forecasts of economic variables is very important for planning and policy making purposes. Forecasts is an important input in decision making processes because obtaining reliable forecasts of some relevant macroeconomic variables is necessary for efficient management of funds, time and resources.Business has always recognised the need for a view of the future and has used explicit forecasts in the design and execution of their economic andJor business policies. For example, a firm trying to decide upon its investment programme will have to take into account not only the current known set of circumstances but also the unknown economic and business conditions in the future. The firm has to form a view about the future, such as the likely sales, costs, prices, competitors' reactions, labour requirements, government regulations and so on. These views about the future values of economic variables are frequently referred to as 'expectations', that is, what the firm expects to happen in the future.In recent years the performances of many microeconomics and macroeconomics series have been erratic. For example, rate of inflation, price of crude oil, prices of primary commodities, rate of interest and other pertinent economic variables have been fluctuating widely and have caused concern among the public, politicians, economists and also the businessmen. According to Mayes (l 981), with such non-uniformity of economic variables observed in the last two decades, the role of expectations has become more relevant in the economic agents' decision making process. Mayes (1981) further states that under the present conditions it has become more important to consider what expectations actually are and how they are formed.The value of economic forecasts of certain macroeconomic variables can be derived from several methods. The three main methods for deriving economic forecasts are (i) time series, (ii) econometric models, and (iii) survey of intentions of concerned agents and organizations. Time seriesanalysis and econometric modeling are the two most widely used methods in economic forecasting, but Holden and Peel (1983) had noted their drawbacks. Recently, economists have turned their direction of interest in evaluating the rationality of economic forecasts from surveys of market participants. The empirical literature on the direct tests of the rational expectations hypothesis is vast and growing. Holden et al. (1985), Lovell (1986), Wallis (1989), Maddala (1991) and Pesaran (1991) had reviewed some of these studies. The aim was to determine whether survey data on economic forecasts are accurate in the Muth's (1961) sense, that is, whether participating economic agents used all available information at the time forecasts are made. in other words, the rational expectations hypothesis of the economic forecast was put to test. In general, the empirical studies do not support the rational expectations hypothesis.Most of the studies carried out to evaluate the rationality of business firms' forecasts of economic variables were conducted on developed nations. Madsen (1993) studies the formation of output expectations in manufacturing industry in Japan, Denmark, Finland, France, Germany, Netherlands, Norway, Sweden and the United Kingdom. He found that the rational expectations hypothesis was weakly rejected. Williams (1988) and Chazelas (1988) found investment forecasts biased predictors of the actual investment value for firms in the United Kingdom and France. Meganck et a!. (1988) have concluded that investment forecasts of the manufacturing firm in Belgium were unbiased predictors of the actual values. However. Daub (1982) failed to find any rationality of the Canadian capital investment intention survey data. On the other hand. a study by Leonard (1982) on employment forecasts by the United States services sectors found that the forecasts were biased and the rationality of these employment forecasts rejected.The purpose of this paper is to present some empirical evidence on the rationality of agricultural firm managers' expectations using survey data. This study is important because it adds to the current literature on the testing of rationality of survey data, in particular, it provides empirical evidence from the perspective of a developing country. As for the country under study, the finding of the study could establish whether the forecasts documented by such survey are accurate or not; and if not, ways to produce more accurate forecasts must be found. 'Rationality' in this paper means that managers in agricultural firms have unbiased expectations and efficiently utilised available information at the time the forecasts are made.
APA, Harvard, Vancouver, ISO, and other styles
27

Anstead, Gregory M. "History, Rats, Fleas, and Opossums. II. The Decline and Resurgence of Flea-Borne Typhus in the United States, 1945–2019." Tropical Medicine and Infectious Disease 6, no. 1 (December 28, 2020): 2. http://dx.doi.org/10.3390/tropicalmed6010002.

Full text
Abstract:
Flea-borne typhus, due to Rickettsia typhi and R. felis, is an infection causing fever, headache, rash, and diverse organ manifestations that can result in critical illness or death. This is the second part of a two-part series describing the rise, decline, and resurgence of flea-borne typhus (FBT) in the United States over the last century. These studies illustrate the influence of historical events, social conditions, technology, and public health interventions on the prevalence of a vector-borne disease. Flea-borne typhus was an emerging disease, primarily in the Southern USA and California, from 1910 to 1945. The primary reservoirs in this period were the rats Rattus norvegicus and Ra. rattus and the main vector was the Oriental rat flea (Xenopsylla cheopis). The period 1930 to 1945 saw a dramatic rise in the number of reported cases. This was due to conditions favorable to the proliferation of rodents and their fleas during the Depression and World War II years, including: dilapidated, overcrowded housing; poor environmental sanitation; and the difficulty of importing insecticides and rodenticides during wartime. About 42,000 cases were reported between 1931–1946, and the actual number of cases may have been three-fold higher. The number of annual cases of FBT peaked in 1944 at 5401 cases. American involvement in World War II, in the short term, further perpetuated the epidemic of FBT by the increased production of food crops in the American South and by promoting crowded and unsanitary conditions in the Southern cities. However, ultimately, World War II proved to be a powerful catalyst in the control of FBT by improving standards of living and providing the tools for typhus control, such as synthetic insecticides and novel rodenticides. A vigorous program for the control of FBT was conducted by the US Public Health Service from 1945 to 1952, using insecticides, rodenticides, and environmental sanitation and remediation. Government programs and relative economic prosperity in the South also resulted in slum clearance and improved housing, which reduced rodent harborage. By 1956, the number of cases of FBT in the United States had dropped dramatically to only 98. Federally funded projects for rat control continued until the mid-1980s. Effective antibiotics for FBT, such as the tetracyclines, came into clinical practice in the late 1940s. The first diagnostic test for FBT, the Weil-Felix test, was found to have inadequate sensitivity and specificity and was replaced by complement fixation in the 1940s and the indirect fluorescent antibody test in the 1980s. A second organism causing FBT, R. felis, was discovered in 1990. Flea-borne typhus persists in the United States, primarily in South and Central Texas, the Los Angeles area, and Hawaii. In the former two areas, the opossum (Didelphis virginiana) and cats have replaced rats as the primary reservoirs, with the cat flea (Ctenocephalides felis) now as the most important vector. In Hawaii, 73% of cases occur in Maui County because it has lower rainfall than other areas. Despite great successes against FBT in the post-World War II era, it has proved difficult to eliminate because it is now associated with our companion animals, stray pets, opossums, and the cat flea, an abundant and non-selective vector. In the new millennium, cases of FBT are increasing in Texas and California. In 2018–2019, Los Angeles County experienced a resurgence of FBT, with rats as the reservoir.
APA, Harvard, Vancouver, ISO, and other styles
28

Serediuk, V. V. "The role and meaning of the state in neoconservatism." INTERPRETATION OF LAW: FROM THE THEORY TO THE PRACTICE, no. 12 (2021): 227–32. http://dx.doi.org/10.33663/2524-017x-2021-12-39.

Full text
Abstract:
Neoconservatism as an ideological and political-economic system of knowledge contains a number of ideas about the role, tasks, purpose and meanings of the modern state, its relationship with social institutions (family, church, NGOs), as well as its role in economic relations. American neoconservatism, in contrast to British or German, is also characterized by attention to the foreign policy function of the state. Reconsideration of the role, tasks and significance of the state in various spheres of society and in international relations in modern conditions determines the relevance of our study of this issue. Neoconservatism, the ideas of which were implemented in the policies of the conservative parties of the United States, Great Britain, and Germany in the 1970-1990s, continues to influence the implementation of national and international policies of various states to this day. Neoconservatism, unlike neoliberalism, offers a different understanding of the role and meaning of the modern state. Traditional values are ideologically substantiated and promoted: family, religion, morals, community, and the state. An important place in neoconservatism is given to social institutions, the need to overcome isolation of the individual from the institution of community (religious, social, government). The integration of the individual into social institutions and the return of the importance of the state authority in the worldview of the individual are considered priorities of state influence. American neoconservatism substantiates the US foreign policy function – to protect the democratic values in international relations. In the economic sphere, neoconservatives insist on reducing government intervention in market relations, returning to the ideals of classical economic liberalism, and taking a number of fiscal and monetary policy measures to reduce inflation, unemployment, and stimulate economic development. Although neoconservatism recognizes the need to build a strong state, it is not seen as authoritarian, encroaching on,restricting or abolishing human and civil rights and freedoms recognized in democracies after World War II. However, freedom is understood as a sphere of free behavior of the individual, which exists in relations with other members of society and is limited by the freedom of another person. Keywords: neoconservatism, state, role, individual, social institutions, traditional values, intervention, economy, law.
APA, Harvard, Vancouver, ISO, and other styles
29

Creighton, Janean H., and David M. Baumgartner. "Washington State's Forest Regulations: Family Forest Owners' Understanding and Opinions." Western Journal of Applied Forestry 20, no. 3 (July 1, 2005): 192–98. http://dx.doi.org/10.1093/wjaf/20.3.192.

Full text
Abstract:
Abstract Washington State has one of the most restrictive sets of Forest Practice Rules (FPR) in the United States. In 1974, the Washington State legislature passed the Forest Practice Act, with the intent of improving environmental conditions by regulating forest practices such as road building, harvesting methods, and the use of chemicals. We found that a knowledge gap exists within the private forest landowner community in Washington State with regards to some state and federal environmental regulations. The larger-acreage landowners with longer ownership tenures were more familiar with forest regulations than were the newer smaller-acreage landowners, based on a survey conducted in 2002. Regardless of regulation familiarity, a substantial number of respondents expressed concern over the limits placed on their ability to manage their lands as they see fit. This sentiment does not seem to arise purely from the potential for economic loss, because timber does not appear to be an important component of respondent incomes. Rather, the loss of management control and government restrictions placed on private property rights may be more significant. Agencies responsible for enforcing these regulations need to recognize that changes are taking place in the greater forest landowner community, and that the approaches of the past may no longer be appropriate for the future. West. J. Appl. For. 20(3):192–198.
APA, Harvard, Vancouver, ISO, and other styles
30

Johnson, Erik W., and Philip Schwadel. "Political Polarization and Long-Term Change in Public Support for Environmental Spending." Social Forces 98, no. 2 (January 22, 2019): 915–41. http://dx.doi.org/10.1093/sf/soy124.

Full text
Abstract:
Abstract Public support for environmental protection has evinced declines in recent years that are widely attributed to growing antipathy among self-identified Republicans. Fractures in what was long considered broad and enduring support for the environment in the United States have called attention to the broader socio-political context in which individual opinion on the environment is formed, and especially the role of political parties and their leaders in shaping opinion. Empirical analyses of environmental support, however, remain strongly focused on individual-level correlates of support. We apply recent methodological advances in age-period-cohort models to scrutinize changes in Americans’ willingness to pay more for environmental protection between 1973 and 2014. Analyses distinguish the importance of individual traits, such as political identification, from cohort and especially period-based fluctuations that result from changing economic and political conditions. Individual-level covariate results are reflective of previous research on environmental opinion (e.g., age is negatively and education positively associated with environmental support). We further find that political context across time periods matters as much as, and interacts with, individual political affiliation to influence support for the environment. Americans of all political stripes demonstrate decreases in support for environmental spending during Democratic presidential administrations and during difficult economic times. Declines during Democratic presidencies are especially pronounced among Republicans. Analyses also highlight parallels between the high levels of political polarization in environmental support found at the end of the Obama Presidency and the end of the Carter era.
APA, Harvard, Vancouver, ISO, and other styles
31

Bogin, Alexander N., William M. Doerner, and William D. Larson. "Local House Price Paths: Accelerations, Declines, and Recoveries." Journal of Real Estate Finance and Economics 58, no. 2 (December 23, 2017): 201–22. http://dx.doi.org/10.1007/s11146-017-9643-y.

Full text
Abstract:
Abstract Mortgage credit risk measurement hinges on the choice of a house price stress path, which is used to project loan losses and determine financial capital requirements. House price paths are commonly constructed at national or state levels and shock scenarios are created to mimic historical adverse market conditions. We provide evidence that this level of geographic aggregation is not granular enough in many cases—collateral risk often varies within cities. Using local house price indices that cover the United States from 1975 to 2016, we focus on house price performance in the years immediately following sustained periods of rapid acceleration. Price accelerations tend to exhibit temporal clustering and occur with greater frequency in large versus small cities. We exploit within-city variation in price dynamics to provide evidence that price initially overshoot sustainable levels but, in some areas, dynamics may reflect positive underlying economic fundamentals and can be sustained. After accelerating, price reach their trough after 4 or 5 years. Small cities show uniform declines whereas large cities exhibit greater price decreases farther away from city centers. These findings suggest differential collateral risk exists in large cities, financial losses can be predictable based on real estate location theory, and localized house price paths could aid credit risk management.
APA, Harvard, Vancouver, ISO, and other styles
32

Schaeffer-Novelli, Yara, and Gilberto Cintron. "Status of mangrove research in Latin America and the Caribbean." Boletim do Instituto Oceanográfico 38, no. 1 (1990): 93–97. http://dx.doi.org/10.1590/s0373-55241990000100010.

Full text
Abstract:
For those in the eastern hemisphere, the most striking characteristic of New World mangroves must be their low diversity. However, this apparent simplicity is deceptive, New World mangrove species are extraordinarily plastic in their adaptations to their environment. On a geographic basis mangroves attain their greatest development where rainfall and tidal subsidies are abundant. These conditions occur in the northwest part of South American continent and on the eastern seabord, south of the Gulf of Paría (Venezuela) to São Luís, in Brazil. In the 1970's events related to the developing environmental movement in the United States led to a marked interest in these systems, their ecology and management, pointing out the ecological role of mangroves as sources of organic matter to estuarine food webs.The economic recession of the 80's and its impact on funding agencies, both national and international, and changing national priorities have dramaticaly curtailed scientific research. Research in the region is now almost totally supported by local institutions.The alarming rate at which mangroves are being destroyed in the region requires that prompt action be taken to develop a regional program such as the one recommended in the UNESCO Cali 1978 meeting, capable of fostering and supporting ecosystemic research, the development and compilation of management guidelines and the training of scientific personnel, resource managers, and providing for public environmental education. These guidelines and strategies for effective management of a complex resource can only be developed through research.
APA, Harvard, Vancouver, ISO, and other styles
33

Kerman, Monique. "The Aesthetics of Migration in an Age of Anxiety." Nka Journal of Contemporary African Art 2019, no. 45 (November 1, 2019): 114–26. http://dx.doi.org/10.1215/10757163-7916916.

Full text
Abstract:
Propelled by the sometimes opportunistic, sometimes desperate desire for better living conditions, migrants leave one land to occupy another. This act is inherently transgressive; whether this transgression is justified as “progress” or used as fodder for persecution depends on who controls the historical narrative. In recent work, artists Zineb Sedira, Allan deSouza, and Mary Evans express both the instability of the migrant as a cipher and the anxieties that the migratory experience creates. The current global refugee crisis has fanned the flames of xenophobia and virulent nationalism in Europe and the United States, and these works offer a rebuttal to degrading rhetoric and imagery that stigmatizes the migrant. Sedira’s 2008 photographs and 2009 videos of a Mauritanian ship graveyard evoke desperate emigration as well as economic stagnation and environmental degradation. DeSouza’s World Series (2011), inspired by Jacob Lawrence’s Migration Series (1941), suggests bodily movement within a matrix of geopolitical, state-controlled, and natural environments, while referencing historical precedents such as Columbus. Evans’s series Please Do Not Bend (2015–16) is a touching tribute to the resilience of Africans and their descendants who have migrated, voluntarily or by force, over the centuries. In Evans’s Thousands Are Sailing (2016), anonymous silhouettes of brown bodies are in a liminal space, unmoored from one nation and locked out of another. Migration is an unstable experience, and an equally unstable subject. These works reclaim the imagery associated with the “abject immigrant” to restore their agency as well as their humanity.
APA, Harvard, Vancouver, ISO, and other styles
34

Villalobos, C., and Barry Keller. "Small Mammal Distributions in Riparian and Adjacent Habitats of Grand Teton National Park, Wyoming." UW National Parks Service Research Station Annual Reports 16 (January 1, 1992): 133–39. http://dx.doi.org/10.13001/uwnpsrc.1992.3099.

Full text
Abstract:
Riparian ecosystems are among the most productive biological systems providing food, water, shade, and cover for wildlife (Thomas et al. 1979a). Furthermore, they may display a greater diversity of plant and animal species and vegetative structure than adjacent ecosystems (USDI 1986). Thomas et al. (1979a) provide a descriptive definition which characterizes riparian ecosystems by the presence of trees, shrubs, or herbaceous vegetation that require free or unbound water, or conditions that are more moist than those of the surrounding areas. They suggest that more wildlife species depend entirely on or spend disproportionally more time in riparian habitat than any other. Although the importance of riparian vegetation to wildlife has been apparent since the 1970's, its overall importance to vertebrate species has not been widely studied, especially in the western United States (Patton 1977). Elsewhere, there is a paucity of information on the ecological role of small mammals in riparian areas. Because small vertebrate species may serve as an especially important link in the food chain of threatened, endangered, or reintroduced species, and because small mammal species seem to be compacted in environmentally diverse areas, analysis of riparian vertebrate communities should provide important insights in mechanisms of habitat subdivision and utilization. Clearly, riparian areas contain a greater variety of species than adjoining forest or upslope habitats (Cross 1985). The effect of patch shape on the number of species occupying riparian habitats also has received limited attention (Patton 1975). Because riparian habitat consists of a narrow patch, the elongated shape of riparian areas produces a low interior-to­high-edge ratio which may facilitate or enhance ecological processes, especially the production and dispersal of small mammals. Unfortunately, no documentation exists about patterns of mammalian movement along stream corridors (Forman and Godron 1986). Thus, the importance of the relative use of the edge, riparian, and upland areas by small mammals needs to be investigated, especially in forested mountain land, where riparian areas tend to have smaller areal extent and economic value than upslope vegetation (Swanson et al. 1982). The principle objective of our study was to determine if consistent environmental and landscape features could be found in western riparian, edge, and upland communities, and if these features affected residency of small mammals in Grand Teton National Park. Three independent study sites were studied from June, 1991 through October, 1991 in preparation for a proposed long-term analysis of the role of riparian areas in production of small mammals.
APA, Harvard, Vancouver, ISO, and other styles
35

Wilson, Matthew A., and Stephen R. Carpenter. "Economic Valuation of Freshwater Ecosystem Services in the United States: 1971-1997." Ecological Applications 9, no. 3 (August 1999): 772. http://dx.doi.org/10.2307/2641328.

Full text
APA, Harvard, Vancouver, ISO, and other styles
36

Wilson, Matthew A., and Stephen R. Carpenter. "ECONOMIC VALUATION OF FRESHWATER ECOSYSTEM SERVICES IN THE UNITED STATES: 1971–1997." Ecological Applications 9, no. 3 (August 1999): 772–83. http://dx.doi.org/10.1890/1051-0761(1999)009[0772:evofes]2.0.co;2.

Full text
APA, Harvard, Vancouver, ISO, and other styles
37

Aliyeva, Nurlana. "Armenian claims to Nakhchivan and its impact to the historical geography of the region (1918–1924s years)." Grani 23, no. 3 (March 10, 2020): 147–54. http://dx.doi.org/10.15421/172034.

Full text
Abstract:
Azerbaijan People Republic the new sovereign state, created in May 1918 in the Muslim East, has lived and worked in hard and difficult conditions for 23 months. The Republic had to fight against the political and economic policies of the world's major powers, including Russia, the United States, England and France, and resorted to all means to maintain its sovereignty, and faced very complex challenges along the way. Under the pressure of these states, on May 29, 1918, the National Council of Azerbaijan was forced to decide on the issue of Iravan to the armenians in order to maintain their sovereignty while discussing the border problem between Azerbaijan and Armenia and he considered this decision a "historic necessity", a "unavoidable disaster" for heartbreak. During the Azerbaijan People Republic, neighboring countries made a number of territorial claims against Azerbaijan. At that time, its territory was 113.895, 97 sq. km. Its 97,296,67 sq. km was undeniable, and 16,598,30 sq. km was disputed. To resolve such issues, the Treaty of Friendship was first signed on June 4, 1918, between the Ottoman Empire and the Republic of Azerbaijan. It was the first agreement signed by the Azerbaijan People Republic with any foreign state. The second article of the Batumi Treaty sets the border between Azerbaijan, Georgia and Armenia. According to the Batumi contract, Azerbaijan also suffered territorial losses. According to the agreement, the Sharur section of the Sharur-Daralayaz province and the Nakhchivan accident, except for Ordubad, were transferred to Turkey. In addition, the regions of Kamarly, Ulukhanli and Vedibasar of the Iravan provincewere transferred to Turkey. On March 12, 1921, the Moscow Treaty was signed. With the participation of a representative of the Soviet Russia to clarify some of the territories following the Moscow Treaty, Turkey signed an agreement on October 13, 1921, between the three South Caucasus republics. With the participation of a representative of the Soviet Russia to clarify some of the territories following the Moscow treaty, Turkey signed an agreement on October 13, 1921, between the three South Caucasus republics. The contract consisted of 20 articles and 3 annexes. A number of provisions of this treaty were consistent with the relevant articles of the Moscow Treaty. In general, this document was rejecting unequal rights, forcible contracts, and the Sevr treaty. Article 5 of the agreement was directly related to the fate of Nakhchivan. Thus, the Moscow and Kars treaties also resolved Nakhchivan's autonomy status.
APA, Harvard, Vancouver, ISO, and other styles
38

ZIMMERMAN, ANDREW. "CULTURE, PSYCHE AND STATE POWER." Modern Intellectual History 12, no. 2 (October 9, 2014): 485–96. http://dx.doi.org/10.1017/s1479244314000456.

Full text
Abstract:
The discipline of anthropology has perhaps always been especially close to the exercise of state power, but, in the last two-thirds of the twentieth century, the nature of both anthropology and state power changed dramatically. This was a period when many anthropologists distanced themselves from earlier evolutionist accounts that traced a generalized human development from “primitive” to “civilized.” This evolutionist anthropology, as many scholars have shown, reflected and justified a range of imperialist practices by presenting European conquest as bringing progress to societies existing in a noncontemporary present. Two of the most important variants of post-evolutionist anthropology are the cultural relativism associated with Franz Boas (1858–1942) and the sociological universalism associated with Emile Durkheim (1858–1917). The state power that evolutionist anthropology had once supported also changed radically over the same period. The forms of domination exercised by the global North over the global South gradually shifted from direct colonial rule to the combination of military intervention and economic control that characterizes the postcolonial period. Anthropology, Talal Asad has written, is “rooted in an unequal power encounter between the West and Third World . . . an encounter in which colonialism is merely one historical moment.” Internally, the social welfare state continued its remarkable growth but also, in the 1960s and 1970s, faced challenges from those who rejected the patriarchy and heteronormativity that it often presupposed and reinforced. The two books under review reveal how new types of anthropology in the United States and France came to serve these new forms of state power in the twentieth century. In both cases anthropology adapted to these new political conditions by incorporating psychoanalysis to posit an especially strong bond between individual and culture that produced what one contemporary called an “oversocialized conception of man.”
APA, Harvard, Vancouver, ISO, and other styles
39

Vargas-Piedra, Gonzalo, Ricardo David Valdez-Cepeda, Armando López-Santos, Arnoldo Flores-Hernández, Nathalie S. Hernández-Quiroz, and Martín Martínez-Salvador. "Current and Future Potential Distribution of the Xerophytic Shrub Candelilla (Euphorbia antisyphilitica) under Two Climate Change Scenarios." Forests 11, no. 5 (May 9, 2020): 530. http://dx.doi.org/10.3390/f11050530.

Full text
Abstract:
Candelilla (Euphorbia antisyphilitica Zucc.) is a shrub species distributed throughout the Chihuahuan Desert in northern Mexico and southern of the United States of America. Candelilla has an economic importance due to natural wax it produces. The economic importance and the intense harvest of the wax from candelilla seems to gradually reduce the natural populations of this species. The essence of this research was to project the potential distribution of candelilla populations under different climate change scenarios in its natural distribution area in North America. We created a spatial database with points of candelilla presence, according to the Global Biodiversity Information Facility (GBIF). A spatial analysis to predict the potential distribution of the species using Maxent software was performed. Thirteen of 19 variables from the WorldClim database were used for two scenarios of representative concentration pathways (RCPs) (4.5 as a conservative and 8.5 as extreme). We used climate projections from three global climate models (GCMs) (Max Planck institute, the Geophysical Fluid Dynamics Laboratory and the Met Office Hadley), each simulating the two scenarios. The final predicted distribution areas were classified in five on-site possible candelilla habitat suitability categories: none (< 19%), low (20–38%), medium (39–57%), high (58–76%) and very high (> 77%). According to the area under the curve (0.970), the models and scenarios used showed an adequate fit to project the current and future distribution of candelilla. The variable that contributed the most in the three GCMs and the two RCPs was the mean temperature of the coldest quarter with an influence of 45.7% (Jackknife test). The candelilla’s distribution area for North America was predicted as approximately 19.1 million hectares under the current conditions for the high habitat suitability; however, the projection for the next fifty years is not promising because the GCMs projected a reduction of more than 6.9 million hectares using either the conservative or extreme scenarios. The results are useful for conservation of the species in the area with vulnerable wild populations, as well as for the selection of new sites suitable for the species growth and cultivation while facing climate change.
APA, Harvard, Vancouver, ISO, and other styles
40

Wang, Dong. "China's Trade Relations with the United States in Perspective." Journal of Current Chinese Affairs 39, no. 3 (September 2010): 165–210. http://dx.doi.org/10.1177/186810261003900307.

Full text
Abstract:
China's trade relations with the United States over the past four decades is a topic that has not been fully dealt with in scholarly works. This paper charts the course of US-China economic relations since 1971, explains the principal forces stimulating growth and encouraging change and, finally, discusses how these two economic giants fit into an interlocking Asian and world economy. In reaction to the post-2008 financial downturn, advocates for a new world economic order have suggested a rebalancing of global demand, which will arguably become a major, politically charged issue in the US and in China in the years to come. Growing economic interdependence has quickly presented new challenges and opportunities, with issues such as human rights, Most-Favoured-Nation status, the Taiwan and Tibet question, and the huge American trade deficit threatening to cloud the relationship at times. With China's emergence as a major power and America's hegemonic ambitions tested in successive wars, the contradiction between a booming commercial relationship and conflict associated with geopolitical and ideological differences will continue to constitute a serious challenge. The long-term goal for each side will be to forge economic ties strong enough to create a stable political relationship, rather than to be held hostage by geopolitical constraints.
APA, Harvard, Vancouver, ISO, and other styles
41

Lee, Yong-Shik. "Law and Development in the United States." Law and Development Review 14, no. 2 (June 1, 2021): 327–58. http://dx.doi.org/10.1515/ldr-2021-0070.

Full text
Abstract:
Abstract Economic development is the term that has been associated with less developed countries in the Third World (“developing countries”), not the economically advanced countries (“developed countries”), such as the United States. However, the changing economic conditions in recent decades, such as the widening income gaps among individual citizens and regions within developed countries, stagnant economic growth deepening economic polarization, and an institutional incapacity to deal with these issues, render the concept of economic development relevant to the assessment of the economic problems in developed countries. In the United States, these economic problems caused a significant political consequence such as the unexpected outcome of the presidential election in 2016. This article examines the applicability of the legal and institutional approaches, which were originally adopted to stimulate economic development in successful developing countries, to the economic problems in the United States.
APA, Harvard, Vancouver, ISO, and other styles
42

Leonard, Bryan, and Steven M. Smith. "Individualistic culture increases economic mobility in the United States." Proceedings of the National Academy of Sciences 118, no. 37 (September 7, 2021): e2107273118. http://dx.doi.org/10.1073/pnas.2107273118.

Full text
Abstract:
Where an individual grows up has large implications for their long-term economic outcomes, including earnings and intergenerational mobility. Even within the United States, the “causal effect of place” varies greatly and cannot be fully explained by socioeconomic conditions. Across different nations, variation in growth and mobility have been linked to more individualistic cultures. We assess how variation of historically driven individualism within the United States affects mobility. Areas in the United States that were isolated on the frontier for longer periods of time during the 19th century have a stronger culture of “rugged individualism” [S. Bazzi, M. Fiszbein, M. Gebresilasse, Econometrica 88, 2329–2368 (2020)]. We combine county-level measures of frontier experience with modern measures of the causal effect of place on mobility—the predicted percentage change in an individual’s earnings at age 26 y associated with “growing up” in a particular county [R. Chetty, N. Hendren, Q. J. Econ. 133, 1163–1228 (2018)]. Using commuting zone fixed effects and a suite of county-level controls to absorb regional variation in frontier experience and modern economic conditions, we find an additional decade of frontier experience results in 25% greater modern-day income mobility for children of parents in the 25th percentile of income and 14% for those born to parents in the 75th percentile. We use mediation analysis to present suggestive evidence that informal manifestations of “rugged individualism”—those embodied by the individuals themselves—are more strongly associated with upward mobility than formal policy or selective migration.
APA, Harvard, Vancouver, ISO, and other styles
43

Arıç, Kıvanç, and Serkan Taştan. "Are China and India decoupling from the United States?" Panoeconomicus 65, no. 1 (2018): 65–78. http://dx.doi.org/10.2298/pan150410026a.

Full text
Abstract:
After the 2008 global economic crisis, there has been an attention on decoupling conditions between emerging and advanced economies in the economic literature. There have been different conclusions about decoupling. In this study, we analyzed the conditions decoupling China and India from the United States. We used the autoregressive distributed lag (ARDL) bounds testing approach for the period of 1960-2014. According to the results of the analysis, the U.S. gross domestic product (GDP), export, and import indicators have no long-term relationship with China?s and India?s GDP.
APA, Harvard, Vancouver, ISO, and other styles
44

EBEID, MICHAEL, and JONATHAN RODDEN. "Economic Geography and Economic Voting: Evidence from the US States." British Journal of Political Science 36, no. 3 (May 17, 2006): 527–47. http://dx.doi.org/10.1017/s0007123406000275.

Full text
Abstract:
If voters use information about the economy to assess the competence of incumbents, a connection between economic conditions and incumbent success should only be discernible in settings where public policy might plausibly affect the economy, and where the assignment of government responsibility is relatively straightforward. Applying this logic to gubernatorial elections in the United States, we test the following hypothesis: the connection between economic conditions and incumbents' vote shares is mediated by the structure of the state economy. This hypothesis is premised on the idea that voters understand that raw macroeconomic aggregates – when driven by factors like weather, commodity prices and federal policy – are poor signals of incumbent performance. Using data from gubernatorial elections held between 1950 and 1998, we show that the connection between macroeconomic indicators and incumbent success is weak in states dominated by natural resources and farming but quite strong elsewhere. This finding helps explain why earlier studies found no connection between state-level economic conditions and gubernatorial elections.
APA, Harvard, Vancouver, ISO, and other styles
45

Johnston, Denis F. "Some Reflections on the United States." Journal of Public Policy 9, no. 4 (October 1989): 433–36. http://dx.doi.org/10.1017/s0143814x00008308.

Full text
Abstract:
In retrospect, I think that the fate that befell the social indicators ‘movement's rich array of economic statistics and related measures were simply inadequate indicators of emerging developments and issues under prevailing conditions of rapid social change and severe social strains. The felt need was for more adequate monitoring and reporting of social conditions and processes – implying a need to develop improved measures of these phenomena, together with expanded data collection capabilities. Thus the dual goals of the social indicators movement were apparent from the start: to establish an improved social reporting capability as soon as possible, and to encourage longer-term research and development in the general area of social, measurement and model-building. It may be helpful, therefore, to consider the outcome of these two efforts separately.
APA, Harvard, Vancouver, ISO, and other styles
46

Jenkins, J. Craig, Kevin T. Leicht, and Heather Wendt. "Class Forces, Political Institutions, and State Intervention: Subnational Economic Development Policy in the United States, 1971–1990." American Journal of Sociology 111, no. 4 (January 2006): 1122–80. http://dx.doi.org/10.1086/498467.

Full text
APA, Harvard, Vancouver, ISO, and other styles
47

Hahn, Robert A., Elaine D. Eaker, Nancy D. Barker, Steven M. Teutsch, Waldemar A. Sosniak, and Nancy Krieger. "Poverty and Death in the United States." International Journal of Health Services 26, no. 4 (October 1996): 673–90. http://dx.doi.org/10.2190/967k-lc4f-du66-w5p9.

Full text
Abstract:
The authors conducted a survival analysis to determine the effect of poverty on mortality in a national sample of blacks and whites, 25 to 74 years of age (the first National Health and Nutrition Examination Survey (NHANES-1) and NHANES-I Epidemiologic Follow-up Study). They estimated the proportion of mortality associated with poverty during 1971–1984 and in 1991 by calculating population attributable risk and assessed confounding by major known risk factors (e.g., smoking, cholesterol levels, and physical inactivity). In 1973, 6.0 percent of U.S. mortality among black and white persons 25 to 74 years of age was attributable to poverty; in 1991, the proportion was 5.9 percent. In 1991, rates of mortality attributable to poverty were lowest for white women, 2.2 times as high for white men, 8.6 times as high for black men, and 3.6 times as high for black women. Adjustment for all these potential confounders combined had little effect on the hazard ratio among men, but reduced the effect of poverty on mortality among women by 42 percent. The proportion of mortality attributable to poverty among U.S. black and white adults has changed only minimally in recent decades. The effect of poverty on mortality must be largely explained by conditions other than commonly recognized risk factors.
APA, Harvard, Vancouver, ISO, and other styles
48

Guy, Gery P., K. Robin Yabroff, Donatus U. Ekwueme, Sun Hee Rim, Rui Li, and Lisa C. Richardson. "Economic Burden of Chronic Conditions Among Survivors of Cancer in the United States." Journal of Clinical Oncology 35, no. 18 (June 20, 2017): 2053–61. http://dx.doi.org/10.1200/jco.2016.71.9716.

Full text
Abstract:
Purpose The prevalence of cancer survivorship and chronic health conditions is increasing. Limited information exists on the economic burden of chronic conditions among survivors of cancer. This study examines the prevalence and economic effect of chronic conditions among survivors of cancer. Methods Using the 2008 to 2013 Medical Expenditure Panel Survey, we present nationally representative estimates of the prevalence of chronic conditions (heart disease, high blood pressure, stroke, emphysema, high cholesterol, diabetes, arthritis, and asthma) and multiple chronic conditions (MCCs) and the incremental annual health care use, medical expenditures, and lost productivity for survivors of cancer attributed to individual chronic conditions and MCCs. Incremental use, expenditures, and lost productivity were evaluated with multivariable regression. Results Survivors of cancer were more likely to have chronic conditions and MCCs compared with adults without a history of cancer. The presence of chronic conditions among survivors of cancer was associated with substantially higher annual medical expenditures, especially for heart disease ($4,595; 95% CI, $3,262 to $5,927) and stroke ($3,843; 95% CI, $1,983 to $5,704). The presence of four or more chronic conditions was associated with increased annual expenditures of $10,280 (95% CI, $7,435 to $13,125) per survivor of cancer. Annual lost productivity was higher among survivors of cancer with other chronic conditions, especially stroke ($4,325; 95% CI, $2,687 to $5,964), and arthritis ($3,534; 95% CI, $2,475 to $4,593). Having four or more chronic conditions was associated with increased annual lost productivity of $9,099 (95% CI, $7,224 to $10,973) per survivor of cancer. The economic impact of chronic conditions was similar among survivors of cancer and individuals without a history of cancer. Conclusion These results highlight the importance of ensuring access to lifelong personalized screening, surveillance, and chronic disease management to help manage chronic conditions, reduce disruptions in employment, and reduce medical expenditures among survivors of cancer.
APA, Harvard, Vancouver, ISO, and other styles
49

Carpenter, Christopher S., Chandler B. McClellan, and Daniel I. Rees. "Economic conditions, illicit drug use, and substance use disorders in the United States." Journal of Health Economics 52 (March 2017): 63–73. http://dx.doi.org/10.1016/j.jhealeco.2016.12.009.

Full text
APA, Harvard, Vancouver, ISO, and other styles
50

Changnon, Stanley A. "Economic Impacts of Climate Conditions in the United States: Past, Present, and Future." Climatic Change 68, no. 1-2 (January 2005): 1–9. http://dx.doi.org/10.1007/s10584-005-1673-4.

Full text
APA, Harvard, Vancouver, ISO, and other styles
We offer discounts on all premium plans for authors whose works are included in thematic literature selections. Contact us to get a unique promo code!

To the bibliography