1,003 research outputs found

    One Person-One Vote Round III: Challenges to the 1980 Redistricting

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    Ever since the United States Supreme Court entered the political thicket of redistricting and reapportionment courts and legislatures have been struggling with issues relating to the Court\u27s mandate of one person, one vote. The re-drawing of congressional and legislative district boundaries after the 1980 census was only the third time that district boundaries have been drawn according to the Supreme Court\u27s mandate of one person-one vote. This Article discusses the legal requirements of one person-one vote and the continuing evolution of the legal standards in this area. Part II analyzes the evolution of one person-one vote doctrine in the Supreme Court cases of the 1960\u27s and 1970\u27s. Part III discusses Round Three and focuses on the cases in state and lower federal courts. Included in this section are discussions of the New Jersey and Wyoming cases, the latest decisions of the Court on redistricting and reapportionment. Part IV examines several unresolved issues in the one person-one vote field, and concludes that the issues of gerrymandering and fine-tuning of the mathematics of one person-one vote should be confronted in the next round of redistricting and reapportionment cases

    One Person-One Vote Round III: Challenges to the 1980 Redistricting

    Get PDF
    Ever since the United States Supreme Court entered the political thicket of redistricting and reapportionment courts and legislatures have been struggling with issues relating to the Court\u27s mandate of one person, one vote. The re-drawing of congressional and legislative district boundaries after the 1980 census was only the third time that district boundaries have been drawn according to the Supreme Court\u27s mandate of one person-one vote. This Article discusses the legal requirements of one person-one vote and the continuing evolution of the legal standards in this area. Part II analyzes the evolution of one person-one vote doctrine in the Supreme Court cases of the 1960\u27s and 1970\u27s. Part III discusses Round Three and focuses on the cases in state and lower federal courts. Included in this section are discussions of the New Jersey and Wyoming cases, the latest decisions of the Court on redistricting and reapportionment. Part IV examines several unresolved issues in the one person-one vote field, and concludes that the issues of gerrymandering and fine-tuning of the mathematics of one person-one vote should be confronted in the next round of redistricting and reapportionment cases

    Understanding bi-project management: Engineering complex industrial construction projects

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    Abstract Engineering large industrial construction projects is usually a complex task involving several co-operating actors. This paper investigates a specific type of such projects, labelled bi-project management. Bi-project management is characterised by two main actors, each of whom manage a part of the project: the owner of the installation (the client organisation) responsible for the engineering of the production process part, and an engineering office responsible for the construction related part. This paper describes and analyses what an engineering office can do to improve control of its part of the project, knowing that its part must be completed in advance; in addition, it is dependent on the client's part and must adapt to any changes the client may make. A framework for analysis and control has been developed, which distinguishes four areas. Two areas (key documents and basic interaction structure) are based on normal project control practices. The two remaining areas have been added to deal with the technological uncertainty and planning structure of the client organisation. The framework helps elucidate the specific nature of bi-project management. Effective bi-project management should not only apply normal project management practices, but also anticipate risks and postpone work to the last possible moment. A main topic for future research is to identify the underlying causes for uncertainty in these types of projects.

    Phosgene formation via carbon monoxide and dichlorine reaction over an activated carbon catalyst: reaction testing arrangements

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    An apparatus is described to investigate the synthesis of phosgene from the reaction of carbon monoxide and dichlorine over an activated carbon catalyst. Infrared spectroscopy and UV-visible absorption spectroscopy are used to identify and quantify reagents and products. The reaction is operated with an excess of CO in order to enable complete chlorine conversion at elevated temperatures. The reaction profile is examined over the temperature range of 300-445 K, with a phosgene selectivity of 100% observed at all temperatures. An isosbestic point in the UV-visible spectrum is observed at 272 nm, indicating that the dichlorine and the phosgene are in equilibrium. Examination of the phosgene formation rate as a function of space time and catalyst size fraction at 323 K establishes that, under the described conditions, the reaction is operating under chemical control in the absence of mass transfer restrictions

    Biomass production, supply, uses and flows in the European Union: First results from an integrated assessment

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    The report delivers an assessment of EU biomass production, uses, flows and related environmental impacts for the sectors agriculture, forestry, fisheries and aquaculture, and algae. Quantitative estimates are derived from available data and current knowledge, yet highlighting the uncertainties and the remaining gaps. The work is framed within the JRC biomass study and is meant to support the EU bioeconomy and the related policies.JRC.D.1-Bio-econom

    Therapeutic prospects of exon skipping for epidermolysis bullosa

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    Epidermolysis bullosa is a group of genetic skin conditions characterized by abnormal skin (and mucosal) fragility caused by pathogenic variants in various genes. The disease severity ranges from early childhood mortality in the most severe types to occasional acral blistering in the mildest types. The subtype and severity of EB is linked to the gene involved and the specific variants in that gene, which also determine its mode of inheritance. Current treatment is mainly focused on symptomatic relief such as wound care and blister prevention, because truly curative treatment options are still at the preclinical stage. Given the current level of understanding, the broad spectrum of genes and variants underlying EB makes it impossible to develop a single treatment strategy for all patients. It is likely that many different variant-specific treatment strategies will be needed to ultimately treat all patients. Antisense-oligonucleotide (ASO)-mediated exon skipping aims to counteract pathogenic sequence variants by restoring the open reading frame through the removal of the mutant exon from the pre-messenger RNA. This should lead to the restored production of the protein absent in the affected skin and, consequently, improvement of the phenotype. Several preclinical studies have demonstrated that exon skipping can restore protein production in vitro, in skin equivalents, and in skin grafts derived from EB-patient skin cells, indicating that ASO-mediated exon skipping could be a viable strategy as a topical or systemic treatment. The potential value of exon skipping for EB is supported by a study showing reduced phenotypic severity in patients who carry variants that result in natural exon skipping. In this article, we review the substantial progress made on exon skipping for EB in the past 15 years and highlight the opportunities and current challenges of this RNA-based therapy approach. In addition, we present a prioritization strategy for the development of exon skipping based on genomic information of all EB-involved genes

    Corruption in the Middle East and the Limits of Conventional Approaches

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    Die Unzufriedenheit mit der verbreiteten Korruption war 2011/2012 eine wesentliche Ursache für die arabischen Unruhen und weitere Aufstände weltweit. Der Fall Jordanien zeigt allerdings, dass konventionelle Ansätze zur Bekämpfung von Korruption nicht ausreichen. Eine angemessene Strategie gegen Korruption muss diese als ein Problem der Verteilungsgerechtigkeit und nicht des Strafrechts verstehen. Wie in allen anderen arabischen Staaten ist die Unzufriedenheit in der Bevölkerung über die offensichtliche Korruption auch in Jordanien beträchtlich. Allerdings wird im Allgemeinen nicht über Fälle von Bestechung und Erpressung geklagt, die weniger häufig vorkommen, sondern über lokale Praktiken politischer Patronage und Begünstigung, die unter dem Begriff "Wasta" zusammengefasst werden. "Wasta" wurde bislang als Form der Korruption und strafrechtliches Problem angesehen, weshalb Versuche zur Eindämmung überwiegend ineffizient blieben: "Wasta"-Praktiken werden in der Regel nicht mit Rechtsverstößen verbunden, sondern bewegen sich innerhalb formal legaler Verfahren. Konventionelle Ansätze zur Bekämpfung von Korruption, die sich an rechtsstaatlichen Grundsätzen und Transparenz orientieren, sind deshalb nicht zielführend. Demokratisierung allein ist ebenfalls ungeeignet, das Problem „Wasta” zu lösen. In der parlamentarischen Praxis macht "Wasta" den Großteil der Aktivitäten aller Parlamentsmitglieder aus. Diese werden deshalb als persönliche Dienstleister für ihre Wahlbezirke und nicht als Mitglieder einer gesetzgebenden Körperschaft wahrgenommen. Gleichzeitig hält die Bevölkerung das Parlament für eine zutiefst korrupte Institution. "Wasta" wird problematisch, wenn diese Praxis zu einem ungleichen Zugang der Bürger zu öffentlichen Ressourcen führt. Statt sich nur auf politische und administrative Reformen zu konzentrieren, muss der Fokus der Bekämpfung auf den (Wieder-)Aufbau wohlfahrtsstaatlicher Strukturen gelegt werden, zu denen alle Bürger gleichermaßen Zugang haben

    A comparison of global agricultural monitoring systems and current gaps

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    Global and regional scale agricultural monitoring systems aim to provide up-to-date information regarding food production to different actors and decision makers in support of global and national food security. To help reduce price volatility of the kind experienced between 2007 and 2011, a global system of agricultural monitoring systems is needed to ensure the coordinated flow of information in a timely manner for early warning purposes. A number of systems now exist that fill this role. This paper provides an overview of the eight main global and regional scale agricultural monitoring systems currently in operation and compares them based on the input data and models used, the outputs produced and other characteristics such as the role of the analyst, their interaction with other systems and the geographical scale at which they operate. Despite improvements in access to high resolution satellite imagery over the last decade and the use of numerous remote-sensing based products by the different systems, there are still fundamental gaps. Based on a questionnaire, discussions with the system experts and the literature, we present the main gaps in the data and in the methods. Finally, we propose some recommendations for addressing these gaps through ongoing improvements in remote sensing, harnessing new and innovative data streams and the continued sharing of more and more data
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