1,985 research outputs found

    One Grand United Hymn: Boosterism in Knoxville, Tennessee at the Turn of the Century

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    In the first quarter of the century, Knoxville\u27s business-civic leadership in the late nineteenth century agreed that the city\u27s prosperity demanded an active program of economic development. Most believed that the proper direction to take was to foster industrial-commercial expansion. Such a plan required attracting outside industry and capital. The city\u27s promoters also believed that attracting new investment required community solidarity behind any and every booster proposal. Knoxville\u27s business-civic leaders rarely managed, however, to translate these convictions into a unity of purpose behind various developmental schemes. The following study ask why Knoxville\u27s boosters remained seriously divided despite their efforts to maintain a social consensus for industrial-commercial development. At least part of the answer lies in the fact that the city\u27s business-civic leadership failed to keep a mutual commitment to Knoxville\u27s economic development above the mire of local political bickering and factionalism. As a result, they failed to translate a consensus for industrial-commercial progress into a consensus on issues with important ramifications for their developmental aims. Part One of this thesis demonstrates that Knoxville\u27s boosters believed that a social consensus behind their schemes and programs was crucial to attracting new industry successfully. A subsidy election held in 1887 to subscribe public money to two new railroads illustrates that business-civic boosters were determined to establish at least the appearance of harmony to facilitate their recruitment efforts. Throughout the subsidy campaign, boosters stressed the importance of diminishing the public visibility of dissent expressed towards the subsidy propositions. Local newspapers called for enthusiastic supporters to convince those inclined to vote against the propositions to refrain from voting at all. For business-civic leaders convinced of the all-consuming necessity of recruiting industry and investment from outside the community, the appearance of social consensus outweighed the importance of dissent as a quality-check on the efficacy of certain schemes. The stiff competition of hundreds of other southern communities looking to prosper by the same methods led business-civic boosters to emphasize the less obvious advantages their community offered to any prospective investor. In Knoxville, like many other towns, boosters stressed the city\u27s alleged social and political harmony. They hoped that a community that unanimously supported all methods of fostering industrial-commercial prosperity would promise enough political, economic and social stability to attract outside capital. Despite their exaggerations, however, boosters clearly recognized that Knoxvillians did not agree unanimously to much of anything. Their appeals to black citizens, the white working class, rural citizens and wealthy conservatives during the subsidy election suggested that they believed these groups were likely to oppose the propositions. Part Two of this thesis examines political conflict in the 1890s in order to expand our understanding of the divisions that persisted in spite of the developmental consensus. The municipal controversies of 1893 and 1894 appear to be typical of public issues dominating local headlines throughout the era. As a rapidly expanding city, a growing demand for urban services plagued city leaders struggling to modernize a limited infrastructure. Boosters believed that improved urban amenities, such as transportation and utilities, attracted investors while a deteriorating city repelled them. Thus, municipal schemes became central to the efforts of Knoxville\u27s promoters; however, such schemes also often provoked opposition. By examining the controversies surrounding Knoxville Water Company and the Knoxville, Cumberland Gap and Louisville Railroad schemes in 1893 and 1894, I hoped to determine who opposed these schemes, why they were against them, and if such opposition was related to statewide faction politics. The municipal election of 1893-4 reveals something of the nature of this dispute because these controversies became central to the campaigning of both Democrats and Republicans. On the surface the dispute might be dismissed as simple Democratic versus Republican rivalry. In addition, personal factionalism perhaps explains why some Democrats chose one side over another. However, as the campaign proceeded, both parties adopted anti-ring and pro-reform rhetoric. This suggests that a measure of general discontent with city leadership characterized a portion of Knoxville\u27s business-civic community. Opposition to the municipal schemes reflected a concern that the KWC and the KCG&L proposals would saddle the city with unwanted and unwise debt. The national depression plaguing the country at the time probably heightened this concern. Reform-minded Knoxvillians believed that corruption threatened the city\u27s progress and development because it led some city officials to back questionable municipal schemes. The solution, in their view, was to oust the city council clique from office and replace it with a body of experienced, wise and honest businessmen committed first and last to the city\u27s overall progress. Thus, the election of 1894 became a battleground between two groups of business-boosters whose commitment to development failed to unite them behind important developmental schemes. In 1887, boosters saw certain Knoxvillians outside of the business-civic community as the citizens most likely to oppose the railroad subsidies. In 1993, however, boosters disagreed among themselves over the municipal schemes. A political consensus behind booster plans may have seemed extremely important in recruiting capital successfully, but Knoxville\u27s promoters were unable to draw on such a consensus when discord characterized the business-civic community itself. Local political bickering and factionalism divided Knoxville\u27s leadership, and undermined efforts to promote an image of unity as a key element of the development effort

    Strength training improves muscle quality and insulin sensitivity in Hispanic older adults with type 2 diabetes

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    Hispanics are at increased risk of morbidity and mortality due to their high prevalence of diabetes and poor glycemic control. Strength training is the most effective lifestyle intervention to increase muscle mass but limited data is available in older adults with diabetes. We determined the influence of strength training on muscle quality (strength per unit of muscle mass), skeletal muscle fiber hypertrophy, and metabolic control including insulin resistance (Homeostasis Model Assessment –HOMA-IR), C-Reactive Protein (CRP), adiponectin and Free Fatty Acid (FFA) levels in Hispanic older adults. Sixty-two community-dwelling Hispanics (>55 y) with type 2 diabetes were randomized to 16 weeks of strength training plus standard care (ST group) or standard care alone (CON group). Skeletal muscle biopsies and biochemical measures were taken at baseline and 16 weeks. The ST group show improved muscle quality (mean±SE: 28±3) vs CON (-4±2, p<0.001) and increased type I (860±252µm(2)) and type II fiber cross-sectional area (720±285µm(2)) compared to CON (type I: -164±290µm(2), p=0.04; and type II: -130±336µm(2), p=0.04). This was accompanied by reduced insulin resistance [ST: median (interquartile range) -0.7(3.6) vs CON: 0.8(3.8), p=0.05]; FFA (ST: -84±30µmol/L vs CON: 149±48µmol/L, p=0.02); and CRP [ST: -1.3(2.9)mg/L vs CON: 0.4(2.3)mg/L, p=0.05]. Serum adiponectin increased with ST [1.0(1.8)µg/mL] compared to CON [-1.2(2.2)µg/mL, p<0.001]. Strength training improved muscle quality and whole-body insulin sensitivity. Decreased inflammation and increased adiponectin levels were related with improved metabolic control. Further studies are needed to understand the mechanisms associated with these findings. However, these data show that strength training is an exercise modality to consider as an adjunct of standard of care in high risk populations with type 2 diabetes

    Snake prices and crocodile appetites: Aquatic wildlife supply and demand on Tonle Sap Lake, Cambodia

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    Commercial trade is a major driver of over-exploitation of wild species, but the pattern of demand and how it responds to changes in supply is poorly understood. Here we explore the markets for snakes from Tonle Sap Lake in Cambodia to evaluate future exploitation scenarios, identify entry points for conservation and, more generally, to illustrate the value of multi-scale analysis of markets to traded wildlife conservation. In Cambodia, the largest driver of snake exploitation is the domestic trade in snakes as crocodile food. We estimate that farmed crocodiles consume between 2.7 and 12.2 million snakes per year. The market price for crocodiles has been in decline since 2003, which, combined with rising prices for their food, has led to a reduced frequency of feeding and closure of small farms. The large farms that generate a disproportionate amount of the demand for snakes continue to operate in anticipation of future market opportunities, and preferences for snakes could help maintain demand if market prices for crocodiles rise to pre 2003 levels. In the absence of a sustained demand from crocodile farms, it is also possible that alternative markets will develop, such as one for human snack food. The demand for snakes, however, also depends on the availability of substitute resources, principally fish. The substitutability and low price elasticity of demand offers a relatively sustainable form of consumerism. Given the nature of these market drivers, addressing consumer preferences and limiting the protection of snakes to their breeding season are likely to be the most effective tools for conservation. This study highlights the importance of understanding the structure of markets and the behaviour of consumer demand prior to implementing regulations on wildlife hunting and trade

    Snake prices and crocodile appetites: Aquatic wildlife supply and demand on Tonle Sap Lake, Cambodia

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    a b s t r a c t Commercial trade is a major driver of over-exploitation of wild species, but the pattern of demand and how it responds to changes in supply is poorly understood. Here we explore the markets for snakes from Tonle Sap Lake in Cambodia to evaluate future exploitation scenarios, identify entry points for conservation and, more generally, to illustrate the value of multi-scale analysis of markets to traded wildlife conservation. In Cambodia, the largest driver of snake exploitation is the domestic trade in snakes as crocodile food. We estimate that farmed crocodiles consume between 2.7 and 12.2 million snakes per year. The market price for crocodiles has been in decline since 2003, which, combined with rising prices for their food, has led to a reduced frequency of feeding and closure of small farms. The large farms that generate a disproportionate amount of the demand for snakes continue to operate in anticipation of future market opportunities, and preferences for snakes could help maintain demand if market prices for crocodiles rise to pre 2003 levels. In the absence of a sustained demand from crocodile farms, it is also possible that alternative markets will develop, such as one for human snack food. The demand for snakes, however, also depends on the availability of substitute resources, principally fish. The substitutability and low price elasticity of demand offers a relatively sustainable form of consumerism. Given the nature of these market drivers, addressing consumer preferences and limiting the protection of snakes to their breeding season are likely to be the most effective tools for conservation. This study highlights the importance of understanding the structure of markets and the behaviour of consumer demand prior to implementing regulations on wildlife hunting and trade

    How do Zimbabweans value health states?

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    Background Quality of life weights based on valuations of health states are often used in cost utility analysis and population health measures. This paper reports on an attempt to develop quality of life weights within the Zimbabwe context. Methods 2,384 residents in randomly selected small residential plots of land in a high-density suburb of Harare valued descriptors of 38 health states based on different combinations of the five domains of the EQ-5D (mobility, self-care, usual activities, pain or discomfort and anxiety or depression). The English version of the EQ-5D was used. The time trade-off method was used to determine the values, and 19,020 individual preferences for health states were analysed. A residual maximum likelihood linear mixed model was used to estimate a function for predicting the values of all possible combinations of levels on the five domains. The model was fit to a random subset of two-thirds of the observations, with the remaining observations reserved for analysis of predictive validity. The results were compared to a similar study undertaken in the United Kingdom. Results A credible model was developed to predict the values of states that were not valued directly. In the subset of observations reserved for validation, the mean absolute difference between predicted and observed values was 0.045. All domains of the EQ-5D were found to contribute significantly to the model, both at the moderate and severe levels. Severe pain was found to have the largest negative coefficient, followed by the inability to wash and dress oneself. Conclusion Despite a generally lower education level than their European counterparts, urban Zimbabweans appear to value health states in a consistent manner, and the determination of a global method of establishing quality of life weights may be feasible and valid. However, as the relative weightings of the different domains, although correlated, differed from the standard set of weights recommended by the EuroQol Group, the locally determined coefficients should be used within the Zimbabwean context

    External fishing effort regulates positive effects of no-take marine protected areas

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    Marine protected areas (MPAs) have been established across the globe to mitigate the effects of multiple stressors on marine communities. In many locations, MPAs have generated positive effects on fish communities, but the impacts of fishing pressure—the primary stressor MPAs seek to manage—have not been well investigated. We examined changes in fish biomass inside and outside of no-take MPAs over 14 years in central California, USA. Using data from the community-based science program, the California Collaborative Fisheries Research Program, we tested which environmental and human-induced stressors most influence the strength of MPA responses. While temperature and productivity were included in the best fit model, we found that fine-scale fishing effort data, following reserve implementation, best explained the spatial variation in fish community responses to MPAs. Specifically, differences in fish biomass between MPAs and sites open to fishing were larger for reserves near heavily fished locations and these areas exhibited the highest rate of change in fish biomass, indicating strong positive effects of the MPA on the most heavily exploited fish communities. As MPAs continue to be used as a prominent conservation strategy in coastal systems, managers should consider both the suite of human-induced (socio-ecological interactions) and environmental conditions that may alter MPA success as well as establish long-term monitoring programs to fully assess the functionality of marine reserves into the future

    Clinical and cost-effectiveness of internal limiting membrane peeling for patients with idiopathic full thickness macular hole. Protocol for a Randomised Controlled Trial : FILMS (Full-thickness macular hole and Internal Limiting Membrane peeling Study)

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    Background: A full-thickness macular hole (FTMH) is a common retinal condition associated with impaired vision. Randomised controlled trials (RCTs) have demonstrated that surgery, by means of pars plana vitrectomy and post-operative intraocular tamponade with gas, is effective for stage 2, 3 and 4 FTMH. Internal limiting membrane (ILM) peeling has been introduced as an additional surgical manoeuvre to increase the success of the surgery; i.e. increase rates of hole closure and visual improvement. However, little robust evidence exists supporting the superiority of ILM peeling compared with no-peeling techniques. The purpose of FILMS (Fullthickness macular hole and Internal Limiting Membrane peeling Study) is to determine whether ILM peeling improves the visual function, the anatomical closure of FTMH, and the quality of life of patients affected by this disorder, and the cost-effectiveness of the surgery. Methods/Design: Patients with stage 2–3 idiopathic FTMH of less or equal than 18 months duration (based on symptoms reported by the participant) and with a visual acuity ≤ 20/40 in the study eye will be enrolled in this FILMS from eight sites across the UK and Ireland. Participants will be randomised to receive combined cataract surgery (phacoemulsification and intraocular lens implantation) and pars plana vitrectomy with postoperative intraocular tamponade with gas, with or without ILM peeling. The primary outcome is distance visual acuity at 6 months. Secondary outcomes include distance visual acuity at 3 and 24 months, near visual acuity at 3, 6, and 24 months, contrast sensitivity at 6 months, reading speed at 6 months, anatomical closure of the macular hole at each time point (1, 3, 6, and 24 months), health related quality of life (HRQOL) at six months, costs to the health service and the participant, incremental costs per quality adjusted life year (QALY) and adverse events. Discussion: FILMS will provide high quality evidence on the role of ILM peeling in FTMH surgery. Trial registration: This trial is registered with Current Controlled Trials ISRCTN number 33175422 and Clinical Trials.gov identifier NCT00286507.Chief Scientist Office, Scotland (project ref no CZH/4/235), NHS GrampianPeer reviewedPublisher PD

    Analysis of System Training Impact for Major Defense Acquisition Programs (MDAPs): Training Systems Acquisition

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    This work was conducted by the Institute for Defense Analyses (IDA) under contract W91WAW-09-C-0003, Task BE-2-3376, “Analysis of Systems Training Impact for Major Defense Acquisition Programs,” for the Director, Training Readiness and Strategy, in the Office of the Under Secretary of Defense for Personnel and Readiness.W91WAW-09-C-0003, Task BE-2-337
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