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Furrow-irrigated rice (Oryza sativa L.) hectares are increasing in the Midsouth. The lack of sustained flooding creates a favorable environment for weed emergence and persistence, which makes Palmer amaranth (Amaranthus palmeri S. Watson) difficult to control throughout the growing season. The negative yield impacts associated with season-long A. palmeri interference in corn, cotton, and soybean have been evaluated. However, there is limited knowledge of the weed’s ability to influence rice grain yield. Research was initiated in 2022 and 2023 to determine the effect of A. palmeri time of emergence relative to rice on weed seed production and grain yield. Cotyledon stage A. palmeri plants were marked every seven days, beginning one week before rice emergence through four weeks after rice emergence. Amaranthus palmeri seed production decreased exponentially as emergence timing was delayed relative to rice, and seed production increased by 447 seed plant-1 for every one-gram increase in weed biomass. Without rice competition and from the earliest emergence timing, A.palmeri produced 540,000 seeds plant-1. Amaranthus palmeri that emerged one week before the crop had the greatest spatial influence on rice, with grain yield loss of 5% and 50% at a distance of 1.4 m and 0.40 m from the weed, respectively. As A. palmeri emergence was delayed, the area of influence decreased. However, A. palmeri plants emerging 3.5 weeks after rice emergence still negatively affected grain yield and produce sufficient seed to replenish the soil seedbank, potentially impacting long-term crop management decisions. These results show that the time of A. palmeri emergence is a crucial factor influencing rice grain yield and weed seed production, which can be used to determine the consequences of escapes in rice.
For many years, the reality about the role of women in American and southern history remained the absence of scholarship about women and the absence of women in the profession. The journey of women into the world of professional historians involved overcoming many stereotypes and prejudices. A few women emerged as professional historians who made major contributions into new areas of scholarship as early as the post-World War II years, but the ratio of women to men only began to increase in the late 1970s and early 1980s. Economist Claudia Goldin identified a “quiet revolution” of women entering the history profession between 1950 and 1970, which then exploded as women rushed into the profession in force during the 1970s. The influx of talented women opened new fields of study (women, family, social history topics, etc.). This chapter examines the influence of women who shaped new areas of study while also offering new perspectives on longstanding questions of broad scholarly interest.
This chapter examines Clare’s place among the poets in his own lifetime and more recently. The first section considers his appeal to recent and contemporary poets such as Heaney and Paulin. It argues that they have been inspired by Clare’s commitment to the local and provincial, especially his use of local vernacular, and also by his aesthetic of the uncouth and rebarbative, which also influenced Thomas. It goes on to explore how Clare’s close sensory attention to the natural world influenced Thomas, Longley, Oswald, and Jamie. The second section argues that Clare’s poetry developed in conversation with his wide reading. It focuses on a number of examples, including Collins, Cowper, and Thomson. Reading these poets alongside and through Clare we see new features of their writing emerge, giving us a richer, more dynamic sense of eighteenth-century verse, and of Clare’s poetry.
This chapter presents latent nuclear deterrence theory. It explains how it is possible to gain international leverage from a nuclear program if countries do not have nuclear weapons.
Dominant debates about China’s growing presence in the Pacific Islands – through infrastructure, aid, trade, and investment – suggest that Chinese material power directly translates to influence and effective interference in Pacific states’ domestic and foreign affairs. These perspectives fail to clarify the causal link between Chinese economic statecraft and Pacific governments’ alignment with Beijing’s interests. They also deny Pacific people agency, overlooking how power relations are mediated by Pacific state and non-state actors operating across complex political and socio-economic structures. We challenge such rationalist conceptualisations of Chinese power by developing a constructivist taxonomy of power as presence (dormant capability), influence (socialisation), and interference (incentives), and applying it to the Melanesian subregion. We argue that Chinese power is not merely material, causal, and unidirectional. Chinese power can also (re)shape the identities and interests of Pacific elites and publics in a constitutive manner, potentially aligning their ideas about substantive norms, rules, and practices guiding their foreign relations with Chinese ‘core interests’ and perspectives on regional and global politics.
Following its explosive debut in October 1817, Blackwood’s Edinburgh Magazine reached the heights of its notoriety in the following four years, and while it moderated its ferocity as the 1820s progressed, it continued to exert a powerful influence on British political, literary, and popular culture. Its early assaults on poets such as Percy Shelley and Lord Byron typically combined truculence with insight, and in the early 1830s it took the same approach to the poetry of Alfred Tennyson. Most notably, Blackwood’s writers like John Wilson, William Maginn, and Samuel Warren produced innovative terror fiction that rejected the ominous suggestions and careful evocations of ‘atmosphere’ in the late eighteenth-century Gothic in favour of the precision and the more direct realism of chapbooks, broadsheets, ‘true crime’ narratives, and newspaper accounts of executions, murders, and suicides. These fictions inspired Edgar Allan Poe, Charles Dickens, Robert Browning, and the three Brontë sisters, all of whom emulated and transformed the Blackwood’s tale of terror.
Multiple linear regression generalizes straight line regression to allow multiple explanatory (or predictor) variables, in this chapter under the normal errors assumption. The focus may be on accurate prediction. Or it may, alternatively or additionally, be on the regression coefficients themselves. Simplistic interpretations of coefficients can be grossly misleading. Later chapters elaborate on the ideas and methods developed in this chapter, applying them in new contexts. The attaching of causal interpretations to model coefficients must be justified both by reference to subject area knowledge and by careful checks to ensure that they are not artefacts of the correlation structure. There is attention to regression diagnostics, to assessment, and comparison of models. Variable selection strategies can readily over-fit. Hence the importance of training/test approaches and cross-validation. The potential is demonstrated for errors in x to seriously bias regression coefficients. Strong multicollinearity leads to large variance inflation factors.
This chapter is intended to invite composers at an earlier stage in their career to think about what their unique musical voice is, and how that might be influenced by the art and ideas existing around them. It concludes with some practical advice to help inspire composers to develop an understanding of what is most special about their musical instinct, imagination, and creativity.
This introduction briefly explores the relationship between compositional choice and stylistic expectation or ideology. With new music now a plethora of styles and approaches, how might we understand work that’s happening currently in the context of historical and social influence?
Serving as the editorial introduction to the Cambridge Companion to William Morris, this chapter offers a broad outline of Morris’s life, emphasizing the historical and cultural factors that informed his artistic philosophy and wide-ranging output. The contours of Morris’s critical reception, past and present, are also sketched, and brought into dialogue with the chapters collected here. The first part of the discussion considers ‘The Making of Morris’: that is, the complex nexus of influences and events that enabled him to make a distinctive and enduring contribution in so many fields. Much of this discussion is biographical, but it also considers spatial and geographical ways of understanding the shape of his life. The second part is entitled ‘Morris Making Us’,. It proposes ways in which Morris’s influence continues to condition and enable our ways of thinking as inheritors of his legacy.
As an undergraduate Morris was enthralled to read the work of John Ruskin, especially The Stones of Venice (1851–53). This book would profoundly influence Morris’s thinking for the rest of his life. The Kelmscott Press would publish a chapter from it – ‘The Nature of Gothic’ – in 1892. Morris developed Ruskin’s argument that the Gothic craftsman of the Middle Ages achieved pleasure in his work as a result of creative freedom and collaborative effort denied him by the factory system of industrial capitalism. Although Ruskin’s values were deeply rooted in Toryism and Christian morality, Morris accommodated Ruskin’s ideas and simultaneously embraced socialism. In 1883, Morris told an audience in the hall of University College, Oxford that he was ‘a member of a socialist propaganda’. Ruskin, seated on the platform throughout the lecture, reportedly rose at the end to praise Morris as ‘the great conceiver and doer, the man at once a poet, an artist, and a workman, and his old and dear friend’. This chapter describes the nature of the relationship between Morris and Ruskin and considers the significance, extent and limitations of his influence.
Chapter 5 examines the BJP’s attempt to build centres of elite, traditional intellectuals to legitimise its identity politics. While dismantling advisory committees, quashing dissent, and attacking universities and established research institutions, the BJP has built think tanks to bring together stakeholders in government and civil society and give its political ideology a footprint in already established policy networks. Some scholars have characterised the BJP’s think tanks as institutions of ‘soft Hindutva’ (see Anderson 2015), that is, organisations that avoid overt association with the BJP and Hindu-nationalist linkages but pursue a diffuse Hindutva agenda nevertheless. Through an ethnographic study of the BJP’s two most prominent think tanks, this chapter demonstrates how manifestations of Hindutva can be both explicitly political and anti-political at the same time: advocating for political interventionism while eschewing politics and forging an apolitical route towards cultural transformation.
Bernstein’s relationship with Aaron Copland was one of the most significant of his life. Starting with their first meeting in 1937, this chapter considers Copland’s musical influence on Bernstein as an emerging composer and the support and opportunities Copland provided during Bernstein’s formative years. It then goes on to explore the importance of Bernstein’s Copland advocacy on the conducting podium, with reference to major commissions, concerts, and recordings. Drawing on both their public and private comments and correspondence, the changing nature of their relationship and views on each other’s activities are traced, resulting in a shared portrait of more than five decades of friendship and musical connections.
Edited by
Helge Jörgens, Iscte – Instituto Universitário de Lisboa, Portugal,Nina Kolleck, Universität Potsdam, Germany,Mareike Well, Freie Universität Berlin
Using a dynamic version of the principal–agent model this chapter develops a theoretical framework for an international bureaucracy’s influence on the delegation of responsibilities by the organization’s member states. It argues that this influence is reinforced by external resource flows that both directly and indirectly strengthen the role of the bureaucracy. The chapter uses the case of the United Nations Framework Convention on Climate Change to test the hypotheses since its major resource flows have been driven solely by a private market for emissions credits, the Clean Development Mechanism (CDM). Between 2006 and 2013 when CDM revenues formed a significant share of the secretariat’s budget, rule-setting was increasingly dominated by the secretariat. When the crash of prices for CDM credits from 2012 onward reduced the secretariat’s revenues and projects to assess, secretariat-led rule-setting intensified. This approach was used to “buy time” in which secretariat leaders were hoping for a recovery of the CDM market. But when this recovery did not materialize, the secretariat started to lay off support staff and implicitly tried to reorient CDM resources for support of the Paris Agreement negotiations and implementation of national mitigation action.
Edited by
Helge Jörgens, Iscte – Instituto Universitário de Lisboa, Portugal,Nina Kolleck, Universität Potsdam, Germany,Mareike Well, Freie Universität Berlin
Focusing on three initiatives of the United Nations Framework Convention on Climate Change (UNFCCC) Secretariat – the Momentum for Change Initiative, the Lima–Paris Action Agenda, and the Non-state Actor Zone for Climate Action – this chapter studies how an international environmental bureaucracy can evolve from a low-key and servant-like secretariat to an actor in its own right. It argues that international environmental secretariats increasingly take on the role of an orchestrator that seeks to shape policy outcomes through changing the behavior of others. Using orchestration as a conceptual lens, the chapter identifies new types of influence of international bureaucracies. The forms of influence that the UNFCCC Secretariat exerts include in particular (i) awareness-raising, (ii) norm-building, and (iii) mobilization. This new way of how soft power is deployed underscores the increasingly proactive role of the UNFCCC Secretariat. The chapter concludes that the UNFCCC Secretariat is currently “loosening its straitjacket” by gradually expanding its original mandate and spectrum of activity. It is no longer a passive bystander but has adopted new roles and functions in the global endeavor to cope with climate change.
Edited by
Helge Jörgens, Iscte – Instituto Universitário de Lisboa, Portugal,Nina Kolleck, Universität Potsdam, Germany,Mareike Well, Freie Universität Berlin
This concluding chapter summarizes key findings of the chapters in this book and relates them to the seminal work Managers of Global Change: The Influence of International Environmental Bureaucracies by Frank Biermann and Bernd Siebenhüner. The chapter highlights changes in the strategies and causal mechanisms of international public administration influence in the environmental field and in the analytic concepts used to study international bureaucracies. It concludes by outlining the contours of future research in this still expanding academic field.
Edited by
Helge Jörgens, Iscte – Instituto Universitário de Lisboa, Portugal,Nina Kolleck, Universität Potsdam, Germany,Mareike Well, Freie Universität Berlin
This chapter reviews the most recent advances in the scholarly literature on international environmental bureaucracies and relates it to the long and fruitful research agenda on international public administrations (IPAs). In the first section, IPAs are defined and distinguished from the wider international organizations or treaty systems that they are an integral part of. The next section addresses the question of whether and how IPAs should be expected to matter in global environmental governance. It then presents selected empirical studies that find IPAs to have had an autonomous, discernible influence on international policy processes and outputs. The last section identifies the most relevant determinants and causal mechanisms of IPA influence and shows how the chapters in the book contribute to this continuously evolving research agenda.
Over the last two decades, the international community has increasingly turned its attention towards the phenomenon of human trafficking. While the majority of States have adopted legislation criminalising trafficking, and many also passed legislation aimed at protecting trafficked persons, compliance with international and domestic standards is often questioned. This chapter explores processes before, and decisions by, judicial, quasi-judicial and specialised non-judicial bodies as determinants of anti-trafficking efforts – understood as factors shaping governments’ anti-trafficking efforts and influencing compliance with and implementation of international standards. Deploying a comparative approach and building on the results of a large-scale project exploring the determinants of anti-trafficking efforts globally, this chapter evaluates four case studies (Argentina, Brazil, Cyprus and the United Kingdom). It outlines how judicial, quasi-judicial and specialised non-judicial bodies’ role is perceived by anti-trafficking stakeholders, and how these mechanisms interact with other determinants in influencing anti-trafficking efforts at the domestic level.
This study examines interest groups’ influence on the European Commission’s policy agenda. We argue that organizations can gain agenda-setting influence by strategically emphasizing different types of information. Analyzing a novel dataset on the engagement of 158 interest groups across 65 policy issues, we find that prioritizing information about audience support is more advantageous than emphasizing expert information. However, the effectiveness of highlighting the scope of audience support depends on the level of issue salience and degree of interest mobilization. Specifically, our findings indicate that when dealing with issues characterized by quiet politics, there are no systematic differences among groups employing distinct modes of informational lobbying.
It is commonly recognized that the modern capacity for mass online communication carries various dangers: fake news, rampant conspiracy theories, trolling, and so forth. It is less commonly realized that moral problems remain when the contents of online communications are completely innocuous. This article discusses one of the noteworthy features of modern digital technology, the fact that it is possible to precisely target specific audiences, and argues that this can make mass communications such as advertising and political campaigns morally problematic. What is more, this holds even if the communicator is using only rational persuasion. In being selective about who sees which arguments, one becomes liable to mislead the audience despite sticking to honest, evidence-based, rational argumentation.