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111.
Jason G. Ralph 《European Security》2013,22(4):172-186
Adam Bronstone, European Union ‐ United States Security Relations. Transatlantic Tensions and the Theory of International Relations. Basingstoke: Macmillan, 1997. Pp.viii + 282, biblio., index. £45. ISBN 0–333–69136–9. Robert L. Hutchings, American Diplomacy and the End of the Cold War. An Insider's Account of US Policy in Europe, 1989–1992. Baltimore: Johns Hopkins University Press, 1997. Pp.xx + 456, illus., biblio., index. £33. ISBN 0–8018–5620–5. Thomas Risse‐Kappen, Cooperation Among Democracies. The European Influence on US Foreign Policy. Princeton: Princeton University Press 1995. Pp.x + 250, biblio., index. £30.50. ISBN 0–6910–3644–6. 相似文献
112.
Andreas Stevens Diana Schmidt Martin Hautzinger 《The journal of forensic psychiatry & psychology》2018,29(5):794-809
Major depression ranges among the most frequently diagnosed psychiatric disorders. Accordingly, diagnoses of depression are often underlying insurance, compensation or disability claims. This report evaluates the validity of clinicians’ diagnoses of major depression in a sample of claimants. In 2015, n = 127 consecutive cases were examined for medicolegal assessment. For all of them, a diagnosis of major depression had been established by clinicians. All testees underwent a psychiatric interview, a physical examination, they answered questionnaires for depressive symptoms according to DSM-5, embitterment disorder, post concussion syndrome (PCS) and unspecific somatic complaints. Performance and symptom validity tests were administered. Only 31% fulfilled the diagnostic criteria for DSM-5 major depression according to self-report, while none did so according to psychiatric assessment. Negative response bias was found in 64% of cases, feigned neurologic symptoms in 22%. Symptom exaggeration was indiscriminate rather than depression-specific. By self-report, 64% of the participants qualified for embitterment disorder and 93% for PCS. In conclusion, clinicians’ diagnoses of depression seem often confounded by improper assessment of the diagnostic criteria, confusion of depression with bereavement or embitterment and also by response bias. 相似文献
113.
Jason Gravel Blake Allison Jenny West-Fagan Michael McBride George E. Tita 《Journal of Quantitative Criminology》2018,34(1):189-219
Objectives
This study proposes a theoretical framework for understanding two empirical findings from gang research: (1) gangs are generally racially homogenous, even in heterogeneous environments, and (2) gang violence tends to be intra-racial. We draw from the extensive literature on street gangs as well as from research on group formation and status-enhancing behavior to develop a theoretical model of gang formation.Methods
Using game theory, we model the simultaneous decisions of individuals to commit status-enhancing acts of violence and to seek protection by joining a gang. We then conduct computer simulations to examine the resulting patterns of violence and gang composition.Results
We demonstrate that as long as some social distance exists between racial groups in a community, gang violence will be intra-racial and gangs will be homogenous. We find that our results are robust to a number of simple variations of the model and allow us to generate several hypotheses about the nature of gang formation and patterns of violence.Conclusions
When violence is motivated by socially constructed rewards, socially closer targets are likely to yield greater rewards. In such a system, individuals must reduce their likelihood of victimization by entering a social contract of non-violence (i.e. gang membership) with individuals who might view them as status-enhancing targets (i.e. socially close individuals). The result is that gangs are made up of socially close individuals interested in attacking other socially close individuals. Therefore, gangs tend to be racially homogenous and violence is overwhelmingly intra-racial.114.
Social Network Position of Gang Members in Schools: Implications for Recruitment and Gang Prevention
Schools are venues in which gang and non-gang involved youth converge. It is therefore a likely venue for gang recruitment. The extent to which this occurs depends upon the ability of gang members to connect with non-gang members. In this study, we compare the social network positions of high social status gang members who are well integrated into school networks with low status members who are not. Using network data from the Add Health study (n = 1,822), we find that not only are high status gang members strongly embedded within school networks, but that this status is driven by their ability to connect with non-gang members rather than other gang members (indicated by the high number of friendship nominations they receive from non-gang members). These gang members are potentially in optimal positions to influence others to join gangs. The implications of these results for school-based gang prevention programs are discussed. 相似文献
115.
Troy A. Webber K. Chase Bailey W. Alexander Alverson Edan A. Critchfield Kathleen M. Bain Johanna M. Messerly Justin J. F. O’Rourke Joshua W. Kirton Chrystal Fullen Janice C. Marceaux Jason R. Soble 《Psychological injury and law》2018,11(4):325-335
Assessment of performance validity is an essential part of a neuropsychological evaluation, with the inclusion of two or more performance validity tests (PVTs) becoming routine practice. Considering the time to administer multiple tests, there has been some support for use of the Test of Memory Malingering (TOMM) Trial 1 (T1) as an independent, “one and done” PVT. Notably, cutoffs for TOMM T1 need further validation, with an emphasis on minimizing false-positive classifications among those with bona fide cognitive impairment. In a clinically referred sample of 127 veterans, this study examined the role of cognitive impairment in TOMM performance and the utility of a TOMM T1 as an independent PVT. Examinees were administered the TOMM and three additional PVTs as part of a comprehensive neuropsychological battery. Sixty-eight percent of examinees were classified valid (35% of valid examinees were cognitively impaired). TOMM T1?≤?40 had excellent observed sensitivity (83%) and specificity (93%) overall, with minimal false-positive classification. TOMM T1 was also significantly correlated and concordant with other memory-based PVTs. Given score ranges and failure rates for TOMM T1?≤?40 among those with neurological/neurocognitive conditions, scores in the 37–40 range may merit administration of additional TOMM trials to maximize accuracy in identifying valid-cognitively impaired versus noncredible performance. Otherwise, an abbreviated TOMM administration (i.e., only T1) using a cutoff of ≤?40—in conjunction with one or more additional PVTs—may be sufficient for detecting noncredible/invalid test performance in the absence of known or suspected neurological/neurocognitive disorders. 相似文献
116.
From criminal complaint records all incidents of sexual misbehaviour resulting in charges in three North East Scotland courts during 1981 and 1982 were traced. Of the 80 alleged offenders, 75 were followed up for 10 years using current criminal records. Offending behaviour ranged from obscene telephone calls to rape. Half the offenders made no physical contact with their victims. These “hands-off” offenders were compared with “hands-on” offenders and were found to show a higher prevalence of sexual convictions both before the index offence and in the follow-up period. Those offenders who removed their victims clothes or had sexual intercourse with their victims were found to have the lowest prevalence of sexual reoffending. Degree of intrusiveness was inversely related to sexual recidivism in this sample and there was no evidence of progression over time to more intrusive offending. 相似文献
117.
Matthew Stevens 《The Journal of legal history》2013,34(1):21-44
This article uses data gathered by the University of London, Centre for Metropolitan History's recent project ‘Londoners and the Law: Pleadings in the Court of Common Pleas’, which sampled London-related cases pleaded before the fifteenth-century court of Common Pleas, to analyze the use of arbitration by sub-gentry and mercantile class disputants. It examines the relationship between arbitration and litigation at common law, the volume of London-related cases pleaded at common law which cited a prior failed arbitration, and in what types of disputes arbitration was employed. It presents the hypothesis that the use of arbitration by sub-gentry and mercantile class disputants in cases relating to London and Londoners may have declined between 1400 and 1468, and that arbitration was most widely used in certain types of multifaceted and exceptional disputes. This article tentatively suggests that developments in disputants' use of common law remedies may have related to changes in the frequency with which arbitration was employed, calling for further study. 相似文献
118.
Jason Taliadoros 《The Journal of legal history》2013,34(3):278-306
This article highlights the importance of the Statute of Westminster I in the history of the concept of punitive or exemplary damages in the Anglo-American legal tradition. Maitland had long ago noted that its provisions allowing for double and triple reparation had similarities to duplum and triplum remedies in Roman law. But this tentative hypothesis has not been further explored by scholars. In this article I suggest that the antecedents for the provisions on multiple reparation in Westminster I may lie in the Roman law delicts of furtum or iniuria and their links to actions in duplum and triplum, based on conceptual similarities in the substantive nature of the wrongdoing. This article explores possible avenues for direct Roman law influence as well as indirect means of transmission, namely by non-Roman law sources of concepts analogous to Roman law. 相似文献
119.
Jason Vick 《New Political Science》2013,35(2):204-223
What is the relationship between participatory and radical democracy and why are they relevant? This paper answers these questions by bringing into conversation the participatory theory of Pateman and the radical theories of Rancière and Wolin to see what they can learn from each other. I argue that participatory democracy demonstrates the value of attending to questions of institutional transformation, due to the ability of greater participation to both empower citizens and legitimize democratic authority structures. Radical democracy, on the other hand, calls attention to the ways in which the conditions of democratic possibility have changed in the past half century, thus making the dream of institutionalizing a participatory democracy much more difficult to realize. In doing so, I demonstrate that participatory and radical theories of democracy have much to offer to one another and to broader ongoing debates within democratic theory. 相似文献
120.
Jason Kendall Moore 《Diplomacy & Statecraft》2013,24(4):69-93
After its 1948 proposal to internationalize Antarctica had been rejected, the United States accepted the Chilean Escudero Plan as a necessiry for avoiding further political disputes among the seven nations that had balked at the proposal's call to renounce their sovereign rights. US and Chilean officials proceeded to discuss revisions that might enhance the Escudero Plan's acceptabiliry to the other nations, all of which shared the goal of excluding the Soviet Union. Before there had been any substantial progress, the 1957–58 International Geophysical Year legitimated the USSRs presence in the far south, and already tense US-Chilean relations entered a phase of heightened apprehensiveness. This article explores the diplomatic and contextual nuances of this bilateral interaction that proved central in bringing the Antarctic Treary of 1959 to fruition. 相似文献