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With a specific focus on violence and abuse, this chapter explores some the challenges that LGBTIQ people often experience, but also the strengths that LGBTIQ people display. The chapter reviews research on intimate partner violence experienced by LGBTIQ people (including identity-related abuse) and the violence perpetrated against animals in these contexts. Situating challenges alongside strengths is an important counter to the often negative messages and stereotypes that circulate about LGBTIQ people, as it encourages a focus on identifying sites of resistance and opportunities for change. The chapter therefore also explores the resiliencies that LGBTIQ people display in the face of adversity, including through relationships with animal companions.
Child maltreatment impacts approximately one in seven children in the United States, leading to adverse outcomes throughout life. Adolescence is a time period critical for the development of executive function, but there is little research examining how abuse and neglect may differently affect the developmental trajectories of executive function throughout adolescence and into young adulthood. In the current study, 167 adolescents participated at six time points from ages 14 to 20. At each time point, adolescents completed behavioral tasks measuring the three dimensions of executive function (working memory, inhibitory control, and cognitive flexibility). Neglect and abuse in early life (ages 1–13) were reported at ages 18–19. Unconditional growth curve models revealed age-related improvement in all three executive function dimensions. Conditional growth curve models tested the prospective effects of recalled neglect and abuse on the developmental trajectories of executive function. The results revealed that neglect was associated with developmental changes in working memory abilities, such that greater levels of neglect during ages 1–13 were associated with slower increases in working memory abilities across ages 14–20. These findings highlight the adverse consequences of early neglect experiences shown by delayed working memory development during adolescence into young adulthood.
Dextromethorphan/bupropion (DXM/BUP) received Food and Drug Administration (FDA) approval for the treatment of adults with major depressive disorder (MDD) in August 2022. This combination is not known to have abuse liability and is not currently scheduled by the Drug Enforcement Administration (DEA). Notwithstanding, dextromethorphan is a drug of abuse. Herein, we sought to determine whether DXM/BUP has alcohol and/or substance misuse liability.
Methods
We evaluated spontaneous reports of terms such as “alcohol problem, alcoholism, alcohol abuse, substance dependence, substance use disorder (SUD), substance abuse, drug dependence, drug use disorder and drug abuse” in the FDA Adverse Event Reporting System (FAERS). The FAERS is a spontaneous reporting database of adverse events submitted to the FDA.
Results
We performed a comparative assessment of the alcohol and/or substance misuse liability of DXM/BUP since its market authorization in August 2022, using acetaminophen as the control. Dextromethorphan served as the upper-bound reference point. Our findings showed that, since August 2022, dextromethorphan had a significant reporting odds ratio (ROR) for “drug abuse.” In contrast, DXM/BUP did not have a significant ROR for any of the categories of alcohol and/or substance misuse evaluated. Limitations of our findings derive largely from the limitations of the FAERS and its data capture method.
Conclusion
The absence of alcohol or substance misuse reported to the FAERS with DXM/BUP accords with the lack of evidence of abuse liability prior to FDA approval and its non-scheduling by the DEA.
This article re-reads Beckett’s play Not I (1972) in the light of the ‘Mother and Baby Homes Report’, published in January 2021. Beckett interrogates what James Smith, Clair Wills, and others have referred to as Ireland’s ‘architecture of containment’. Mouth, ‘brought up … with the other waifs’ in a mother and baby home, absorbed religious notions of sin and punishment. Through a close reading of selected passages, the article considers to what extent Not I can be read as a ‘survivor’s testimony’ such as those given to the commission of investigation into mother and baby homes.
The concept of “constitutional identity” in the context of the EU has evolved significantly over the years, leading to complex debates and challenges. This chapter explores the historical trajectory of constitutional identity in the EU, from its early emergence in response to concerns about sovereignty to its current state of political and legal contestation. The chapter highlights that while constitutional identity is a global concept, the European experience exhibits distinct characteristics. Two noteworthy factors contributing to this distinctiveness are Europe’s legal integration and the inclusion of an identity clause in EU law (Article 4(2) TEU), a unique feature in supranational constitutionalism. The chapter argues against abandoning the concept of constitutional identity due to its recent abuses, asserting that it is a legally recognized notion within EU law. Instead, the chapter claims the focus should be on identifying and addressing abuses while acknowledging the concept’s importance in balancing competing fundamental principles within the EU legal framework. It concludes by emphasizing the need to distinguish between legitimate uses of constitutional identity and its abusive applications, advocating for the protection of constitutional identities that align with EU core principles and calling for the development of a European constitutional identity as a complementary concept.
Several factors shape the neurodevelopmental trajectory. A key area of focus in neurodevelopmental research is to estimate the factors that have maximal influence on the brain and can tip the balance from typical to atypical development.
Methods
Utilizing a dissimilarity maximization algorithm on the dynamic mode decomposition (DMD) of the resting state functional MRI data, we classified subjects from the cVEDA neurodevelopmental cohort (n = 987, aged 6–23 years) into homogeneously patterned DMD (representing typical development in 809 subjects) and heterogeneously patterned DMD (indicative of atypical development in 178 subjects).
Results
Significant DMD differences were primarily identified in the default mode network (DMN) regions across these groups (p < 0.05, Bonferroni corrected). While the groups were comparable in cognitive performance, the atypical group had more frequent exposure to adversities and faced higher abuses (p < 0.05, Bonferroni corrected). Upon evaluating brain-behavior correlations, we found that correlation patterns between adversity and DMN dynamic modes exhibited age-dependent variations for atypical subjects, hinting at differential utilization of the DMN due to chronic adversities.
Conclusion
Adversities (particularly abuse) maximally influence the DMN during neurodevelopment and lead to the failure in the development of a coherent DMN system. While DMN's integrity is preserved in typical development, the age-dependent variability in atypically developing individuals is contrasting. The flexibility of DMN might be a compensatory mechanism to protect an individual in an abusive environment. However, such adaptability might deprive the neural system of the faculties of normal functioning and may incur long-term effects on the psyche.
Childhood maltreatment is associated with internet addiction, but most evidence is from retrospective studies.
Aims
We aimed to investigate the relationship between childhood maltreatment and internet addiction through a prospective cohort design.
Method
In a prospective cohort study, self-reported data on childhood maltreatment (Childhood Trauma Questionnaire – Short Form) at baseline, and internet addiction (Revised Chinese Internet Addiction Scale) at baseline and 6-month follow-up, were collected online from 756 Chinese junior middle school students aged 11–15 years and residing in Changsha, Hunan Province. Demographic data and covariates such as depression, anxiety, stress (Depression, Anxiety, and Stress Scale 21) and insomnia (Athens Insomnia Scale) were also surveyed at baseline. Logistic regression analysis measured the association between childhood maltreatment and internet addiction, and gender-related differences.
Results
Childhood maltreatment was prevalent in Chinese junior middle school students (37.83%), and the incidence rate of internet addiction was 9.26% at the 6-month follow-up. Emotional abuse was a significant risk factor for internet addiction (adjusted odds ratio 2.618, 95% CI 1.194–5.738; P = 0.016) in both males and females.
Conclusions
This study suggests a high prevalence of childhood maltreatment in Chinese junior middle school students, and that emotional abuse plays a significant role in internet addiction. More attention should be paid to parenting style and adolescents’ mental health.
This chapter examines the specific challenges faced by individuals with a history of childhood maltreatment (CM) as they transition into parenthood. The transition to parenthood involves many challenges that require adjustment, such as adapting to one’s own bodily changes (for the birthing parent), forging a parental identity, and attaching to the infant. Although these tasks may not be easy for any parent-to-be, those who have experienced maltreatment during their childhood may find them especially difficult. One crucial domain in which these early life experiences might influence their core parenting skills is the ability to emotionally regulate themselves as well as model positive emotional regulatory processes for their children. The author presents various perspectives to explain how these early life experiences of abuse and neglect affect parental emotion self-regulation and current parenting approaches. This chapter adds valuable tools to the parental toolbox of those with a history of CM and guides such parents on how their regulatory skills can be improved to better equip themselves to cope with potential parenting challenges and raise well-adjusted children.
Chapter 5 deals extensively with tutelle in the late nineteenth century by concentrating on the working lives of minors, mostly as apprentices and domestics. Minors performed a wide variety of tasks, some of them gender-specific. Young girls did mostly household and domestic tasks; boys became apprentices and learned artisanal crafts. Of the artisanal crafts, carpentry was the most popular, but masons, blacksmiths, tailors, seamstresses, and grain pounders took wards as apprentices. In the 1880s and 1890s, the state confided minors to institutions including Catholic missions, though not always to serve as apprentices. Case studies detail the ways in which their labor was exploited and how they responded to coercion and abuse. They reveal considerable delinquency and misery, which sometimes led to incarceration. The relationship between minors and their guardians in work settings was often characterized by discord, even violence. The chapter explores abuses in tutelle including the hiring out of minors without informing French authorities and the refusal of guardians to compensate minors for their labor when warranted. The chapter analyzes complaints lodged by guardians about minors and the ways in which minors exercised agency. It ends with an exploration of sexual exploitation and prostitution.
Chapter 6 deals with twentieth-century legislation of tutelle in response to earlier legislative failures, revelations about the lack of supervision, abuse of minors, and the disregard for French laws governing slavery and slave trading, all of which led to the crisis of 1903 and 1904.. It begins with the central legislative question in 1903 which revolved around contravention of the 1831 law which prohibited the purchase or selling of slaves. The question was whether the law applied to slave trading in Africa. Were French citizens engaging in outright slave trading or doing so under the guise of rachat? Revelations and judgments rendered in court cases at the time led to state intervention that gave rise to calls for censuses of liberated minors and rigorous accountability of guardianship. The chapter analyzes prominent cases of slave trading and their ramifications. It explores Governor Guy’s Act of 1903, which attempted to regulate guardianship effectively following his complaint that the redemption of minors was a subterfuge for slavery. The chapter offers an assessment of the clashes between leading French officials and ends with the replacement of the Procureur Général by the Secretaire Général as the primary administrator of guardianship.
Flight and other aspects of life in tutelle, such as marriage, abuse, and death, are taken up in Chapter 8. The chapter analyzes flight from the 1870s. Many minors fled after alleging mistreatment by their guardians. Others absconded to rid themselves of unhappy circumstances. The legal authorities normally acted and launched searches, often to no avail. Guardians generally disregarded the laws and regulations governing guardianship with impunity, including the requirement to notify the authorities when leaving Senegal with their wards. Some moved to other parts of Senegal; others to other parts of Africa; still others to France, temporarily or permanently. Although guardians had the upper hand in their dealings with minors and prevailed with the administration, the latter lodged complaints against them for poor treatment, deprivation, and abuse with police commissioners. Guardians often kept wards in tutelle well beyond the age of eighteen. While in tutelle, some wards, mostly females, got married following proposals mainly from newly emancipated slaves, predominantly Tirailleurs Sénégalais. In all cases, guardians took charge, made the arrangements, and notified the authorities. The chapter ends with the death of liberated minors in tutelle in both Senegal and France.
The separation of powers principle and antitrust both relate to power – a multidimensional, multifactorial, contextual, and evolutive notion – and notably deal with the concentration or the abuse of power. The separation of powers principle primarily relates to the branches of government and state functions. For its part, antitrust is linked to economic power.
Opioid misuse is now a worldwide epidemic and major public health issue with widespread implications. This fascinating book provides a collection of compelling arguments on how the course of the opioid epidemic can be changed. It offers an overview of the historical origins of opioid addiction, a summary of the current state of the worldwide epidemic and an examination of the likelihood of success for current and proposed solutions. Specific chapters focus on why some people are affected by addiction, the effect of policy and regulations, changing trends in opioid use, detoxification, the financial cost of addiction treatment, and proactive measures to prevent addiction. Drawing upon both past and current academic research as well as personal accounts, ideas and concepts are presented in a clear and accessible narrative. This book is a convenient single source of information for healthcare professionals, students and individuals personally affected by opioid addiction.
Chapter 7 summarises the book’s findings and explains their implications for advocacy and law reform. It argues that recognition of the indivisibility of human rights is important to ensure that targeted services are provided for people with disability to address their disproportionate levels of socio-economic disadvantage. It decries the privileging of civil and political rights especially the right to legal capacity over all other rights, for encouraging the ‘lazy state’ that erroneously justifies its neglect of marginalised people in the name of upholding their human rights. It provides the example of personalised or individualised services premised on simplistic notions of choice and control, which often fail to uphold the rights of people with cognitive disabilities. It stresses the importance for the state and community of acknowledging difference to promote services that ensure civil, economic, political, social and cultural inclusion in all cases.
Shakespeare’s White Others’ conclusion engages The Comedy of Errors to reaffirm how race always matters. I argue that The Comedy of Errors’ concern with mistaken identity resonates with the modern Black experience. While considering my book’s preoccupation with the effects of racism, othering, anti-Blackness, and racial profiling, I turn to Patricia Akhimie’s Comedy of Errors criticism to consider how one can be “bruised with adversity” not just physically, but also psychologically. The conclusion’s title plays on the name of Shakespeare’s comedy because, as I see it, anti-blackness and anti-Black racism position white people, including white others, in opposition to Black people in what feels like a comedy of (t)errors: a space that is a genre of its own and akin to Negro-Sarah’s funnyhouse environment in Adrienne Kennedy’s Funnyhouse of a Negro. Racial tribulation is a life sentence tied to the Black existence.
Many Christian groups and churches have been forced to recognize that they have been complicit in behaviour which has betrayed the gospel. How then is the church to address the historical reality of being an abusive healer? The image of the bronze serpent (Num. 21.4-9; 2 Kgs 18.4; Jn 3.14) offers an ambiguous image which may reveal the reality of the church as both a source of abuse and trauma as well as an instrument of healing within a pattern of restorative justice.
In 2015, the Truth and Reconciliation Commission of Canada (TRC) concluded that Canada had committed “cultural genocide” in government-supported residential schools that aimed to forcibly assimilate First Nations peoples since the nineteenth century. The TRC’s finding of cultural genocide in Canada can inform our understanding of American Indian boarding schools in the U.S. given the similarities and connections between the two systems. Both countries founded their schools with the aim of achieving total assimilation, or cultural genocide. Both, however, did much more than forcibly assimilate Indigenous youth. At the root of U.S. and Canadian Indigenous education project rests a genocidal truth: they may have committed all of the genocidal crimes enumerated in the UNGC. School administrators held people year after year with full knowledge of how lethal the schools were and an explicit plan to commit cultural genocide. This chapter demonstrates how scholars of the American Indian boarding schools can learn from the TRC, consider how we may evaluate the schools under the UNGC, and ultimately conduct additional data-gathering in order to reach a better understanding of what happened in these institutions.
Asylum seekers are often portrayed as “bogus refugees” who try to abuse a destination country’s generosity and protection. We scrutinise the use and effect of such a constructed abuse policy narrative in Swiss asylum referendums by examining the conveyance of this narrative by political elite actors (meso-level) and its effect on citizens’ opinion formation (micro-level). On the meso-level, our analysis shows that political organisations rely more strongly on the abuse policy narrative (1) if a referendum proposal contains more tightening as opposed to streamlining policies and (2) if their political ideology is to the right. While the first finding also applies at the micro-level, voters from both the right and the centre are likely to base their decision on the abuse policy narrative. The fact that this narrative is convincing for centrist voters is particularly important as they usually play a decisive role in the outcome of asylum referendums.
Throughout human evolutionary history, infants and children have been dependent on adult caregivers for survival. The care that adults give is greatly influenced by prevailing conditions, including the availability of food and their social contacts, and also by their own experience of care. We use an evolutionary perspective to discuss possible reasons why children may suffer trauma at the hands of their parents and consider how children have adapted in response to such trauma to maximise their chances of survival in order to reach reproductive age and produce their own offspring. We examine how child maltreatment might differ at the hands of mothers, fathers and step-parents and discuss parent–offspring conflict, life history theory, attachment theory and differential susceptibility to help explain the complexity of childhood trauma. We end with recommendations for clinical practice.
Understanding the factors that play a role in the initiation of alcohol use and the subsequent transition to later alcohol abuse adolescence is of paramount importance from the context of developing better-targeted types of secondary (“pro-active”) prevention interventions (Hendriks VM, Dom G., 2021). Peer and family influences together with temperament traits have been suggested to be of cardinal importance regarding the initiation of alcohol use. In addition to these factors neurobiological and genetic factors play a major role in the risk of developing alcohol abuse upon initiation. The presentation will highlight the different psychological, neurobiological, and social factors underlying the risk of the transition to abuse and dependence in adolescence. In addition, examples of targeted prevention interventions will be highlighted.