319 research outputs found

    "When and Why the Council of Ministers of the EU Votes Explicitly"

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    This paper reports newly collected empirical data sets on explicitly contested voting at ministerial level in the Council of Ministers of the European Union. These data sets cover the period 1994-2004, with more detail for the years 1998-2004. They provide us with rather steady patterns of explicitly contested voting across the period in terms of: proportions of decisions taken where contested voting was recorded; the different levels of contestation by country; and the issue areas in which explicit voting occurred more often. The data sets draw on the material available on the Council's own website, but they have been supplemented by hand-collected data, in particular as regards issue areas and types of decision. Once arranged appropriately the data sets will be posted on the web, so that other researchers can have access to the material. The initial analysis of the data is reported in the second edition of Hayes-Renshaw and Wallace, The Council of Ministers, Palgrave, forthcoming, Chapter 10. The data show that explicit voting on agreed decisions at ministerial level is rather rare, that in nearly half the roll calls dissent is expressed only by singleton member states, that nearly half the cases concern 'technical' decisions on agriculture and fisheries, and that Germany more often votes 'no' or abstains than any other member state. The data confirm that ministers generally endorse collective decisions by consensus, even on the 70% or so cases where they could activate qualified majority voting (QMV). To the extent that voting takes place in these latter cases, it occurs implicitly rather than explicitly, operates mostly at the level of officials rather than ministers, and is not recorded systematically in publicly accessible form. These patterns are consistent with earlier accounts based on qualitative interview evidence

    Lines-of-inquiry and sources of evidence in work-based research

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    There is synergy between the investigative practices of police detectives and social scientists, including work-based researchers. They both develop lines-of-inquiry and draw on multiple sources of evidence in order to make inferences about people, trends and phenomena. However, the principles associated with lines-of-inquiry and sources of evidence have not so far been examined in relation to work-based research methods, which are often unexplored or ill-defined in the published literature. We explore this gap by examining the various direct and indirect lines-of-inquiry and the main sources of primary and secondary evidence used in work-based research, which is especially relevant because some work-based researchers are also police detectives. Clearer understanding of these intersections will be useful in emerging professional contexts where the work-based researcher, the detective, and the social scientist cohere in the one person and their research project. The case we examined was a Professional Studies programme at a university in Australia, which has many police detectives doing work-based research, and from their experience we conclude there is synergy between work-based research and lines of enquiry. Specifically, in the context of research methods, we identify seven sources of evidence: 1) creative, unstructured, and semi-structured interviews; 2) structured interviews; 3) consensus group methods; 4) surveys; 5) documentation and archives; 6) direct observations and participant observations; and 7) physical or cultural artefacts, and show their methodological features related to data and method type, reliability, validity, and types of analysis, along with their respective advantages and disadvantages. This study thereby unpacks and isolates those characteristics of work-based research which are relevant to a growing body of literature related to the messy, co-produced and wicked problems of private companies, government agencies, and non-government organisations and the research methods used to investigate them

    From procedural chore to political prestige: historic development and recent reforms of the Presidency of the Council

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    'Die RatsprĂ€sidentschaft wurden in den 1950er Jahren als administrative Pflicht auf der Basis strikter Gleichheit zwischen den damals zehn Mitgliedstaaten der EuropĂ€ischen Gemeinschaften eingefĂŒhrt. Heute stellt es ein Amt von hohem politischem Prestige dar, das in einer tieferen und weiteren Union wichtige Rechte und Verantwortlichkeiten mit sich bringt, auch wenn viele davon sowohl formell als auch informell beschrĂ€nkt sind. Dieser Beitrag verfolgt die VerĂ€nderungen, die das Amt im Lauf der Zeit erfahren hat, als Folge unter anderem einer SchwĂ€chung der Kommission, der zunehmenden Rolle des EuropĂ€ischen Rates, Änderungen der Abstimmungsregeln, Abweichungen von der sog. Gemeinschaftsmethode, Erweiterungen und neuen Regeln der Transparenz. Die historische Entwicklung und jĂŒngste Reformen des Amtes werden nachgezeichnet, indem dessen vier zentrale Funktionen (Administration und Koordination, das Setzen politischer PrioritĂ€ten, Mediation sowie interne und externe ReprĂ€sentation) und die Organisation der PrĂ€sidentschaft sowohl aus der Perspektive der EU insgesamt als auch aus der Perspektive des den Vorsitz innehabenden Mitglieds untersucht werden. Die vordringliche BeschĂ€ftigung jĂŒngerer PrĂ€sidentschaften mit den Themen Öffentlichkeit und Information mag als Versuch gewertet werden, es der Öffentlichkeit zu erleichtern, eine PrĂ€sidentschaft von der anderen zu unterscheiden.' (Autorenreferat)'The Council presidency was conceived in the 1950s as an administrative chore to be shared on the basis of strict equality among the member states of the then European Communities. Today, it is a politically prestigious office, carrying with it important rights and responsibilities in a wider and deeper European Union, although many of the office's rights and responsibilities are constrained both formally and informally. This article tracks the changes which have occurred to the office over time as a result inter alia of the weakening of the Commission, the burgeoning role of the European Council, changes in voting rules, deviations from the so-called 'Community method', enlargement and new transparency rules. The historic development and recent reforms of the office are traced by examining its four main functions (administration and coordination, the setting of political priorities, mediation, and internal and external representation) and the organisation of the presidency from the point of view both of the EU as a whole and of the member state in the chair. The preoccupation of recent presidencies with issues of publicity and information may be an attempt to help the public to distinguish one presidency from another.' (author's abstract)

    When and Why the Council of Ministers of the EU Votes Explicitly

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    This paper reports newly collected empirical data sets on explicitly contested voting at ministerial level in the Council of Ministers of the European Union. These data sets cover the period 1994-2004, with more detail for the years 1998-2004. They provide us with rather steady patterns of explicitly contested voting across the period in terms of: proportions of decisions taken where contested voting was recorded; the different levels of contestation by country; and the issue areas in which explicit voting occurred more often. The data sets draw on the material available on the Council's own website, but they have been supplemented by hand-collected data, in particular as regards issue areas and types of decision. Once arranged appropriately the data sets will be posted on the web, so that other researchers can have access to the material. The initial analysis of the data is reported in the second edition of Hayes-Renshaw and Wallace, The Council of Ministers, Palgrave, forthcoming, Chapter 10. The data show that explicit voting on agreed decisions at ministerial level is rather rare, that in nearly half the roll calls dissent is expressed only by singleton member states, that nearly half the cases concern 'technical' decisions on agriculture and fisheries, and that Germany more often votes 'no' or abstains than any other member state. The data confirm that ministers generally endorse collective decisions by consensus, even on the 70% or so cases where they could activate qualified majority voting (QMV). To the extent that voting takes place in these latter cases, it occurs implicitly rather than explicitly, operates mostly at the level of officials rather than ministers, and is not recorded systematically in publicly accessible form. These patterns are consistent with earlier accounts based on qualitative interview evidence.Council of Ministers; majority voting

    Emergence of the L phenotype in Group B Streptococci in the South of Ireland

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    Group B Streptococcal isolates (n = 235) from the South of Ireland were characterised by serotyping, antimicrobial susceptibility and determination of the phenotypic and genotypic mechanisms of resistance. Resistance to erythromycin and clindamycin was observed in 21·3% and 20·4% of the total population, respectively. The c-MLSB phenotype was the most common phenotype detected (62%), with ermB being the predominant genetic determinant, present in 84% of resistant isolates. The rare L phenotype was observed in 2·9% (n = 7) of isolates, four of which harboured the lsaC gene responsible for clindamycin resistance. Serotypes Ia, III and II were the most common amongst the entire study population (28·1%, 24·7% and 14%, respectively). Four of the seven L phenotype isolates were serotype III and two of these strains were confirmed as the hypervirulent clone, ST-17 and harboured the hvgA gene. This is the first documented case of the L phenotype in Ireland to date and the study findings emphasise the need for continued monitoring of antibiotic resistance and serotype distribution in GBS isolates from Ireland

    A preliminary study of prosody skills in children with spina bifida

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    In this Festschrift for Professor Hanne Gram Simonsen, colleagues and former students from home and abroad have contributed 18 newly written articles that together reflect the diversity of the jubilee's research interests in phonetics, phonology, morphology, typical and atypical language development in children, language and aging, language difficulties by aphasia and dementia, language mapping, multilingualism and sign language.I dette festskriftet til professor Hanne Gram Simonsen har kolleger og tidligere studenter fra inn- og utland bidratt med 18 nyskrevne artikler som til sammen speiler mangfoldet av jubilantens forskningsinteresser innen fonetikk, fonologi, morfologi, typisk og atypisk sprÄkutvikling hos barn, sprÄk og aldring, sprÄkvansker ved afasi og demens, sprÄkkartlegging, flersprÄklighet og tegnsprÄk

    Preparedness of Tanzanian Health Facilities for Outpatient\ud Primary care of Hypertension and Diabetes: A Cross-sectional\ud Survey

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    \ud Historically, health facilities in sub-Saharan Africa have mainly managed acute, infectious diseases. Few data exist for the preparedness of African health facilities to handle the growing epidemic of chronic, non-communicable diseases (NCDs). We assessed the burden of NCDs in health facilities in northwestern Tanzania and investigated the strengths of the health system and areas for improvement with regard to primary care management of selected NCDs. Between November, 2012, and May, 2013, we undertook a cross-sectional survey of a representative sample of 24 public and not-for-profit health facilities in urban and rural Tanzania (four hospitals, eight health centres, and 12 dispensaries). We did structured interviews of facility managers, inspected resources, and administered self-completed questionnaires to 335 health-care workers. We focused on hypertension, diabetes, and HIV (for comparison). Our key study outcomes related to service provision, availability of guidelines and supplies, management and training systems, and preparedness of human resources. Of adult outpatient visits to hospitals, 58% were for chronic diseases compared with 20% at health centres, and 13% at dispensaries. In many facilities, guidelines, diagnostic equipment, and first-line drug therapy for the primary care of NCDs were inadequate, and management, training, and reporting systems were weak. Services for HIV accounted for most chronic disease visits and seemed stronger than did services for NCDs. Ten (42%) facilities had guidelines for HIV whereas three (13%) facilities did for NCDs. 261 (78%) health workers showed fair knowledge of HIV, whereas 198 (59%) did for hypertension and 187 (56%) did for diabetes. Generally, health systems were weaker in lower-level facilities. Front-line health-care workers (such as non-medical-doctor clinicians and nurses) did not have knowledge and experience of NCDs. For example, only 74 (49%) of 150 nurses had at least fair knowledge of diabetes care compared with 85 (57%) of 150 for hyptertension and 119 (79%) of 150 for HIV, and only 31 (21%) of 150 had seen more than five patients with diabetes in the past 3 months compared with 50 (33%) of 150 for hypertension and 111 (74%) of 150 for HIV. Most outpatient services for NCDs in Tanzania are provided at hospitals, despite present policies stating that health centres and dispensaries should provide such services. We identified crucial weaknesses (and strengths) in health systems that should be considered to improve primary care for NCDs in Africa and identified ways that HIV programmes could serve as a model and structural platform for these improvements.\u

    The eye as a non-invasive window to the microcirculation in liver cirrhosis: a prospective pilot study

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    Microcirculatory dysfunction is associated with organ failure, poor response to vasoactive drugs and increased mortality in cirrhosis, but monitoring techniques are not established. We hypothesized that the chorioretinal structures of the eye could be visualized as a non-invasive proxy of the systemic microvasculature in cirrhosis and would correlate with renal dysfunction. Optical Coherence Tomography (OCT) was performed to image the retina in n = 55 cirrhosis patients being assessed for liver transplantation. OCT parameters were compared with established cohorts of age- and sex-matched healthy volunteers (HV) and patients with chronic kidney disease (CKD). Retinal thickness, macular volume and choroidal thickness were significantly reduced relative to HV and comparable to CKD patients (macular volume: HV vs. cirrhosis mean difference 0.44 mm3 (95% CI 0.26–0.61), p ≤ 0.0001). Reduced retinal thickness and macular volume correlated with renal dysfunction in cirrhosis (macular volume vs. MDRD-6 eGFR r = 0.40, p = 0.006). Retinal changes had resolved substantially 6 weeks following transplantation. There was an inverse association between choroidal thickness and circulating markers of endothelial dysfunction (endothelin-1 r = −0.49, p ≤ 0.001; von Willebrand factor r = −0.32, p ≤ 0.05). Retinal OCT may represent a non-invasive window to the microcirculation in cirrhosis and a dynamic measure of renal and endothelial dysfunction. Validation in different cirrhosis populations is now required

    Oral disease in people with Cystic Fibrosis

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