50 research outputs found

    What’s behind the ag-data logo? An examination of voluntary agricultural-data codes of practice

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    In this article, we analyse agricultural data (ag-data) codes of practice. After the introduction, Part II examines the emergence of ag-data codes of practice and provides two case studies—the American Farm Bureau’s Privacy and Security Principles for Farm Data and New Zealand’s Farm Data Code of Practice—that illustrate that the ultimate aims of ag-data codes of practice are inextricably linked to consent, disclosure, transparency and, ultimately, the building of trust. Part III highlights the commonalities and challenges of ag-data codes of practice. In Part IV several concluding observations are made. Most notably, while ag-data codes of practice may help change practices and convert complex details about ag-data contracts into something tangible, understandable and useable, it is important for agricultural industries to not hastily or uncritically accept or adopt ag-data codes of practice. There needs to be clear objectives, and a clear direction in which stakeholders want to take ag-data practices. In other words, stakeholders need to be sure about what they are trying, and able, to achieve with ag-data codes of practice. Ag-data codes of practice need credible administration, accreditation and monitoring. There also needs to be a way of reviewing and evaluating the codes in a more meaningful way than simple metrics such as the number of members: for example, we need to know something about whether the codes raise awareness and education around data practices, and, perhaps most importantly, whether they encourage changes in attitudes and behaviours around the access to and use of ag-data

    Review of codes of conduct, voluntary guidelines and principles relevant for farm data sharing

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    Codes of conduct, voluntary guidelines, sets of principles on how to transparently govern farm data are a recent thing. While laws and regulations that govern personal data are becoming more and more common, legislation still does not cover data flows in many industries where different actors in the value chain need to share data and at the same time protect all involved from the risks of data sharing. Data in these value chains is currently governed through private data contracts or licensing agreements, which are normally very complex and on which data producers have very little negotiating power. Codes of conduct have started to emerge to fill the legislative void and to set common standards for data sharing contracts: codes provide principles that the signatories/subscribers/members agree to apply in their contracts

    INCOG 2.0 Guidelines for Cognitive Rehabilitation Following Traumatic Brain Injury, Part IV: Cognitive-Communication and Social Cognition Disorders

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    Introduction: Moderate to severe traumatic brain injury causes significant cognitive impairments, including impairments in social cognition, the ability to recognize others\u27 emotions, and infer others\u27 thoughts. These cognitive impairments can have profound negative effects on communication functions, resulting in a cognitive-communication disorder. Cognitive-communication disorders can significantly limit a person\u27s ability to socialize, work, and study, and thus are critical targets for intervention. This article presents the updated INCOG 2.0 recommendations for management of cognitive-communication disorders. As social cognition is central to cognitive-communication disorders, this update includes interventions for social cognition. Methods: An expert panel of clinicians/researchers reviewed evidence published since 2014 and developed updated recommendations for interventions for cognitive-communication and social cognition disorders, a decision-making algorithm tool, and an audit tool for review of clinical practice. Results: Since INCOG 2014, there has been significant growth in cognitive-communication interventions and emergence of social cognition rehabilitation research. INCOG 2.0 has 9 recommendations, including 5 updated INCOG 2014 recommendations, and 4 new recommendations addressing cultural competence training, group interventions, telerehabilitation, and management of social cognition disorders. Cognitive-communication disorders should be individualized, goal- and outcome-oriented, and appropriate to the context in which the person lives and incorporate social communication and communication partner training. Group therapy and telerehabilitation are recommended to improve social communication. Augmentative and alternative communication (AAC) should be offered to the person with severe communication disability and their communication partners should also be trained to interact using AAC. Social cognition should be assessed and treated, with a focus on personally relevant contexts and outcomes. Conclusions: The INCOG 2.0 recommendations reflect new evidence for treatment of cognitive-communication disorders, particularly social interactions, communication partner training, group treatments to improve social communication, and telehealth delivery. Evidence is emerging for the rehabilitation of social cognition; however, the impact on participation outcomes needs further research

    Internet of Things for Sustainability: Perspectives in Privacy, Cybersecurity, and Future Trends

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    In the sustainability IoT, the cybersecurity risks to things, sensors, and monitoring systems are distinct from the conventional networking systems in many aspects. The interaction of sustainability IoT with the physical world phenomena (e.g., weather, climate, water, and oceans) is mostly not found in the modern information technology systems. Accordingly, actuation, the ability of these devices to make changes in real world based on sensing and monitoring, requires special consideration in terms of privacy and security. Moreover, the energy efficiency, safety, power, performance requirements of these device distinguish them from conventional computers systems. In this chapter, the cybersecurity approaches towards sustainability IoT are discussed in detail. The sustainability IoT risk categorization, risk mitigation goals, and implementation aspects are analyzed. The openness paradox and data dichotomy between privacy and sharing is analyzed. Accordingly, the IoT technology and security standard developments activities are highlighted. The perspectives on opportunities and challenges in IoT for sustainability are given. Finally, the chapter concludes with a discussion of sustainability IoT cybersecurity case studies

    Point-of-care testing and treatment of sexually transmitted and genital infections to improve birth outcomes in high-burden, low-resource settings (WANTAIM): a pragmatic cluster randomised crossover trial in Papua New Guinea.

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    Chlamydia trachomatis, Neisseria gonorrhoeae, Trichomonas vaginalis, and bacterial vaginosis have been associated with adverse maternal and perinatal outcomes, but there is conflicting evidence on the benefits of antenatal screening and treatment for these conditions. We aimed to determine the effect of antenatal point-of-care testing and immediate treatment of C trachomatis, N gonorrhoeae, T vaginalis, and bacterial vaginosis on preterm birth, low birthweight, and other adverse maternal and perinatal outcomes compared with current standard of care, which included symptom-based treatment without laboratory confirmation. In this pragmatic cluster randomised crossover trial, we enrolled women (aged ≥16 years) attending an antenatal clinic at 26 weeks' gestation or earlier (confirmed by obstetric ultrasound), living within approximately 1 h drive of a study clinic, and able to provide reliable contact details at ten primary health facilities and their catchment communities (clusters) in Papua New Guinea. Clusters were randomly allocated 1:1 to receive either the intervention or control (standard care) in the first phase of the trial. Following an interval (washout period) of 2-3 months at the end of the first phase, each cluster crossed over to the other group. Randomisation was stratified by province. Individual participants were informed about trial group allocation only after completing informed consent procedures. The primary outcome was a composite of preterm birth (livebirth before 37 weeks' gestation), low birthweight (<2500 g), or both, analysed according to the intention-to-treat population. This study is registered with ISRCTN Registry, ISRCTN37134032, and is completed. Between July 26, 2017, and Aug 30, 2021, 4526 women were enrolled (2210 [63·3%] of 3492 women in the intervention group and 2316 [62·8%] of 3687 in the control group). Primary outcome data were available for 4297 (94·9%) newborn babies of 4526 women. The proportion of preterm birth, low birthweight, or both, in the intervention group, expressed as the mean of crude proportions across clusters, was 18·8% (SD 4·7%) compared with 17·8% in the control group (risk ratio [RR] 1·06, 95% CI 0·78-1·42; p=0·67). There were 1052 serious adverse events reported (566 in the intervention group and 486 in the control group) among 929 trial participants, and no differences by trial group. Point-of-care testing and treatment of C trachomatis, N gonorrhoeae, T vaginalis, and bacterial vaginosis did not reduce preterm birth or low birthweight compared with standard care. Within the subgroup of women with N gonorrhoeae, there was a substantial reduction in the primary outcome

    The Protection of Indigenous Art and Culture in Australia: The Labels of Authenticity

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    The National Indigenous Arts Advocacy Association recently estimated that the Aboriginal and Torres Strait Islander arts and culture industry generates around $200 million a year. 1 With the growing international interest in Aboriginal and Torres Strait Islander art, it is likely that this figure will increase in the coming years. As with many other successful arts industries, the Australian Indigenous arts and culture industry is under threat from a growing number of fakes and rip-offs. A particular problem that faces this industry is the practice of non-Indigenous artistic works being passed off as if they were authentic Indigenous works. A number of different techniques are available under Australian law to protect against the increasing number of non-Indigenous people who manufacture and sell Indigenous artefacts at the expense of the Indigenous artistic community. These include the use of a registered trade mark; a collective mark 2 ; a certification mark 3 ; an action for passing off; an action under section 52 of the Trade Practices Act 1974 (Cth) 4 ; or the introduction of special legislation such as that introduced for the Sydney Olympic Games in 2000. 5 While each of these has their strengths, currently the preferred option is for two certification marks, referred to here collectively as the labels of authenticity. The labels of authenticity will serve to distinguish authentic Indigenous artistic goods and services from other products on the market. 6 Somewhat paradoxically, the relative success of recent copyright actions involving Indigenous art has increased the need for such labels. 7 This is because, in response to these decisions, pirates have shifted their attention away from the copying of individual works to the reproduction of styles of works: a matter which is particularly well suited to an Indigenous certification mark.Full Tex

    Making Copies: The Impact of Photocopying on Copyright Law in Australia

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    Making Copies: The Impact of Photocopying on Copyright Law in Australia In recent years, there has been a growing interest in looking at the history of copyright law through the lens of different technologies. Rather than looking at the historical development of, for example, copyright defences, the development of a specific piece of legislation or the way in which copyright law as distinct body of law took shape, there is a growing interest in looking at the way in which copyright law was shaped and influenced by specific types of technology. This literature is based on the idea that by focusing on the way that the law responded to a particular technology, that this enables us to get a better sense of the way in which the different legal rules and procedures operate and intersect: something that tends to be lost in more focused doctrinal or policy accounts. While there have been a number of important studies that focus on the impact of specific technologies, notably the printing press, on the development of copyright law, there are many other technologies that have not been given the attention they deserve. The thesis aims to contribute to the growing body of copyright scholarship that looks at the impact that specific technologies have had on copyright law. More specifically, it aims to look at the impact that the photocopier had on the development of copyright law across the second half of twentieth century. In effect, the question that the thesis asks is: what impact did photocopying have on the development of copyright law in Australia? The thesis shows that in responding to the problems created photocopier, a number of important changes were made to copyright law. In addition to contributing to the introduction of published edition copyright, it will be argued that the photocopier not only led to the introduction of library copying provisions which have played and continue to play an important role in ensuring access to information, but also helped to clarify that the fair dealing defence extended beyond hand copying to include machine copies. As well as highlighting the impact that the photocopying licences, which were introduced to deal with multiple copies, had on copyright law, it will be also be argued that the photocopier led to other changes, such as the politicisation of literary copyright. In highlighting the various changes brought about as a result of the attempt to respond to the problems created by the photocopier, the thesis will highlight the important role that technological change has had on the development of copyright law

    Beyond the Photocopier: Copyright and Publishing in Australia

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    This article reviews a number of important changes to Australian copyright law in recent years, and in particular the Digital Agenda amendments, the introduction of moral rights and the proposed changes to the control of parallel importation. It evaluates the likely significance of these changes for the publishing industry in Australia and concludes the changes appear to have given copyright owners greater control over published material and may be changing the nature of Australian copyright law
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