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Understanding gender disparities in home-based self-employment (HBS) and their links to homeownership and socioeconomic factors is crucial for advancing sustainable development goals (SDGs) in Sub-Saharan Africa, especially Nigeria. This study uses data from the 2010/2011, 2012/13, 2015/16, and 2018/19 waves of the Nigerian General Household Survey (GHS). It employs random effect probit regression, the LASSO method for identifying predictors, and the Blinder–Oaxaca decomposition technique to analyse gender differences in nonlinear binary outcomes. The results show that female business owners are more likely to engage in HBS compared to males, highlighting the importance of gender equality (SDG 5) and decent work (SDG 8). While male entrepreneurs are mainly driven by profit, females prioritise balancing paid and unpaid work, reflecting motivations beyond profit within heterodox economics. Significant gender-differentiated impacts are observed in relation to monthly rent, post-secondary education, dwelling space, energy, and regional locations. Notably, the presence of children significantly increases female involvement in HBS, a trend not seen among males. Marriage also influences female participation, suggesting that marital circumstances and economic benefits play a role. These findings highlight the need for policies addressing gender-specific constraints, challenging traditional gender roles, and promoting inclusive human development within the SDG framework.
Using data envelopment analysis, we examine the efficiency of Canada's universal health care system by considering a set of labour (physicians) and capital (beds) inputs, which produce a level of care (measured in terms of health quality and quantity) in a given region. Data from 2013–2015 were collected from the Canadian Institute for Health Information regarding inputs and from the Canadian Community Health Survey and Statistics Canada regarding our output variables, health utility (quality) and life expectancy (quantity). We posit that variation in efficiency scores across Canada is the result of regional heterogeneity regarding socioeconomic and demographic disparities. Regressing efficiency scores on such covariates suggests that regional unemployment and an older population are quite impactful and associated with less efficient health care production. Moreover, regional variation indicates the Atlantic provinces (Newfoundland, Prince Edward Island, Nova Scotia, New Brunswick) are quite inefficient, have poorer economic prospects, and tend to have an older population than the rest of Canada. Oaxaca-Blinder decompositions suggest that the latter two factors explain about one-third of this efficiency gap. Based on our two-stage semi-parametric analysis, we recommend Canada adjust their transfer payments to reflect these disparities, thereby potentially reducing inequality in regional efficiency.
Adsorption and catalytic decomposition of 4-nitrobenzenesulphonylmethylcarbamate (herbicide Nisulam) on Upton, Wyoming, bentonite saturated with different cations was studied using thin-layer chromatography and infrared spectroscopy. Nisulam is adsorbed at room temperature by coordination through the NO2 group to the exchange cation regardless of the cation's nature. On moderate heating (75°–90°C) this molecule decomposes to 4-nitrobenzenesulphonamide whereas a similar compound (herbicide Asulam) containing the NH2 functional group instead of NO2 is adsorbed by protonation at room temperature and decomposes into different products. For cations having a high polarizing power, a coordination bond between the Asulam molecule's C=O group and the exchange cation is established, and the molecule decomposes to sulphanilic and carbamic acid. In contrast, for cations having a low polarizing power there is no coordination, and the molecule decomposes mainly into sulphanilamide. Nisulam's coordination to the exchange cation through the NO2 group instead of C=O is ascribed to inductive and conjugation effects, typical of the nitro group.
This paper thoroughly describes the decomposition procedure, using the example of DECOMPXR (Lanson 1990). The steps of the decomposition procedure are: 1) preliminary data processing; 2) decomposition; 3) validation of results; and 4) use of the results. The use of decomposition is restricted to the separation of contributions from various phases. The effect of preliminary data processing steps (data smoothing, background stripping) on profile shape is shown to be limited and their implementation is detailed. Potential experimental limitations such as peak symmetry, experimental reproducibility or discrimination are equally minor. A logical decomposition process starts from the definition of the angular range to be fitted, proceeds with the determination of the number of elementary peaks to be fitted and ends with the check for results consistency.
Numerical data processing is a powerful tool for the accurate identification of monophases, because of the additional parameters available to constrain XRD profile simulation. Ultimately, however, the match over the whole angular range of both the experimental and the simulated patterns remains the only valid way to characterize the phases present in the sample. Additionally, the decomposition procedure permits both the identification of complex clay mineral assemblages and the characterization of their evolution. This step constrains, and may help to determine, the reaction mechanisms of a transformation; and, as a consequence, to characterize and to model the kinetics of this transformation.
Decomposition of complex X-ray diffraction profiles is used on well characterized (image analysis of transmission electron micrographs, X-ray fluorescence chemical analyses) diagenetic samples from the Paris basin. The simultaneous occurrence of three “illitic” phases (mixed-layer illite/smectite or I/S, poorly crystallized illite, and mica-like phase) is shown on the various diffraction peaks of the 2–50 °2θ CuKα (44–1.8 Å) range. However, because of theoretical and experimental constraints, it is easier to perform the decomposition routine in the 5–11 °2θ CuKα (17.6–8.0 Å) range. The identification (i.e., illite content and mean coherent scattering domain size) of the various phases is performed by comparing the associated elementary peak characteristics (position, full width at half maximum intensity) with simulated X-ray patterns. When available, the characteristics obtained from the various angular regions are mutually consistent; however, the precise structures of smectite and illite end-members, on the one hand, and the structure of I/S crystallites, on the other hand, are not well known. Consequently, on some angular regions, there is a discrepancy between the characteristics obtained on experimental and calculated X-ray profiles. The definition of more realistic simulation hypotheses for I/S minerals, and for other interstratified clay minerals, would make this powerful and reliable tool to describe X-ray patterns a precise and sensitive identification tool even for complex clay parageneses.
The boundary between diagenesis and metamorphism most likely involves the change of illite into mica. Observations of this change can be made using decomposed X-ray diffraction (XRD) spectra of illitic clay mineral assemblages in pelitic sedimentary rocks.
XRD analysis of the (003) diffraction peak of diagenetic illites indicates that there are 2 components, one of small coherent diffraction domains and another of larger domain size. Peak width, shape and position define these fractions. The smaller domain size material in diagenetic rocks is highly illitic (>95%) but contains some smectite layers and can be best described by Gaussian shapes. The grains with larger diffracting domains show no expanding layers.
Metamorphic illites (probably muscovites) show no smectite interlayers in any fraction. In the transition from sedimentary and diagenetic to metamorphic illites, new grains of smectite-free illite are formed at the expense of the older minerals. This suggests that the new metamorphic minerals are recrystallized phases. Metamorphism of illites then produces new mica phases.
Complex X-ray diffraction (XRD) profiles are described crystallographically by simulating XRD peaks for each phase, and adding the various elementary patterns to fit the experimental X-ray pattern. X-ray patterns of a ground muscovite and three polyphasic diagenetic I/S samples are fitted with this powerful, but time-consuming, technique. In the 6°–10°2θ CuKα range, the asymmetry of the muscovite peak is related to a very broad coherent scattering domain size (CSDS) distribution; for the I/S samples the even greater asymmetry is due to the presence of several phases with close, but distinct crystallographic characteristics (I/S, illite, and detrital mica).
A simulation-decomposition approach for modelling XRD patterns is introduced to describe quickly and accurately the various clay minerals (essentially mixed-layer illite/smectite and illite) present in a sedimentary series, and to follow their individual evolution during diagenesis. The theory for these simulations is described briefly. The influence of mixed-layer heterogeneity (the distribution of CSDS, and the distribution of smectite content) on the shape of X-ray peaks is shown theoretically to be minimal. Indeed, for both CSDS and smectite content, the important parameter for peak shape appears to be the mean value of the distribution and not its width and/or its shape. The theoretical limitations of the decomposition method are presented. Minor experimental limitations (reproducibility, experimental peak shape, discrimination) make this method a powerful and reliable tool to describe X-ray patterns. The method is used to show the simultaneous occurrence of three “illitic” phases in a sedimentary series from the Paris Basin. The respective evolution of the three phases is clearly evidenced by using this decomposition method. However, the precise identification of these different phases remains difficult to determine because of the difference in peak width between simulated and experimental X-ray patterns.
The smectite-to-illite diagenetic transformation has been documented in 5 different sedimentary basins using X-ray diffraction (XRD). Intermediate reaction products coexisting because of the effect of kinetics on this reaction have been characterized using decomposition of XRD patterns and comparison with calculated patterns. The nature and relative abundances of the various subpopulations of particles are shown to vary as a function of the geothermal gradient and of the age of the sediment. In all sedimentary basins that experienced a low steady geothermal gradient the physico-chemical characteristics (coherent scattering domain size [CSDS], junction probabilities) of intermediate mixed-layered illite-smectites (I-S) are similar. However, both the relative abundance and the crystallinity of the end-member illite increase as a function of the age of the sediment.
In basins that have experienced a higher geothermal gradient, the CSDS of the I-S subpopulation is higher for a given illite content, indicating a slightly different reaction pathway. This difference in the characteristics (peak position and width) of elementary peaks may be used to infer the presence of such a high geothermal gradient when no other data are conclusive. In this case the growth of the illite end-member is favored over the growth of intermediate I-S phases even in young basins. Illitic phases formed from the alteration of kaolin minerals exhibit characteristics similar to the reaction products of the smectite-to-illite diagenetic transformation in the case of a high geothermal gradient. In contrast with what is observed in shale diagenesis, the characteristics of the illitic subpopulations describe a continuum with absolutely no gap in between subpopulations. In sandstone reservoirs, the various subpopulations crystallize simultaneously from a kaolin precursor. As a consequence, no kinship is expected between the various subpopulations.
This study investigates the relationship between occupational skills and wages in Thailand using the Labour Force Survey from 1985 to 2020. We quantify the contribution of changes in the skill requirement and highlight the increase in the return on the ‘brain’ and the decrease in the penalty on ‘brawn’, which helps explain the wage distribution changes across periods. We further explore the polarisation in the labour market and analyse the changes in the wage distribution by applying the decomposition method proposed by Firpo et al (2009). Our results suggest that wage dispersion increases in the top end over the first two time periods but decreases in the third time period, while it continues to decrease in the lower end of the distribution.
Citrate is distributed widely in the Earth’s surface environments as a biological product released by microbes and plants. Citrate is also often used as a chelating agent for the selective dissolution of iron coatings and free iron oxides in soils. Adsorption experiments of Cs+ and IO3− before and after the complexation of citrate with the pseudoboehmite surface were conducted to evaluate the effects of citrate on the adsorption of these ions on the surface of pseudoboehmite. Additional adsorption experiments of Cs+ and IO3− after the decomposition of citrate adsorbed on the pseudoboehmite surface were also performed to confirm the recovery of the original surface properties. Citrate decomposition was carried out by means of 10% H2O2 treatments at 75°C and pH 5, 7, and 9. The results indicated that citrate complexation decreased remarkably the adsorption of both Cs+ and IO3− in the pH range 3–10, which was due to a decrease in the number of active charged sites available for adsorption of these ions. Decomposition of citrate adsorbed on the pseudoboehmite surface was found to be complete after three rounds of treatment with 10% H2O2 at 75°C and pH > 7. After the decomposition of citrate adsorbed on the pseudoboehmite surface, the adsorption of both Cs+ and IO3− was restored completely to the initial amounts before citrate complexation, and the inhibition effect of citrate on the adsorption of these ions disappeared under all pH conditions.
The life sciences and social sciences typically study “complex adaptive systems:” nonlinear, self-organizing, adaptive, multilevel, multicomponent systems in which dense interconnections between elements produce irreducible/emergent systems effects. Systems and their components are partially (in)separable: they can be fully understood neither solely in terms of their parts (some outcomes are emergent) nor solely in terms of the whole (the character of the parts is essential to the nature of the whole). Important implications of a complex adaptive systems perspective for IR include a new view of international systems and their structures; a distinctive understanding of social continuity and social change; new perspectives on levels, theory, and explanation; new tools for comparative analysis; renewed attention to hierarchy; and a distinctive understanding of globalization.
Drawing on race-centered Hamlet scholarship by Patricia Parker and Peter Erickson, and alluding to work by Scott Newstok and Ayanna Thompson, “Engendering the Fall of White Masculinity in Hamlet” offers a racially focused analysis of this rich text that centers white people watching other white people. Hamlet surveys deviations from ideal white conduct and reveals how gender expectations are violated and how white people repeatedly disrespect, only to redefine, socially constructed racialized boundaries. I offer a critique of Hamlet that directly associates white unmanliness with Denmark’s “rotten” state, its socio-political ruin. Specifically, I read the intraracial discord against the play’s structure as a decomposition process. Hamlet depicts uncouth, less-than-ideal whiteness in relationship to gender expectations: unmanliness gets coded as black so the play can suggest certain Danish figures do not epitomize ideal white masculinity.
When a design team faces the problem of designing a complex system, they are required to make several decisions. Because such design problems are difficult to solve all at once, teams often decompose the design problem into several smaller subproblems. This paper discusses the results of a study designed to understand how design teams decompose a factory redesign problem into sets of related subproblems and compare the subproblems obtained for each design team. This exploratory study analyzed the design activities of eight teams of professionals and used clustering to group the variables that the design teams considered. We found that the design teams used different decomposition strategies and different subproblems, but they more often considered subproblems with design variables of the same type, and some teams followed a top-down design process.
Solution spaces are sets of designs that meet all quantitative requirements of a given design problem, aiding requirement management. In previous works, ways of calculating subsets of the complete solution space as hyper-boxes, corresponding to a collection of permissible intervals for design variables, were developed. These intervals can be used to formulate independent component requirements with built-in tolerance. However, these works did not take physical feasibility into account, which has two disadvantages: first, solution spaces may be useless, when the included designs cannot be realized. Second, bad designs that are not physically feasible unnecessarily restrict the design space that can be used for requirement formulation.
In this paper, we present the new concept of a requirement space that is defined as the largest set of designs that (1) allows for decomposition (e.g., into intervals when it is box-shaped), (2) maximizes the useful design space (good and physically feasible), and (3) excludes the non-acceptable design space (bad and physically feasible). A small example from robot design illustrates that requirement spaces can be significantly larger than solution spaces and thus improve requirement decomposition.
Archimedes, the founder of statics and hydrostatics, in his mathematics and physics studies, created methods related to his inventions of new machines, for example, the method of mechanical theorems based on his lever invention. He also used the principles of decomposition and replication underlying his heat ray invention, and these two principles permeate his work. Analysis of Archimedes’ work shows how he was perhaps the first to use methodically a strategy for solving diverse complex problems. In this article, we use the term Archimedes Code to encompass the way Archimedes approached problems including those two principles. Archimedes was perhaps the first design theorist and the first to think systematically about how to address design challenges. Furthermore, his work demonstrates the fundamental role of engineering practice in advancing science. The new insights regarding the Archimedes Code and its value in design practice may inspire both design researchers and practitioners.
We consider a Lévy process Y(t) that is not continuously observed, but rather inspected at Poisson(
$\omega$
) moments only, over an exponentially distributed time
$T_\beta$
with parameter
$\beta$
. The focus lies on the analysis of the distribution of the running maximum at such inspection moments up to
$T_\beta$
, denoted by
$Y_{\beta,\omega}$
. Our main result is a decomposition: we derive a remarkable distributional equality that contains
$Y_{\beta,\omega}$
as well as the running maximum process
$\bar Y(t)$
at the exponentially distributed times
$T_\beta$
and
$T_{\beta+\omega}$
. Concretely,
$\overline{Y}(T_\beta)$
can be written as the sum of two independent random variables that are distributed as
$Y_{\beta,\omega}$
and
$\overline{Y}(T_{\beta+\omega})$
. The distribution of
$Y_{\beta,\omega}$
can be identified more explicitly in the two special cases of a spectrally positive and a spectrally negative Lévy process. As an illustrative example of the potential of our results, we show how to determine the asymptotic behavior of the bankruptcy probability in the Cramér–Lundberg insurance risk model.
In recent years, studies show that obesity has become an important health condition, especially among adults. The first aim of this study is to examine socio-demographic and behavioural factors on body mass index distribution of male and female adults over 20 years old in Turkey. The second aim is to determine the body mass index disparity by gender and the socio-demographic and behavioural factors that might wider or narrow it. This study adopts unconditional quantile regression and decomposition methods, and the data set covers the Turkish Health Surveys for 2014, 2016, and 2019. The findings document that high level of body mass index are associated with being married, aging, and physical inactivity. Interestingly, employment status has different contributions on the body mass index of males and females. The results also claim a body mass index gap among males and females as a result of differences in some potential socio-demographic and behavioural factors, and the gap gets higher at the upper and lower quantiles of BMI distribution. This study may provide a clear understanding for policymakers on how to design efficacious obesity policies considering the differences in the effect of socio-demographic and behavioural factors on the distribution of body mass index across females and males. The results suggest that the Ministry of Health should specifically target different groups for males and females and should reduce the differences in socio-demographic and behavioural determinants between females and males to prevent and reduce obesity prevalence in Turkey.
We present in this chapter the empirical techniques used to measure market efficiency and its implications, starting with the so-called OP gap and its dynamic version. We will then discuss the Foster productivity decomposition method and the Hsieh and Klenow techniques to measure allocative inefficiency. Market inefficiency is also related to concentration and market power. When competition in a market is reduced, aggregate productivity growth may decrease, reducing consumer welfare.
Shapes are perceived unanalyzed, without rigid representation of their parts. They do not comply with standard symbolic knowledge representation criteria; they are treated and judged by appearance. Resolving the relationship of parts to parts and parts to wholes has a constructive role in perception and design. This paper presents a computational account of part–whole figuration in design. To this end, shape rules are used to show how a shape is seen, and shape decompositions having structures of topologies and Boolean algebras reveal alternative structures for parts. Four examples of shape computation are presented. Topologies demonstrate the relationships of wholes, parts, and subparts, in the computations enabling the comparison and relativization of structures, and lattice diagrams are used to present their order. Retrospectively, the topologies help to recall the generative history and establish computational continuity. When the parts are modified to recognize emergent squares locally, other emergent shapes are highlighted globally as the topology is re-adjusted. Two types of emergence are identified: local and global. Seeing the local parts modifies how we analyze the global whole, and thus, a local observation yields a global order.