The Reversed Gender Gap in Education and Assortative Mating in Europe. De Hauw, Yolien, Grow, Andre, and Van Bavel, Jan. European Journal of Population, https://link.springer.com/article/10.1007/s10680-016-9407-z
Abstract: While in the past men received more education than women, the gender gap in education has turned around: in recent years, more highly educated women than highly educated men are reaching the reproductive ages. Using data from the European Social Survey (rounds 1–6), we investigate the implications of this reversed gender gap for educational assortative mating. We fit multilevel multinomial regression models to predict the proportions of men and women living with a partner of a given level of education, contingent on respondents’ own educational attainment and on the cohort-specific sex ratio among the population with tertiary education at the country level. We find that highly educated women tend to partner more often “downwards” with less educated men, rather than remaining single more often. Medium educated women are found to partner less often “upwards” with highly educated men. For men, there is no evidence that they are more likely to partner with highly educated women. Rather, they are found to be living single more often. In sum, women’s advantage in higher education has affected mating patterns in important ways: while women previously tended to form unions with men who were at least as highly educated as themselves, they now tend to live with men who are at most as highly educated. Along the way, advanced education became a bonus on the mating market for women as well as for men.
Thursday, September 14, 2017
In men, education is positively associated with eventual fertility
Education, Other Socioeconomic Characteristics Across the Life Course, and Fertility Among Finnish Men. Jessica Nisén et al. European Journal of Population, https://link.springer.com/article/10.1007/s10680-017-9430-8
Abstract: The level of education and other adult socioeconomic characteristics of men are known to associate with their fertility, but early-life socioeconomic characteristics may also be related. We studied how men’s adult and early-life socioeconomic characteristics are associated with their eventual fertility and whether the differences therein by educational level are explained or mediated by other socioeconomic characteristics. The data on men born in 1940–1950 (N = 37,082) were derived from the 1950 Finnish census, which is linked to later registers. Standard and sibling fixed-effects Poisson and logistic regression models were used. Education and other characteristics were positively associated with the number of children, largely stemming from a higher likelihood of a first birth among the more socioeconomically advantaged men. The educational gradient in the number of children was not explained by early socioeconomic or other characteristics shared by brothers, but occupational position and income in adulthood mediated approximately half of the association. Parity-specific differences existed: education and many other socioeconomic characteristics predicted the likelihood of a first birth more strongly than that of a second birth, and the mediating role of occupational position and income was also strongest for first births. Relatively small differences were found in the likelihood of a third birth. In men, education is positively associated with eventual fertility after controlling for early socioeconomic and other characteristics shared by brothers. Selective entry into fatherhood based on economic provider potential may contribute considerably to educational differentials in the number of children among men.
Abstract: The level of education and other adult socioeconomic characteristics of men are known to associate with their fertility, but early-life socioeconomic characteristics may also be related. We studied how men’s adult and early-life socioeconomic characteristics are associated with their eventual fertility and whether the differences therein by educational level are explained or mediated by other socioeconomic characteristics. The data on men born in 1940–1950 (N = 37,082) were derived from the 1950 Finnish census, which is linked to later registers. Standard and sibling fixed-effects Poisson and logistic regression models were used. Education and other characteristics were positively associated with the number of children, largely stemming from a higher likelihood of a first birth among the more socioeconomically advantaged men. The educational gradient in the number of children was not explained by early socioeconomic or other characteristics shared by brothers, but occupational position and income in adulthood mediated approximately half of the association. Parity-specific differences existed: education and many other socioeconomic characteristics predicted the likelihood of a first birth more strongly than that of a second birth, and the mediating role of occupational position and income was also strongest for first births. Relatively small differences were found in the likelihood of a third birth. In men, education is positively associated with eventual fertility after controlling for early socioeconomic and other characteristics shared by brothers. Selective entry into fatherhood based on economic provider potential may contribute considerably to educational differentials in the number of children among men.
Enhancing a men's perception of their own mate value shifts attitude toward casual sex to very interested
Marzoli, D., Havlícek, J. and Roberts, S. C. (2017), Human mating strategies: from past causes to present consequences. WIREs Cognitive Science, e1456. doi:10.1002/wcs.1456
Abstract: In both humans and nonhuman animals, mating strategies represent a set of evolutionary adaptations aimed at promoting individual fitness by means of reproduction with the best possible partners. Given this critical role, mating strategies influence numerous aspects of human life. In particular, between-sex divergence in the intensity of intrasexual competition could account for robust cross-cultural sex differences in psychology and behavior (e.g., personality, psychiatric disorders, social behavior, violence). Several other factors (including individual differences, relationship type and environment) affect—in an evolutionarily consistent manner—variation in mating strategy that individuals pursue (as one example, awareness of one's own attractiveness impinges on mating standards). Here we provide an overview of relevant theoretical frameworks and empirical evidence on variation in mating strategies. Given its multifaceted nature and intense research interest over several decades, this is a challenging task, and we highlight areas where further investigation is warranted in order to achieve a clearer picture and resolve apparent inconsistencies. However, we suggest that addressing outstanding questions using a variety of different methodological approaches, a deeper understanding of the cognitive representations involved in mating strategies is within reach.
Abstract: In both humans and nonhuman animals, mating strategies represent a set of evolutionary adaptations aimed at promoting individual fitness by means of reproduction with the best possible partners. Given this critical role, mating strategies influence numerous aspects of human life. In particular, between-sex divergence in the intensity of intrasexual competition could account for robust cross-cultural sex differences in psychology and behavior (e.g., personality, psychiatric disorders, social behavior, violence). Several other factors (including individual differences, relationship type and environment) affect—in an evolutionarily consistent manner—variation in mating strategy that individuals pursue (as one example, awareness of one's own attractiveness impinges on mating standards). Here we provide an overview of relevant theoretical frameworks and empirical evidence on variation in mating strategies. Given its multifaceted nature and intense research interest over several decades, this is a challenging task, and we highlight areas where further investigation is warranted in order to achieve a clearer picture and resolve apparent inconsistencies. However, we suggest that addressing outstanding questions using a variety of different methodological approaches, a deeper understanding of the cognitive representations involved in mating strategies is within reach.
The long-term decline in Greenland Ice Sheet reflectivity between 2000 and 2012 might be more significant than previously thought
How robust are in situ observations for validating satellite-derived albedo over the dark zone of the Greenland Ice Sheet? J. C. Ryan et al. Ryan, J. C., A. Hubbard, T. D. Irvine-Fynn, S. H. Doyle, J. M. Cook, M. Stibal, and J. E. Box (2017), How robust are in situ observations for validating satellite-derived albedo over the dark zone of the Greenland Ice Sheet?, Geophys. Res. Lett., 44, 6218–6225, doi:10.1002/2017GL073661.
Abstract: Calibration and validation of satellite-derived ice sheet albedo data require high-quality, in situ measurements commonly acquired by up and down facing pyranometers mounted on automated weather stations (AWS). However, direct comparison between ground and satellite-derived albedo can only be justified when the measured surface is homogeneous at the length-scale of both satellite pixel and in situ footprint. Here we use digital imagery acquired by an unmanned aerial vehicle to evaluate point-to-pixel albedo comparisons across the western, ablating margin of the Greenland Ice Sheet. Our results reveal that in situ measurements overestimate albedo by up to 0.10 at the end of the melt season because the ground footprints of AWS-mounted pyranometers are insufficient to capture the spatial heterogeneity of the ice surface as it progressively ablates and darkens. Statistical analysis of 21 AWS across the entire Greenland Ice Sheet reveals that almost half suffer from this bias, including some AWS located within the wet snow zone.
Plain Language Summary
Ground measurements of reflectivity, such as those made by automated weather stations, are often used to determine the accuracy of satellite measurements. But the footprints of the instruments mounted on automated weather stations are usually much smaller than the pixel of the satellite image, meaning that comparison between the two is only justified when the surface is relatively uniform. We use high resolution imagery collected by a UAV to demonstrate that the surface of the Greenland Ice Sheet is often not uniform at the scale of both the weather station and satellite pixel due to the presence of impurities, surface water and crevasses. This means that a point measurement of reflectivity might not capture the full variability of the surface, resulting in discrepancies when compared to satellite image pixels. Furthermore, weather stations are usually located on safe areas of flat, bare ice or snow, so they usually overestimate reflectivity in comparison to the satellite pixel. We argue that if unrepresentative ground measurements are removed from satellite comparison exercises then the uncertainty in satellite products could be reduced. Hence, the long-term decline in Greenland Ice Sheet reflectivity between 2000 and 2012 might be more significant than previously thought.
Abstract: Calibration and validation of satellite-derived ice sheet albedo data require high-quality, in situ measurements commonly acquired by up and down facing pyranometers mounted on automated weather stations (AWS). However, direct comparison between ground and satellite-derived albedo can only be justified when the measured surface is homogeneous at the length-scale of both satellite pixel and in situ footprint. Here we use digital imagery acquired by an unmanned aerial vehicle to evaluate point-to-pixel albedo comparisons across the western, ablating margin of the Greenland Ice Sheet. Our results reveal that in situ measurements overestimate albedo by up to 0.10 at the end of the melt season because the ground footprints of AWS-mounted pyranometers are insufficient to capture the spatial heterogeneity of the ice surface as it progressively ablates and darkens. Statistical analysis of 21 AWS across the entire Greenland Ice Sheet reveals that almost half suffer from this bias, including some AWS located within the wet snow zone.
Plain Language Summary
Ground measurements of reflectivity, such as those made by automated weather stations, are often used to determine the accuracy of satellite measurements. But the footprints of the instruments mounted on automated weather stations are usually much smaller than the pixel of the satellite image, meaning that comparison between the two is only justified when the surface is relatively uniform. We use high resolution imagery collected by a UAV to demonstrate that the surface of the Greenland Ice Sheet is often not uniform at the scale of both the weather station and satellite pixel due to the presence of impurities, surface water and crevasses. This means that a point measurement of reflectivity might not capture the full variability of the surface, resulting in discrepancies when compared to satellite image pixels. Furthermore, weather stations are usually located on safe areas of flat, bare ice or snow, so they usually overestimate reflectivity in comparison to the satellite pixel. We argue that if unrepresentative ground measurements are removed from satellite comparison exercises then the uncertainty in satellite products could be reduced. Hence, the long-term decline in Greenland Ice Sheet reflectivity between 2000 and 2012 might be more significant than previously thought.
Ability to rapidly and accurately compare quantities genetically linked to mathematical & general cognitive skills
Approximate number sense shares etiological overlap with mathematics and general cognitive ability. Sarah L. Lukowski et al. Intelligence, https://doi.org/10.1016/j.intell.2017.08.005
Highlights
• Approximate number sense (ANS) has genetic overlap with mathematics
• Findings show generalist genetic overlap among ANS, math, and general cognitive ability
• The pattern of results suggest etiology of ANS acuity functions similar to math, g
Abstract: Approximate number sense (ANS), the ability to rapidly and accurately compare quantities presented non-symbolically, has been proposed as a precursor to mathematics skills. Earlier work reported low heritability of approximate number sense, which was interpreted as evidence that approximate number sense acts as a fitness trait. However, viewing ANS as a fitness trait is discordant with findings suggesting that individual differences in approximate number sense acuity correlate with mathematical performance, a trait with moderate genetic effects. Importantly, the shared etiology of approximate number sense, mathematics, and general cognitive ability has remained unexamined. Thus, the etiology of approximate number sense and its overlap with math and general cognitive ability was assessed in the current study with two independent twin samples (N = 451 pairs). Results suggested that ANS acuity had moderate but significant additive genetic influences. ANS also had overlap with generalist genetic mechanisms accounting for variance and covariance in mathematics and general cognitive ability. Furthermore, ANS may have genetic factors unique to covariance with mathematics beyond overlap with general cognitive ability. Evidence across both samples was consistent with the proposal that the etiology of approximate number sense functions similar to that of mathematics and general cognitive skills.
Highlights
• Approximate number sense (ANS) has genetic overlap with mathematics
• Findings show generalist genetic overlap among ANS, math, and general cognitive ability
• The pattern of results suggest etiology of ANS acuity functions similar to math, g
Abstract: Approximate number sense (ANS), the ability to rapidly and accurately compare quantities presented non-symbolically, has been proposed as a precursor to mathematics skills. Earlier work reported low heritability of approximate number sense, which was interpreted as evidence that approximate number sense acts as a fitness trait. However, viewing ANS as a fitness trait is discordant with findings suggesting that individual differences in approximate number sense acuity correlate with mathematical performance, a trait with moderate genetic effects. Importantly, the shared etiology of approximate number sense, mathematics, and general cognitive ability has remained unexamined. Thus, the etiology of approximate number sense and its overlap with math and general cognitive ability was assessed in the current study with two independent twin samples (N = 451 pairs). Results suggested that ANS acuity had moderate but significant additive genetic influences. ANS also had overlap with generalist genetic mechanisms accounting for variance and covariance in mathematics and general cognitive ability. Furthermore, ANS may have genetic factors unique to covariance with mathematics beyond overlap with general cognitive ability. Evidence across both samples was consistent with the proposal that the etiology of approximate number sense functions similar to that of mathematics and general cognitive skills.
Wednesday, September 13, 2017
Political Institutions, Economic Liberty, and the Great Divergence
Political Institutions, Economic Liberty, and the Great Divergence. Gary Cox. Journal of Economic History, September 2017, Pages 724-755, https://doi.org/10.1017/S0022050717000729
Abstract: I argue that Europe's political fragmentation interacted with her political innovations — self-governing cities and national parliaments — to facilitate “economic liberty,” which in turn unleashed faster and more inter-connected urban growth. Examining urban growth over the period 600–1800 ce throughout Eurasia, I show that inter-city growth correlations were positive and significant only in Western Europe after 1200 ce. Within Western Europe, I show that growth correlations were greatest in the most fragmented and parliamentary areas, individual cities became significantly more tied to urban growth when their realms became parliamentary, and spillover effects (due to competition between rulers) were significant.
Abstract: I argue that Europe's political fragmentation interacted with her political innovations — self-governing cities and national parliaments — to facilitate “economic liberty,” which in turn unleashed faster and more inter-connected urban growth. Examining urban growth over the period 600–1800 ce throughout Eurasia, I show that inter-city growth correlations were positive and significant only in Western Europe after 1200 ce. Within Western Europe, I show that growth correlations were greatest in the most fragmented and parliamentary areas, individual cities became significantly more tied to urban growth when their realms became parliamentary, and spillover effects (due to competition between rulers) were significant.
Why Did Drug Cartels Go to War in Mexico? Subnational Party Alternation, the Breakdown of Criminal Protection, and the Onset of Large-Scale Violence
Why Did Drug Cartels Go to War in Mexico? Subnational Party Alternation, the Breakdown of Criminal Protection, and the Onset of Large-Scale Violence. Guillermo Trejo and Sandra Ley. Comparative Political Studies, https://doi.org/10.1177/0010414017720703
Abstract: This article explains why Mexican drug cartels went to war in the 1990s, when the federal government was not pursuing a major antidrug campaign. We argue that political alternation and the rotation of parties in state gubernatorial power undermined the informal networks of protection that had facilitated the cartels’ operations under one-party rule. Without protection, cartels created their own private militias to defend themselves from rival groups and from incoming opposition authorities. After securing their turf, they used these militias to conquer rival territory. Drawing on an original database of intercartel murders, 1995 to 2006, we show that the spread of opposition gubernatorial victories was strongly associated with intercartel violence. Based on in-depth interviews with opposition governors, we show that by simply removing top- and midlevel officials from the state attorney’s office and the judicial police — the institutions where protection was forged — incoming governors unwittingly triggered the outbreak of intercartel wars.
Abstract: This article explains why Mexican drug cartels went to war in the 1990s, when the federal government was not pursuing a major antidrug campaign. We argue that political alternation and the rotation of parties in state gubernatorial power undermined the informal networks of protection that had facilitated the cartels’ operations under one-party rule. Without protection, cartels created their own private militias to defend themselves from rival groups and from incoming opposition authorities. After securing their turf, they used these militias to conquer rival territory. Drawing on an original database of intercartel murders, 1995 to 2006, we show that the spread of opposition gubernatorial victories was strongly associated with intercartel violence. Based on in-depth interviews with opposition governors, we show that by simply removing top- and midlevel officials from the state attorney’s office and the judicial police — the institutions where protection was forged — incoming governors unwittingly triggered the outbreak of intercartel wars.
High sex ratios in rural China: declining well-being with age in never-married men
High sex ratios in rural China: declining well-being with age in never-married men. Zhou X, and Hesketh T. Philos Trans R Soc Lond B Biol Sci. 2017 Sep 19;372(1729). pii: 20160324. doi: 10.1098/rstb.2016.0324.
Abstract: In parts of rural China male-biased sex ratios at birth, combined with out-migration of women, have led to highly male-biased adult sex ratios, resulting in large numbers of men being unable to marry, in a culture where marriage and reproduction are an expectation. The aim of this study was to test the hypotheses that older unmarried men are more predisposed to depression, low self-esteem and aggression than both those who are married, and those who are younger and unmarried. Self-completion questionnaires were administered among men aged 20-40 in 48 villages in rural Guizhou province, southwestern China. Tools used included the Beck Depression Inventory, the Rosenberg's Self-esteem Scale and the Bryant-Smith Aggression Questionnaire. Regression models assessed psychological wellbeing while adjusting for socio-demographic variables. Completed questionnaires were obtained from 957 never-married men, 535 married men aged 30-40, 394 partnered men and 382 unpartnered men aged 20-29. After adjusting for socio-demographic variables, never-married men were more predisposed to depression (p < 0.05), aggression (p < 0.01), low self-esteem (p < 0.05) and suicidal tendencies (p < 0.001). All the psychological measures deteriorated with age in never-married men. In contrast, married men remained stable on these dimensions with age. Never-married men are a psychologically highly vulnerable group in a society where marriage is an expectation. Since the highest birth sex-ratio cohorts have not yet reached reproductive age, the social tragedy of these men will last for at least another generation.
Abstract: In parts of rural China male-biased sex ratios at birth, combined with out-migration of women, have led to highly male-biased adult sex ratios, resulting in large numbers of men being unable to marry, in a culture where marriage and reproduction are an expectation. The aim of this study was to test the hypotheses that older unmarried men are more predisposed to depression, low self-esteem and aggression than both those who are married, and those who are younger and unmarried. Self-completion questionnaires were administered among men aged 20-40 in 48 villages in rural Guizhou province, southwestern China. Tools used included the Beck Depression Inventory, the Rosenberg's Self-esteem Scale and the Bryant-Smith Aggression Questionnaire. Regression models assessed psychological wellbeing while adjusting for socio-demographic variables. Completed questionnaires were obtained from 957 never-married men, 535 married men aged 30-40, 394 partnered men and 382 unpartnered men aged 20-29. After adjusting for socio-demographic variables, never-married men were more predisposed to depression (p < 0.05), aggression (p < 0.01), low self-esteem (p < 0.05) and suicidal tendencies (p < 0.001). All the psychological measures deteriorated with age in never-married men. In contrast, married men remained stable on these dimensions with age. Never-married men are a psychologically highly vulnerable group in a society where marriage is an expectation. Since the highest birth sex-ratio cohorts have not yet reached reproductive age, the social tragedy of these men will last for at least another generation.
Modern Clinical Research on LSD
Modern Clinical Research on LSD. Matthias E Liechti. Neuropsychopharmacology (2017) 42, 2114–2127; doi:10.1038/npp.2017.86
Abstract: All modern clinical studies using the classic hallucinogen lysergic acid diethylamide (LSD) in healthy subjects or patients in the last 25 years are reviewed herein. There were five recent studies in healthy participants and one in patients. In a controlled setting, LSD acutely induced bliss, audiovisual synesthesia, altered meaning of perceptions, derealization, depersonalization, and mystical experiences. These subjective effects of LSD were mediated by the 5-HT2A receptor. LSD increased feelings of closeness to others, openness, trust, and suggestibility. LSD impaired the recognition of sad and fearful faces, reduced left amygdala reactivity to fearful faces, and enhanced emotional empathy. LSD increased the emotional response to music and the meaning of music. LSD acutely produced deficits in sensorimotor gating, similar to observations in schizophrenia. LSD had weak autonomic stimulant effects and elevated plasma cortisol, prolactin, and oxytocin levels. Resting-state functional magnetic resonance studies showed that LSD acutely reduced the integrity of functional brain networks and increased connectivity between networks that normally are more dissociated. LSD increased functional thalamocortical connectivity and functional connectivity of the primary visual cortex with other brain areas. The latter effect was correlated with subjective hallucinations. LSD acutely induced global increases in brain entropy that were associated with greater trait openness 14 days later. In patients with anxiety associated with life-threatening disease, anxiety was reduced for 2 months after two doses of LSD. In medical settings, no complications of LSD administration were observed. These data should contribute to further investigations of the therapeutic potential of LSD in psychiatry.
Abstract: All modern clinical studies using the classic hallucinogen lysergic acid diethylamide (LSD) in healthy subjects or patients in the last 25 years are reviewed herein. There were five recent studies in healthy participants and one in patients. In a controlled setting, LSD acutely induced bliss, audiovisual synesthesia, altered meaning of perceptions, derealization, depersonalization, and mystical experiences. These subjective effects of LSD were mediated by the 5-HT2A receptor. LSD increased feelings of closeness to others, openness, trust, and suggestibility. LSD impaired the recognition of sad and fearful faces, reduced left amygdala reactivity to fearful faces, and enhanced emotional empathy. LSD increased the emotional response to music and the meaning of music. LSD acutely produced deficits in sensorimotor gating, similar to observations in schizophrenia. LSD had weak autonomic stimulant effects and elevated plasma cortisol, prolactin, and oxytocin levels. Resting-state functional magnetic resonance studies showed that LSD acutely reduced the integrity of functional brain networks and increased connectivity between networks that normally are more dissociated. LSD increased functional thalamocortical connectivity and functional connectivity of the primary visual cortex with other brain areas. The latter effect was correlated with subjective hallucinations. LSD acutely induced global increases in brain entropy that were associated with greater trait openness 14 days later. In patients with anxiety associated with life-threatening disease, anxiety was reduced for 2 months after two doses of LSD. In medical settings, no complications of LSD administration were observed. These data should contribute to further investigations of the therapeutic potential of LSD in psychiatry.
Self-Consciousness or Misattribution Effect in the Induced Hypocrisy Paradigm?
Self-Consciousness or Misattribution Effect in the Induced Hypocrisy Paradigm? Mirror, Mirror on the Wall… Audrey Pelt, and Valérie Fointiat. Psychological Reports, https://doi.org/10.1177/0033294117730845
Abstract: In a forced compliance situation, Scheier and Carver have shown that making high private self-consciousness salient through exposure to a mirror inhibits the arousal of dissonance and the subsequent attitude change. Based on these results, the aim of our study is to examine an alternate theoretical interpretation of the absence of attitude change. From our point of view, the mirror could have the status of a misattribution cue, thus maintaining the arousal. To test this hypothesis within the induced hypocrisy paradigm, participants first completed the private self-consciousness scale. Then they took part in one of the following conditions: (1) no mirror/no hypocrisy, (2) no mirror/hypocrisy, and (3) mirror/hypocrisy. Behavioral change and psychological discomfort were measured. Results indicated that participants in the mirror/hypocrisy condition were the most inclined to change and reported the greatest psychological discomfort. These results revealed that participants experienced dissonance when exposed to the mirror and support the hypothesis of misattribution.
Abstract: In a forced compliance situation, Scheier and Carver have shown that making high private self-consciousness salient through exposure to a mirror inhibits the arousal of dissonance and the subsequent attitude change. Based on these results, the aim of our study is to examine an alternate theoretical interpretation of the absence of attitude change. From our point of view, the mirror could have the status of a misattribution cue, thus maintaining the arousal. To test this hypothesis within the induced hypocrisy paradigm, participants first completed the private self-consciousness scale. Then they took part in one of the following conditions: (1) no mirror/no hypocrisy, (2) no mirror/hypocrisy, and (3) mirror/hypocrisy. Behavioral change and psychological discomfort were measured. Results indicated that participants in the mirror/hypocrisy condition were the most inclined to change and reported the greatest psychological discomfort. These results revealed that participants experienced dissonance when exposed to the mirror and support the hypothesis of misattribution.
Misattribution of musical arousal increases sexual attraction towards opposite-sex faces in females
Misattribution of musical arousal increases sexual attraction towards opposite-sex faces in females. Manuela M. Marin et al. PLOS One, https://doi.org/10.1371/journal.pone.0183531
Abstract: Several theories about the origins of music have emphasized its biological and social functions, including in courtship. Music may act as a courtship display due to its capacity to vary in complexity and emotional content. Support for music’s reproductive function comes from the recent finding that only women in the fertile phase of the reproductive cycle prefer composers of complex melodies to composers of simple ones as short-term sexual partners, which is also in line with the ovulatory shift hypothesis. However, the precise mechanisms by which music may influence sexual attraction are unknown, specifically how music may interact with visual attractiveness cues and affect perception and behaviour in both genders. Using a crossmodal priming paradigm, we examined whether listening to music influences ratings of facial attractiveness and dating desirability of opposite-sex faces. We also tested whether misattribution of arousal or pleasantness underlies these effects, and explored whether sex differences and menstrual cycle phase may be moderators. Our sample comprised 64 women in the fertile or infertile phase (no hormonal contraception use) and 32 men, carefully matched for mood, relationship status, and musical preferences. Musical primes (25 s) varied in arousal and pleasantness, and targets were photos of faces with neutral expressions (2 s). Group-wise analyses indicated that women, but not men, gave significantly higher ratings of facial attractiveness and dating desirability after having listened to music than in the silent control condition. High-arousing, complex music yielded the largest effects, suggesting that music may affect human courtship behaviour through induced arousal, which calls for further studies on the mechanisms by which music affects sexual attraction in real-life social contexts.
Abstract: Several theories about the origins of music have emphasized its biological and social functions, including in courtship. Music may act as a courtship display due to its capacity to vary in complexity and emotional content. Support for music’s reproductive function comes from the recent finding that only women in the fertile phase of the reproductive cycle prefer composers of complex melodies to composers of simple ones as short-term sexual partners, which is also in line with the ovulatory shift hypothesis. However, the precise mechanisms by which music may influence sexual attraction are unknown, specifically how music may interact with visual attractiveness cues and affect perception and behaviour in both genders. Using a crossmodal priming paradigm, we examined whether listening to music influences ratings of facial attractiveness and dating desirability of opposite-sex faces. We also tested whether misattribution of arousal or pleasantness underlies these effects, and explored whether sex differences and menstrual cycle phase may be moderators. Our sample comprised 64 women in the fertile or infertile phase (no hormonal contraception use) and 32 men, carefully matched for mood, relationship status, and musical preferences. Musical primes (25 s) varied in arousal and pleasantness, and targets were photos of faces with neutral expressions (2 s). Group-wise analyses indicated that women, but not men, gave significantly higher ratings of facial attractiveness and dating desirability after having listened to music than in the silent control condition. High-arousing, complex music yielded the largest effects, suggesting that music may affect human courtship behaviour through induced arousal, which calls for further studies on the mechanisms by which music affects sexual attraction in real-life social contexts.
Overhearing the suggestion that the sheriff had caught the guy significantly increased false identifications
Eisen, M. L., Skerrit-Perta, A., Jones, J. M., Owen, J., and Cedré, G. C. (2017) Pre-admonition Suggestion in Live Showups: When Witnesses Learn that the Cops Caught ‘the’ Guy. Appl. Cognit. Psychol., doi: 10.1002/acp.3349
Abstract: Participants (N = 189) witnessed the theft of a computer and were immersed into what they were led to believe was an actual police investigation that culminated in a live showup. After the crime, an officer responded to the scene to take witness statements. Minutes after his arrival, the officer received a radio dispatch that could be heard clearly by the witnesses. The dispatch either stated that the Sherriff had ‘…caught the guy…’ or ‘…detained a suspect who matched the thief's description…’ and instructed the officer to bring the witnesses to identify the suspect. The witnesses then met with two deputies who conducted a live showup with an innocent suspect or the actual culprit. Choosers were more confident than rejecters across all conditions. Also, overhearing the suggestion that the sheriff had caught the guy significantly increased false identifications, and boosted witness confidence in these errors, but did not affect accurate suspect identifications.
Abstract: Participants (N = 189) witnessed the theft of a computer and were immersed into what they were led to believe was an actual police investigation that culminated in a live showup. After the crime, an officer responded to the scene to take witness statements. Minutes after his arrival, the officer received a radio dispatch that could be heard clearly by the witnesses. The dispatch either stated that the Sherriff had ‘…caught the guy…’ or ‘…detained a suspect who matched the thief's description…’ and instructed the officer to bring the witnesses to identify the suspect. The witnesses then met with two deputies who conducted a live showup with an innocent suspect or the actual culprit. Choosers were more confident than rejecters across all conditions. Also, overhearing the suggestion that the sheriff had caught the guy significantly increased false identifications, and boosted witness confidence in these errors, but did not affect accurate suspect identifications.
A female Viking warrior confirmed by genomics
Hedenstierna-Jonson C, Kjellström A, Zachrisson T, et al. A female Viking warrior confirmed by genomics. American Journal of Physical Anthropology, 2017;00:1–8. https://doi.org/10.1002/ajpa.23308
Abstract
Objectives: The objective of this study has been to confirm the sex and the affinity of an individual buried in a well-furnished warrior grave (Bj 581) in the Viking Age town of Birka, Sweden. Previously, based on the material and historical records, the male sex has been associated with the gender of the warrior and such was the case with Bj 581. An earlier osteological classification of the individual as female was considered controversial in a historical and archaeological context. A genomic confirmation of the biological sex of the individual was considered necessary to solve the issue.
Materials and methods: Genome-wide sequence data was generated in order to confirm the biological sex, to support skeletal integrity, and to investigate the genetic relationship of the individual to ancient individuals as well as modern-day groups. Additionally, a strontium isotope analysis was conducted to highlight the mobility of the individual.
Results: The genomic results revealed the lack of a Y-chromosome and thus a female biological sex, and the mtDNA analyses support a single-individual origin of sampled elements. The genetic affinity is close to present-day North Europeans, and within Sweden to the southern and south-central region. Nevertheless, the Sr values are not conclusive as to whether she was of local or nonlocal origin.
Discussion: The identification of a female Viking warrior provides a unique insight into the Viking society, social constructions, and exceptions to the norm in the Viking time-period. The results call for caution against generalizations regarding social orders in past societies.
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My comment: This is a first... Until now, female warriors were, we think, archers mounting horses.
Abstract
Objectives: The objective of this study has been to confirm the sex and the affinity of an individual buried in a well-furnished warrior grave (Bj 581) in the Viking Age town of Birka, Sweden. Previously, based on the material and historical records, the male sex has been associated with the gender of the warrior and such was the case with Bj 581. An earlier osteological classification of the individual as female was considered controversial in a historical and archaeological context. A genomic confirmation of the biological sex of the individual was considered necessary to solve the issue.
Materials and methods: Genome-wide sequence data was generated in order to confirm the biological sex, to support skeletal integrity, and to investigate the genetic relationship of the individual to ancient individuals as well as modern-day groups. Additionally, a strontium isotope analysis was conducted to highlight the mobility of the individual.
Results: The genomic results revealed the lack of a Y-chromosome and thus a female biological sex, and the mtDNA analyses support a single-individual origin of sampled elements. The genetic affinity is close to present-day North Europeans, and within Sweden to the southern and south-central region. Nevertheless, the Sr values are not conclusive as to whether she was of local or nonlocal origin.
Discussion: The identification of a female Viking warrior provides a unique insight into the Viking society, social constructions, and exceptions to the norm in the Viking time-period. The results call for caution against generalizations regarding social orders in past societies.
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My comment: This is a first... Until now, female warriors were, we think, archers mounting horses.
Enjoying the Quiet Life: Corporate Decision-Making by Entrenched Managers
Enjoying the Quiet Life: Corporate Decision-Making by Entrenched Managers. Naoshi Ikeda, Kotaro Inoue, and Sho Watanabe. NBER Working Paper No. 23804, doi 10.3386/w23804
Abstract: In this study, we empirically test “quiet life hypothesis,” which predicts that managers who are subject to weak monitoring from the shareholders avoid making difficult decisions such as risky investment and business restructuring with Japanese firm data. We employ cross-shareholder and stable shareholder ownership as the proxy variables of the strength of a manager’s defense against market disciplinary power. We examine the effect of the proxy variables on manager-enacted corporate behaviors and the results indicate that entrenched managers who are insulated from disciplinary power of stock market avoid making difficult decisions such as large investments and business restructures. However, when managers are closely monitored by institutional investors and independent directors, they tend to be active in making difficult decisions. Taken together, our results are consistent with managerial quiet life hypothesis.
My comment: We all try to work less, and we all are risk-averse...
Abstract: In this study, we empirically test “quiet life hypothesis,” which predicts that managers who are subject to weak monitoring from the shareholders avoid making difficult decisions such as risky investment and business restructuring with Japanese firm data. We employ cross-shareholder and stable shareholder ownership as the proxy variables of the strength of a manager’s defense against market disciplinary power. We examine the effect of the proxy variables on manager-enacted corporate behaviors and the results indicate that entrenched managers who are insulated from disciplinary power of stock market avoid making difficult decisions such as large investments and business restructures. However, when managers are closely monitored by institutional investors and independent directors, they tend to be active in making difficult decisions. Taken together, our results are consistent with managerial quiet life hypothesis.
My comment: We all try to work less, and we all are risk-averse...
Using Tax Data to Measure Long-Term Trends in U.S. Income Inequality
Using Tax Data to Measure Long-Term Trends in U.S. Income Inequality. Gerald Auten and David Splinter. Draft Paper, Annual Conference, ASSA Annual Meeting, 2017. https://www.aeaweb.org/conference/2017/preliminary/paper/NkfkQ2a
Abstract: Previous studies using U.S. tax return data conclude that the top one percent income share
increased substantially since 1960. This study re-estimates the long-term trend in inequality after
accounting for changes in the tax base, income sources missing from individual tax returns and
changes in marriage rates. This more consistent estimate suggests that top one percent income
shares increased by only about a quarter as much as unadjusted shares. Further, accounting for
government transfers suggests that top one percent shares increased a tenth as much. These
results show that unadjusted tax return based measures present a distorted view of inequality
trends, as incomes reported on tax returns are sensitive to changes in tax laws and ignore income
sources outside the individual tax system.
Abstract: Previous studies using U.S. tax return data conclude that the top one percent income share
increased substantially since 1960. This study re-estimates the long-term trend in inequality after
accounting for changes in the tax base, income sources missing from individual tax returns and
changes in marriage rates. This more consistent estimate suggests that top one percent income
shares increased by only about a quarter as much as unadjusted shares. Further, accounting for
government transfers suggests that top one percent shares increased a tenth as much. These
results show that unadjusted tax return based measures present a distorted view of inequality
trends, as incomes reported on tax returns are sensitive to changes in tax laws and ignore income
sources outside the individual tax system.
Land-Use Restrictions -- deregulating to 1980 levels would raise labor productivity by about 10 pct, & consumption by about 9 pct
Tarnishing the Golden and Empire States: Land-Use Restrictions and the U.S. Economic Slowdown. Kyle F. Herkenhoff, Lee E. Ohanian, Edward C. Prescott. NBER Working Paper No. 23790, http://www.nber.org/papers/w23790
This paper studies the impact of state-level land-use restrictions on U.S. economic activity, focusing on how these restrictions have depressed macroeconomic activity since 2000. We use a variety of state-level data sources, together with a general equilibrium spatial model of the United States to systematically construct a panel dataset of state-level land-use restrictions between 1950 and 2014. We show that these restrictions have generally tightened over time, particularly in California and New York. We use the model to analyze how these restrictions affect economic activity and the allocation of workers and capital across states. Counterfactual experiments show that deregulating existing urban land from 2014 regulation levels back to 1980 levels would have increased US GDP and productivity roughly to their current trend levels. California, New York, and the Mid-Atlantic region expand the most in these counterfactuals, drawing population out of the South and the Rustbelt. General equilibrium effects, particularly the reallocation of capital across states, accounts for much of these gains.
---
Knowing this:
"...deregulating [land use in] all of the regions to 1980 levels would raise labor productivity by about 10 percent, and consumption by about 9 percent in the neoclassical economy, and would raise labor productivity by about 16 percent, and consumption by about 11 percent in the economy with the externality."
, we keep shooting ourselves in the foot.
This paper studies the impact of state-level land-use restrictions on U.S. economic activity, focusing on how these restrictions have depressed macroeconomic activity since 2000. We use a variety of state-level data sources, together with a general equilibrium spatial model of the United States to systematically construct a panel dataset of state-level land-use restrictions between 1950 and 2014. We show that these restrictions have generally tightened over time, particularly in California and New York. We use the model to analyze how these restrictions affect economic activity and the allocation of workers and capital across states. Counterfactual experiments show that deregulating existing urban land from 2014 regulation levels back to 1980 levels would have increased US GDP and productivity roughly to their current trend levels. California, New York, and the Mid-Atlantic region expand the most in these counterfactuals, drawing population out of the South and the Rustbelt. General equilibrium effects, particularly the reallocation of capital across states, accounts for much of these gains.
---
Knowing this:
"...deregulating [land use in] all of the regions to 1980 levels would raise labor productivity by about 10 percent, and consumption by about 9 percent in the neoclassical economy, and would raise labor productivity by about 16 percent, and consumption by about 11 percent in the economy with the externality."
, we keep shooting ourselves in the foot.
Tuesday, September 12, 2017
Love Death—A Retrospective and Prospective Follow-Up Mortality Study Over 45 Years
Lange L, Zedler B, Verhoff MA, Parzeller M. Love Death—A Retrospective and Prospective Follow-Up Mortality Study Over 45 Years. The Journal of Sexual Medicine, https://doi.org/10.1016/j.jsxm.2017.08.007
Abstract
Background: Although sexual activity can cause moderate stress, it can cause natural death in individuals with pre-existing illness. The aim of this study was to identify additional pre-existing health problems, sexual practices, and potential circumstances that may trigger fatal events.
Methods: This medicolegal postmortem, retrospective, and prospective study is based on data of autopsies performed at the Institute of Legal Medicine of the University hospital, Goethe-University, Frankfurt/Main, Germany.
Outcomes: Identification of pre-existing health problems, sexual practices, and potential circumstances than could trigger fatal events.
Results: From 1972 to 2016 (45 years) approximately 38,000 medicolegal autopsies were performed, of which 99 cases of natural death were connected to sexual activities (0.26%). Except for eight women, men represented most cases. The women’s mean age was 45 years (median = 45) and the men’s mean age was 57.2 years (median = 57). Causes of death were coronary heart disease (n = 28), myocardial infarction (n = 21) and reinfarction (n = 17), cerebral hemorrhage (n = 12), rupture of aortic aneurysms (n = 8), cardiomyopathy (n = 8), acute heart failure (n = 2), sudden cardiac arrest (n = 1), myocarditis (n = 1), and a combination of post myocardial infarction and cocaine intoxication (n = 1). Most cases showed increased heart weights and body mass indices. Death occurred mainly during the summer and spring and in the home of the deceased. If sexual partners were identified, 34 men died during or after sexual contact with a female prostitute, two cases at least two female prostitutes. Nine men died during or after sexual intercourse with their wife, in seven cases the sexual partner was a mistress, and in four cases the life partner. Five men died during homosexual contacts. Based on the situation 30 men were found in, death occurred during masturbation. Of the women, five died during intercourse with the life partner, two died during intercourse with a lover or friend, and in one case no information was provided.
Clinical Translation: Natural deaths connected with sexual activity appear to be associated with male sex and pre-existing cardiovascular disorders. Most cases recorded occurred with mistresses, prostitutes, or during masturbation. If death occurs, the spouse or life partner might need psychological support.
Strength and Limitations: To our knowledge, the present study contains the largest collection of postmortem data on natural deaths connected with sexual activities. However, the cases presented were of forensic interest; a larger number of undetected cases especially in the marital or stable relationship sector must be assumed.
Conclusion: Patients should be informed about the circumstances that could trigger the “love death.”
Key Words: Sudden Natural Death; Sexual Activity; Autopsy; Myocardial Infarction; Cerebral Hemorrhage; Circumstances of Death
Abstract
Background: Although sexual activity can cause moderate stress, it can cause natural death in individuals with pre-existing illness. The aim of this study was to identify additional pre-existing health problems, sexual practices, and potential circumstances that may trigger fatal events.
Methods: This medicolegal postmortem, retrospective, and prospective study is based on data of autopsies performed at the Institute of Legal Medicine of the University hospital, Goethe-University, Frankfurt/Main, Germany.
Outcomes: Identification of pre-existing health problems, sexual practices, and potential circumstances than could trigger fatal events.
Results: From 1972 to 2016 (45 years) approximately 38,000 medicolegal autopsies were performed, of which 99 cases of natural death were connected to sexual activities (0.26%). Except for eight women, men represented most cases. The women’s mean age was 45 years (median = 45) and the men’s mean age was 57.2 years (median = 57). Causes of death were coronary heart disease (n = 28), myocardial infarction (n = 21) and reinfarction (n = 17), cerebral hemorrhage (n = 12), rupture of aortic aneurysms (n = 8), cardiomyopathy (n = 8), acute heart failure (n = 2), sudden cardiac arrest (n = 1), myocarditis (n = 1), and a combination of post myocardial infarction and cocaine intoxication (n = 1). Most cases showed increased heart weights and body mass indices. Death occurred mainly during the summer and spring and in the home of the deceased. If sexual partners were identified, 34 men died during or after sexual contact with a female prostitute, two cases at least two female prostitutes. Nine men died during or after sexual intercourse with their wife, in seven cases the sexual partner was a mistress, and in four cases the life partner. Five men died during homosexual contacts. Based on the situation 30 men were found in, death occurred during masturbation. Of the women, five died during intercourse with the life partner, two died during intercourse with a lover or friend, and in one case no information was provided.
Clinical Translation: Natural deaths connected with sexual activity appear to be associated with male sex and pre-existing cardiovascular disorders. Most cases recorded occurred with mistresses, prostitutes, or during masturbation. If death occurs, the spouse or life partner might need psychological support.
Strength and Limitations: To our knowledge, the present study contains the largest collection of postmortem data on natural deaths connected with sexual activities. However, the cases presented were of forensic interest; a larger number of undetected cases especially in the marital or stable relationship sector must be assumed.
Conclusion: Patients should be informed about the circumstances that could trigger the “love death.”
Key Words: Sudden Natural Death; Sexual Activity; Autopsy; Myocardial Infarction; Cerebral Hemorrhage; Circumstances of Death
Are Ideas Getting Harder to Find?
Are Ideas Getting Harder to Find? Nicholas Bloom, Charles I. Jones, John Van Reenen, and Michael Webb. NBER Working Paper No. 23782. www.nber.org/papers/w23782
In many growth models, economic growth arises from people creating ideas, and the long-run growth rate is the product of two terms: the effective number of researchers and their research productivity. We present a wide range of evidence from various industries, products, and firms showing that research effort is rising substantially while research productivity is declining sharply. A good example is Moore's Law. The number of researchers required today to achieve the famous doubling every two years of the density of computer chips is more than 18 times larger than the number required in the early 1970s. Across a broad range of case studies at various levels of (dis)aggregation, we find that ideas — and in particular the exponential growth they imply — are getting harder and harder to find. Exponential growth results from the large increases in research effort that offset its declining productivity.
In many growth models, economic growth arises from people creating ideas, and the long-run growth rate is the product of two terms: the effective number of researchers and their research productivity. We present a wide range of evidence from various industries, products, and firms showing that research effort is rising substantially while research productivity is declining sharply. A good example is Moore's Law. The number of researchers required today to achieve the famous doubling every two years of the density of computer chips is more than 18 times larger than the number required in the early 1970s. Across a broad range of case studies at various levels of (dis)aggregation, we find that ideas — and in particular the exponential growth they imply — are getting harder and harder to find. Exponential growth results from the large increases in research effort that offset its declining productivity.
When Will Negotiation Agents Be Able to Represent Us? The Challenges and Opportunities for Autonomous Negotiators
When Will Negotiation Agents Be Able to Represent Us? The Challenges and Opportunities for Autonomous Negotiators. Tim Baarslag, Michael Kaisers, Enrico H. Gerding, Catholijn M. Jonker, and Jonathan Gratch. Proceedings of the Twenty-Sixth International Joint Conference on Artificial Intelligence. AI and autonomy track. Pages 4684-4690. https://doi.org/10.24963/ijcai.2017/653
Abstract: Computers that negotiate on our behalf hold great promise for the future and will even become indispensable in emerging application domains such as the smart grid and the Internet of Things. Much research has thus been expended to create agents that are able to negotiate in an abundance of circumstances. However, up until now, truly autonomous negotiators have rarely been deployed in real-world applications. This paper sizes up current negotiating agents and explores a number of technological, societal and ethical challenges that autonomous negotiation systems have brought about. The questions we address are: in what sense are these systems autonomous, what has been holding back their further proliferation, and is their spread something we should encourage? We relate the automated negotiation research agenda to dimensions of autonomy and distill three major themes that we believe will propel autonomous negotiation forward: accurate representation, long-term perspective, and user trust. We argue these orthogonal research directions need to be aligned and advanced in unison to sustain tangible progress in the field.
Abstract: Computers that negotiate on our behalf hold great promise for the future and will even become indispensable in emerging application domains such as the smart grid and the Internet of Things. Much research has thus been expended to create agents that are able to negotiate in an abundance of circumstances. However, up until now, truly autonomous negotiators have rarely been deployed in real-world applications. This paper sizes up current negotiating agents and explores a number of technological, societal and ethical challenges that autonomous negotiation systems have brought about. The questions we address are: in what sense are these systems autonomous, what has been holding back their further proliferation, and is their spread something we should encourage? We relate the automated negotiation research agenda to dimensions of autonomy and distill three major themes that we believe will propel autonomous negotiation forward: accurate representation, long-term perspective, and user trust. We argue these orthogonal research directions need to be aligned and advanced in unison to sustain tangible progress in the field.
The Role of a "Common Is Moral" Heuristic in the Stability and Change of Moral Norms
The Role of a "Common Is Moral" Heuristic in the Stability and Change of Moral Norms. Lindström B, Jangard S, Selbing I, and Olsson A. J Exp Psychol Gen. 2017, Sep 11, https://doi.org/10.1037/xge0000365
Abstract: Moral norms are fundamental for virtually all social interactions, including cooperation. Moral norms develop and change, but the mechanisms underlying when, and how, such changes occur are not well-described by theories of moral psychology. We tested, and confirmed, the hypothesis that the commonness of an observed behavior consistently influences its moral status, which we refer to as the common is moral (CIM) heuristic. In 9 experiments, we used an experimental model of dynamic social interaction that manipulated the commonness of altruistic and selfish behaviors to examine the change of peoples' moral judgments. We found that both altruistic and selfish behaviors were judged as more moral, and less deserving of punishment, when common than when rare, which could be explained by a classical formal model (social impact theory) of behavioral conformity. Furthermore, judgments of common versus rare behaviors were faster, indicating that they were computationally more efficient. Finally, we used agent-based computer simulations to investigate the endogenous population dynamics predicted to emerge if individuals use the CIM heuristic, and found that the CIM heuristic is sufficient for producing 2 hallmarks of real moral norms; stability and sudden changes. Our results demonstrate that commonness shapes our moral psychology through mechanisms similar to behavioral conformity with wide implications for understanding the stability and change of moral norms.
Abstract: Moral norms are fundamental for virtually all social interactions, including cooperation. Moral norms develop and change, but the mechanisms underlying when, and how, such changes occur are not well-described by theories of moral psychology. We tested, and confirmed, the hypothesis that the commonness of an observed behavior consistently influences its moral status, which we refer to as the common is moral (CIM) heuristic. In 9 experiments, we used an experimental model of dynamic social interaction that manipulated the commonness of altruistic and selfish behaviors to examine the change of peoples' moral judgments. We found that both altruistic and selfish behaviors were judged as more moral, and less deserving of punishment, when common than when rare, which could be explained by a classical formal model (social impact theory) of behavioral conformity. Furthermore, judgments of common versus rare behaviors were faster, indicating that they were computationally more efficient. Finally, we used agent-based computer simulations to investigate the endogenous population dynamics predicted to emerge if individuals use the CIM heuristic, and found that the CIM heuristic is sufficient for producing 2 hallmarks of real moral norms; stability and sudden changes. Our results demonstrate that commonness shapes our moral psychology through mechanisms similar to behavioral conformity with wide implications for understanding the stability and change of moral norms.
Our moral balance sheet: Compensating our bad and good deeds
An experimental analysis of moral self-regulation. Erdem Seçilmiş. Applied Economics Letters, http://dx.doi.org/10.1080/13504851.2017.1374530
ABSTRACT: This article examines the validity of the moral self-regulation hypothesis in a laboratory setting. The experiment is comprised of a public good game preceded or followed by a matrix task. The data show that the recall of an immoral action (cheating in the matrix task) motivates the individual to do morally right thing (contributing to group account) and the recall of a moral action (contributing to group account) motivates the individual to act out self-interest (cheating in the matrix task). Both moral licensing and moral cleansing hypotheses are confirmed by the results of the experiment. Additionally, the findings indicate that the subjects who had been given a chance to cheat ‘at first’ allocated more funds to the group account; and the subjects who had been given a chance to voluntarily contribute ‘at first’ cheated more in the matrix task.
KEYWORDS: Moral self-regulation, moral cleansing, moral licensing, public good game, matrix task
JEL CLASSIFICATION: C90, C91, D03
ABSTRACT: This article examines the validity of the moral self-regulation hypothesis in a laboratory setting. The experiment is comprised of a public good game preceded or followed by a matrix task. The data show that the recall of an immoral action (cheating in the matrix task) motivates the individual to do morally right thing (contributing to group account) and the recall of a moral action (contributing to group account) motivates the individual to act out self-interest (cheating in the matrix task). Both moral licensing and moral cleansing hypotheses are confirmed by the results of the experiment. Additionally, the findings indicate that the subjects who had been given a chance to cheat ‘at first’ allocated more funds to the group account; and the subjects who had been given a chance to voluntarily contribute ‘at first’ cheated more in the matrix task.
KEYWORDS: Moral self-regulation, moral cleansing, moral licensing, public good game, matrix task
JEL CLASSIFICATION: C90, C91, D03
Homosexual acts may help impair reproduction by rivals --- for example, a male imitating a female
Male reproductive suppression: not a social affair- Z. Valentina Zizzari, Andrea Jessen, and Joris M. Koene. Current Zoology, Volume 63, Issue 5, 1 October 2017, Pages 573–579, https://doi.org/10.1093/cz/zow089
Abstract: In the animal kingdom there are countless strategies via which males optimize their reproductive success when faced with male–male competition. These male strategies typically fall into two main categories: pre- and post-copulatory competition. Within these 2 categories, a set of behaviors, referred to as reproductive suppression, is known to cause inhibition of reproductive physiology and/or reproductive behavior in an otherwise fertile individual. What becomes evident when considering examples of reproductive suppression is that these strategies conventionally encompass reproductive interference strategies that occur between members of a hierarchical social group. However, mechanisms aimed at impairing a competitor’s reproductive output are also present in non-social animals. Yet, current thinking emphasizes the importance of sociality as the primary driving force of reproductive suppression. Therefore, the question arises as to whether there is an actual difference between reproductive suppression strategies in social animals and equivalent pre-copulatory competition strategies in non-social animals. In this perspective paper we explore a broad taxonomic range of species whose individuals do not repeatedly interact with the same individuals in networks and yet, depress the fitness of rivals. Examples like alteration of male reproductive physiology, female mimicry, rival spermatophore destruction, and cementing the rival’s genital region in non-social animals, highlight that male pre-copulatory reproductive suppression and male pre-copulatory competition overlap. Finally, we highlight that a distinction between male reproductive interference in animals with and without a social hierarchy might obscure important similarities and does not help to elucidate why different proximate mechanisms evolved. We therefore emphasize that male reproductive suppression need not be restricted to social animals.
Keywords: indirect sperm transfer, offensive strategies, male pre-copulatory competition, male reproductive suppression, reproductive strategies
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The examples of reproductive interference in Table 1 show that males of non-social animals are able to depress the fitness of a rival, though some behaviors are more harmful than others. For instance, nematodes of the genus Steinernema remove a rival from the reproductive population by killing him (Zenner et al. 2014). Less extreme examples are provided by males of acanthocephalans and some nematodes, whose males have been observed to perform a homosexual rape or place a cement plug on the rivals’ reproductive organ making them incapable of reproducing at least temporarily (Hassanine and Al-Jahdali 2008; Gems and Riddle 2000; Coomans et al. 1988). Although several instances of same-sex sexual behaviour are suspected of being related to male dominance in vertebrates, such behaviours are often attributed to cases of mistaken identity in invertebrates (see review by Bailey and Zuk 2009). Yet, Preston-Mafham (2006) excluded that the homosexual mounting behaviour he observed in the scatophagid fly Hydromyza livens occurred through mistaken identity. Male-male sexual behaviour is a widespread phenomenon that needs certainly a more accurate analysis because there might be species where this represents a strategy to increase male reproductive success, as suggested in the hemipteran Xylocoris maculipennis (Carayon 1974) and in the flour beetle Tribolium castaneum (Levan et al. 2009). Males of X. maculipennis have been reported to traumatically inseminate other males and it has been hypothesized that the injected ejaculate (i.e., seminal fluid plus sperm) mixes up with the ejaculate of the inseminated male (Carayon 1974), although this remains to be demonstrated. So, while it remains unknown whether sperm from both males actually inseminate the female in the latter case, the transferred seminal fluid proteins could also act on the reproductive physiology of the inseminated male, similarly to what was discovered in L. stagnalis (Nakadera et al. 2014). More information is available for T. castaneum. Levan et al. (2009) showed that male homosexual copulatory behaviour may lead to indirect sperm transfer to females through a male intermediary. Although the male’s homosexual partner contributed only 0.5% to each female’s total progeny (Levan et al. 2009), the transfer of a small quantity of non-self sperm might decrease a males’ reproductive success. Alternatively, albeit speculatively, a male might be induced to perform a same-sex encounter by female mimicry of a rival to make the mounting male temporary unable to inseminate a female, which has been described in salamanders (Arnold 1976). In this case the indirect sperm translocation would represent a male counter-adaption. However, this line of thought has not been taken into account and the homosexual copulation was explained by Levan et al. 2009 as a way to discard older sperm, indicating that more work is required to understand this in full.
Abstract: In the animal kingdom there are countless strategies via which males optimize their reproductive success when faced with male–male competition. These male strategies typically fall into two main categories: pre- and post-copulatory competition. Within these 2 categories, a set of behaviors, referred to as reproductive suppression, is known to cause inhibition of reproductive physiology and/or reproductive behavior in an otherwise fertile individual. What becomes evident when considering examples of reproductive suppression is that these strategies conventionally encompass reproductive interference strategies that occur between members of a hierarchical social group. However, mechanisms aimed at impairing a competitor’s reproductive output are also present in non-social animals. Yet, current thinking emphasizes the importance of sociality as the primary driving force of reproductive suppression. Therefore, the question arises as to whether there is an actual difference between reproductive suppression strategies in social animals and equivalent pre-copulatory competition strategies in non-social animals. In this perspective paper we explore a broad taxonomic range of species whose individuals do not repeatedly interact with the same individuals in networks and yet, depress the fitness of rivals. Examples like alteration of male reproductive physiology, female mimicry, rival spermatophore destruction, and cementing the rival’s genital region in non-social animals, highlight that male pre-copulatory reproductive suppression and male pre-copulatory competition overlap. Finally, we highlight that a distinction between male reproductive interference in animals with and without a social hierarchy might obscure important similarities and does not help to elucidate why different proximate mechanisms evolved. We therefore emphasize that male reproductive suppression need not be restricted to social animals.
Keywords: indirect sperm transfer, offensive strategies, male pre-copulatory competition, male reproductive suppression, reproductive strategies
---
The examples of reproductive interference in Table 1 show that males of non-social animals are able to depress the fitness of a rival, though some behaviors are more harmful than others. For instance, nematodes of the genus Steinernema remove a rival from the reproductive population by killing him (Zenner et al. 2014). Less extreme examples are provided by males of acanthocephalans and some nematodes, whose males have been observed to perform a homosexual rape or place a cement plug on the rivals’ reproductive organ making them incapable of reproducing at least temporarily (Hassanine and Al-Jahdali 2008; Gems and Riddle 2000; Coomans et al. 1988). Although several instances of same-sex sexual behaviour are suspected of being related to male dominance in vertebrates, such behaviours are often attributed to cases of mistaken identity in invertebrates (see review by Bailey and Zuk 2009). Yet, Preston-Mafham (2006) excluded that the homosexual mounting behaviour he observed in the scatophagid fly Hydromyza livens occurred through mistaken identity. Male-male sexual behaviour is a widespread phenomenon that needs certainly a more accurate analysis because there might be species where this represents a strategy to increase male reproductive success, as suggested in the hemipteran Xylocoris maculipennis (Carayon 1974) and in the flour beetle Tribolium castaneum (Levan et al. 2009). Males of X. maculipennis have been reported to traumatically inseminate other males and it has been hypothesized that the injected ejaculate (i.e., seminal fluid plus sperm) mixes up with the ejaculate of the inseminated male (Carayon 1974), although this remains to be demonstrated. So, while it remains unknown whether sperm from both males actually inseminate the female in the latter case, the transferred seminal fluid proteins could also act on the reproductive physiology of the inseminated male, similarly to what was discovered in L. stagnalis (Nakadera et al. 2014). More information is available for T. castaneum. Levan et al. (2009) showed that male homosexual copulatory behaviour may lead to indirect sperm transfer to females through a male intermediary. Although the male’s homosexual partner contributed only 0.5% to each female’s total progeny (Levan et al. 2009), the transfer of a small quantity of non-self sperm might decrease a males’ reproductive success. Alternatively, albeit speculatively, a male might be induced to perform a same-sex encounter by female mimicry of a rival to make the mounting male temporary unable to inseminate a female, which has been described in salamanders (Arnold 1976). In this case the indirect sperm translocation would represent a male counter-adaption. However, this line of thought has not been taken into account and the homosexual copulation was explained by Levan et al. 2009 as a way to discard older sperm, indicating that more work is required to understand this in full.
The Facilitating Effect of Schadenfreude on Creativity
A Route to Insight via Another’s Pain: The Facilitating Effect of Schadenfreude on Creativity. Sara L. Wheeler-Smith, Amir Erez, and Elisabeth Kristin Gilbert. Organizational Behavior, http://proceedings.aom.org/content/2017/1/10464.short
Abstract: The present research investigates whether experiencing schadenfreude – the malicious pleasure felt at another’s misfortune – enhances creativity. Across four studies (n = 632), we found that incidental schadenfreude enhanced individuals’ performance on insight creativity tasks. These effects are present both when schadenfreude is elicited in situ (Experiments 1, 2, and 3) and when participants recall experiencing schadenfreude (Experiment 4), and across multiple behavioral measures of creativity. In Experiment 3, we found that the facilitating effect of schadenfreude could be partially explained by schadenfreude freeing attentional resources. In Experiment 4, we found that the relationship between schadenfreude and creativity was moderated by trait approach motivation, such that the creativity-facilitating effect of schadenfreude was significantly stronger for those low (versus high) in approach motivation. Theoretical contributions to the literatures on schadenfreude and creativity are discussed.
Abstract: The present research investigates whether experiencing schadenfreude – the malicious pleasure felt at another’s misfortune – enhances creativity. Across four studies (n = 632), we found that incidental schadenfreude enhanced individuals’ performance on insight creativity tasks. These effects are present both when schadenfreude is elicited in situ (Experiments 1, 2, and 3) and when participants recall experiencing schadenfreude (Experiment 4), and across multiple behavioral measures of creativity. In Experiment 3, we found that the facilitating effect of schadenfreude could be partially explained by schadenfreude freeing attentional resources. In Experiment 4, we found that the relationship between schadenfreude and creativity was moderated by trait approach motivation, such that the creativity-facilitating effect of schadenfreude was significantly stronger for those low (versus high) in approach motivation. Theoretical contributions to the literatures on schadenfreude and creativity are discussed.
Are We Jumping to Unfounded Conclusions About the Causes of Sexual Offending?
“I Know Correlation Doesn’t Prove Causation, but . . .”: Are We Jumping to Unfounded Conclusions About the Causes of Sexual Offending? Kevin L. Nunes et al. Sexual Abuse: A Journal of Research and Treatment, https://doi.org/10.1177/1079063217729156
Abstract: Identifying causes of sexual offending is the foundation of effective and efficient assessment, intervention, and policy aimed at reducing sexual offending. However, studies vary in methodological rigor and the inferences they support, and there are differences of opinion about the conclusions that can be drawn from ambiguous evidence. To explore how researchers in this area interpret the available empirical evidence, we asked authors of articles published in relevant specialized journals to identify (a) an important factor that may lead to sexual offending, (b) a study providing evidence of a relationship between that factor and sexual offending, and (c) the inferences supported by that study. Many participants seemed to endorse causal interpretations and conclusions that went beyond the methodological rigor of the study they identified. Our findings suggest that some researchers may not be adequately considering methodological issues when making inferences about the causes of sexual offending. Although it is difficult to conduct research in this area and all research designs can provide valuable information, sensitivity to the limits methodology places on inferences is important for the sake of accuracy and integrity, and to stimulate more informative research. We propose that increasing attention to methodology in the research community through better training and standards will advance scientific knowledge about the causes of sexual offending, and improve the effectiveness and efficiency of practice and policy.
Abstract: Identifying causes of sexual offending is the foundation of effective and efficient assessment, intervention, and policy aimed at reducing sexual offending. However, studies vary in methodological rigor and the inferences they support, and there are differences of opinion about the conclusions that can be drawn from ambiguous evidence. To explore how researchers in this area interpret the available empirical evidence, we asked authors of articles published in relevant specialized journals to identify (a) an important factor that may lead to sexual offending, (b) a study providing evidence of a relationship between that factor and sexual offending, and (c) the inferences supported by that study. Many participants seemed to endorse causal interpretations and conclusions that went beyond the methodological rigor of the study they identified. Our findings suggest that some researchers may not be adequately considering methodological issues when making inferences about the causes of sexual offending. Although it is difficult to conduct research in this area and all research designs can provide valuable information, sensitivity to the limits methodology places on inferences is important for the sake of accuracy and integrity, and to stimulate more informative research. We propose that increasing attention to methodology in the research community through better training and standards will advance scientific knowledge about the causes of sexual offending, and improve the effectiveness and efficiency of practice and policy.
Robot Rejection Lowers Self-Esteem
The Bionic Blues: Robot Rejection Lowers Self-Esteem. Kyle Nash et al. Computers in Human Behavior, https://doi.org/10.1016/j.chb.2017.09.018
Highlights
• Examines influence of robot rejection and acceptance on human self-esteem
• Robot rejection decreased self-esteem, while acceptance had no effect on self-esteem
• Demonstrates that robot rejection can cause psychological harm
Abstract: Humans can fulfill their social needs with fictional and non-living entities that act as social surrogates. Though recent research demonstrates that social surrogates have beneficial effects on the individual similar to human relations, it is unclear whether surrogates can also cause similar harm to humans through social rejection. After playing a game of connect-4 with a human-sized robot, participants were informed by the robot that it would like to see them again (acceptance), would not like to see them again (rejection), or told nothing regarding a future interaction (control). Data revealed that social rejection from a robot significantly reduced self-esteem relative to receiving no-feedback and social acceptance (the latter two did not differ from each other). However, robot rejection had no impact on negative attitudes and opposition to the use of robots in everyday life. These findings demonstrate that social surrogates have the potential to cause psychological harm.
KEYWORDS: Robots; Self-Esteem; Social Rejection; Social Acceptance; Social Surrogacy
Highlights
• Examines influence of robot rejection and acceptance on human self-esteem
• Robot rejection decreased self-esteem, while acceptance had no effect on self-esteem
• Demonstrates that robot rejection can cause psychological harm
Abstract: Humans can fulfill their social needs with fictional and non-living entities that act as social surrogates. Though recent research demonstrates that social surrogates have beneficial effects on the individual similar to human relations, it is unclear whether surrogates can also cause similar harm to humans through social rejection. After playing a game of connect-4 with a human-sized robot, participants were informed by the robot that it would like to see them again (acceptance), would not like to see them again (rejection), or told nothing regarding a future interaction (control). Data revealed that social rejection from a robot significantly reduced self-esteem relative to receiving no-feedback and social acceptance (the latter two did not differ from each other). However, robot rejection had no impact on negative attitudes and opposition to the use of robots in everyday life. These findings demonstrate that social surrogates have the potential to cause psychological harm.
KEYWORDS: Robots; Self-Esteem; Social Rejection; Social Acceptance; Social Surrogacy
Monday, September 11, 2017
Placebo can enhance creativity
Placebo can enhance creativity. Liron Rozenkrantz, Avraham E. Mayo, Tomer Ilan, Yuval Hart, Lior Noy, and Uri Alon. PLOS One, https://doi.org/10.1371/journal.pone.0182466
Abstract
Background: The placebo effect is usually studied in clinical settings for decreasing negative symptoms such as pain, depression and anxiety. There is interest in exploring the placebo effect also outside the clinic, for enhancing positive aspects of performance or cognition. Several studies indicate that placebo can enhance cognitive abilities including memory, implicit learning and general knowledge. Here, we ask whether placebo can enhance creativity, an important aspect of human cognition.
Methods: Subjects were randomly assigned to a control group who smelled and rated an odorant (n = 45), and a placebo group who were treated identically but were also told that the odorant increases creativity and reduces inhibitions (n = 45). Subjects completed a recently developed automated test for creativity, the creative foraging game (CFG), and a randomly chosen subset (n = 57) also completed two manual standardized creativity tests, the alternate uses test (AUT) and the Torrance test (TTCT). In all three tests, participants were asked to create as many original solutions and were scored for originality, flexibility and fluency.
Results: The placebo group showed higher originality than the control group both in the CFG ... and in the AUT ..., but not in the Torrance test. The placebo group also found more shapes outside of the standard categories found by a set of 100 CFG players in a previous study, a feature termed out-of-the-boxness...
Conclusions: The findings indicate that placebo can enhance the originality aspect of creativity. This strengthens the view that placebo can be used not only to reduce negative clinical symptoms, but also to enhance positive aspects of cognition. Furthermore, we find that the impact of placebo on creativity can be tested by CFG, which can quantify multiple aspects of creative search without need for manual coding. This approach opens the way to explore the behavioral and neural mechanisms by which placebo might amplify creativity.
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What are the psychological mechanisms that allow placebo to increase the originality aspect of creativity? There are at least two possibilities. The first mechanism is based on extensive research by Amabile and Deci and Ryan[25, 33, 34, 51–53], that suggests that creativity is modulated by motivation. Extrinsic motivators were shown to be mostly detrimental to creativity, whereas intrinsic motivation is conductive to and strongly associated with creative abilities[25, 32, 33, 51, 54–56]. A key factor in intrinsic motivation, according to self-determination theory [34, 35], is the belief in one’s competence. For example subjects who practiced encouraging statements (related to self-confidence, releasing anxieties etc.) and omitted self-incapacitating statements showed improved creativity scores[57]. This is in line with the verbal suggestion in our study that the odorant increases creativity, which may have made subjects feel more competent. Additional components of intrinsic motivation, such as social relatedness, may also have been increased by experimenter effects in the present study, by the experimenter’s perceived interest in the effects of the odorant.
A second possible psychological mechanism of placebo, as suggested by Weger et al., is to weaken inhibitory mechanisms that normally impair performance[24]. Creativity was found to increase in several studies that tested conditions with reduced inhibitions, such as alcohol consumption[36–38]. Wieth and Zacks showed that creative problem solving was improved when participants were tested during non-optimal times of day, and suggested that this is due to reduced inhibitory control[39]. Moreover, studies which used non-invasive brain stimulation by means of transcranial direct current stimulation (tDCS) found enhanced creativity, and attributed it to reduced inhibitions and diminished cognitive control[49, 58]. This effect was suggested to be in line with paradoxical functional facilitation theory, which attributes improved performance of damaged nervous system to release from inhibition[59]. Informal notions in improvisation theatre suggest that the inner critic is a source of inhibition that limits creativity[60]. The verbal suggestion made in our study that the odorant increases creativity and reduces inhibitions may thus work through a reduced-inhibition mechanism and/or by increasing belief in one’s competence. Future work can test which of these mechanisms is at play.
Abstract
Background: The placebo effect is usually studied in clinical settings for decreasing negative symptoms such as pain, depression and anxiety. There is interest in exploring the placebo effect also outside the clinic, for enhancing positive aspects of performance or cognition. Several studies indicate that placebo can enhance cognitive abilities including memory, implicit learning and general knowledge. Here, we ask whether placebo can enhance creativity, an important aspect of human cognition.
Methods: Subjects were randomly assigned to a control group who smelled and rated an odorant (n = 45), and a placebo group who were treated identically but were also told that the odorant increases creativity and reduces inhibitions (n = 45). Subjects completed a recently developed automated test for creativity, the creative foraging game (CFG), and a randomly chosen subset (n = 57) also completed two manual standardized creativity tests, the alternate uses test (AUT) and the Torrance test (TTCT). In all three tests, participants were asked to create as many original solutions and were scored for originality, flexibility and fluency.
Results: The placebo group showed higher originality than the control group both in the CFG ... and in the AUT ..., but not in the Torrance test. The placebo group also found more shapes outside of the standard categories found by a set of 100 CFG players in a previous study, a feature termed out-of-the-boxness...
Conclusions: The findings indicate that placebo can enhance the originality aspect of creativity. This strengthens the view that placebo can be used not only to reduce negative clinical symptoms, but also to enhance positive aspects of cognition. Furthermore, we find that the impact of placebo on creativity can be tested by CFG, which can quantify multiple aspects of creative search without need for manual coding. This approach opens the way to explore the behavioral and neural mechanisms by which placebo might amplify creativity.
---
What are the psychological mechanisms that allow placebo to increase the originality aspect of creativity? There are at least two possibilities. The first mechanism is based on extensive research by Amabile and Deci and Ryan[25, 33, 34, 51–53], that suggests that creativity is modulated by motivation. Extrinsic motivators were shown to be mostly detrimental to creativity, whereas intrinsic motivation is conductive to and strongly associated with creative abilities[25, 32, 33, 51, 54–56]. A key factor in intrinsic motivation, according to self-determination theory [34, 35], is the belief in one’s competence. For example subjects who practiced encouraging statements (related to self-confidence, releasing anxieties etc.) and omitted self-incapacitating statements showed improved creativity scores[57]. This is in line with the verbal suggestion in our study that the odorant increases creativity, which may have made subjects feel more competent. Additional components of intrinsic motivation, such as social relatedness, may also have been increased by experimenter effects in the present study, by the experimenter’s perceived interest in the effects of the odorant.
A second possible psychological mechanism of placebo, as suggested by Weger et al., is to weaken inhibitory mechanisms that normally impair performance[24]. Creativity was found to increase in several studies that tested conditions with reduced inhibitions, such as alcohol consumption[36–38]. Wieth and Zacks showed that creative problem solving was improved when participants were tested during non-optimal times of day, and suggested that this is due to reduced inhibitory control[39]. Moreover, studies which used non-invasive brain stimulation by means of transcranial direct current stimulation (tDCS) found enhanced creativity, and attributed it to reduced inhibitions and diminished cognitive control[49, 58]. This effect was suggested to be in line with paradoxical functional facilitation theory, which attributes improved performance of damaged nervous system to release from inhibition[59]. Informal notions in improvisation theatre suggest that the inner critic is a source of inhibition that limits creativity[60]. The verbal suggestion made in our study that the odorant increases creativity and reduces inhibitions may thus work through a reduced-inhibition mechanism and/or by increasing belief in one’s competence. Future work can test which of these mechanisms is at play.
Brain indices of disagreement with one’s social values predict EU referendum voting behavior
Brain indices of disagreement with one’s social values predict EU referendum voting behavior. Giulia Galli, Miroslav Sirota, Maurizio Materassi, Francesca Zaninotto, and Philip Terry. Social Cognitive and Affective Neuroscience, nsx105, https://doi.org/10.1093/scan/nsx105
Abstract: Pre-electoral surveys typically attempt, and sometimes fail, to predict voting behavior on the basis of explicit measures of agreement or disagreement with a candidate or political position. Here, we assessed whether a specific brain signature of disagreement with one’s social values, the event-related potential component N400, could be predictive of voting behavior. We examined this possibility in the context of the EU referendum in the United Kingdom. In the five weeks preceding the referendum, we recorded the N400 while participants with different vote intentions expressed their agreement or disagreement with pro- and against-EU statements. We showed that the N400 responded to statements incongruent with one’s view regarding the EU. Crucially, this effect predicted actual voting behavior in decided as well as undecided voters. The N400 was a better predictor of voting choice than an explicit index of preference based on the behavioral responses. Our findings demonstrate that well-defined patterns of brain activity can forecast future voting behavior.
Keywords: Event-related potentials, N400, voting behaviour, social beliefs
Abstract: Pre-electoral surveys typically attempt, and sometimes fail, to predict voting behavior on the basis of explicit measures of agreement or disagreement with a candidate or political position. Here, we assessed whether a specific brain signature of disagreement with one’s social values, the event-related potential component N400, could be predictive of voting behavior. We examined this possibility in the context of the EU referendum in the United Kingdom. In the five weeks preceding the referendum, we recorded the N400 while participants with different vote intentions expressed their agreement or disagreement with pro- and against-EU statements. We showed that the N400 responded to statements incongruent with one’s view regarding the EU. Crucially, this effect predicted actual voting behavior in decided as well as undecided voters. The N400 was a better predictor of voting choice than an explicit index of preference based on the behavioral responses. Our findings demonstrate that well-defined patterns of brain activity can forecast future voting behavior.
Keywords: Event-related potentials, N400, voting behaviour, social beliefs
Differences in home advantage between sports
Differences in home advantage between sports. Marshall B. Jones. Psychology of Sport and Exercise, https://doi.org/10.1016/j.psychsport.2017.07.012
Highlights
• Home advantage is not associated with the number of positions.
• Home advantage is strongly associated with distance covered by the entire team.
• Especially so in relation to the number of positions over the course of a game.
"The most compelling evidence that the home effect is minor or nonexistent in individual sports is embedded, oddly enough, in team sports. Many team sports include passages that can be described as “individual efforts.” Free throws in basketball are a good example. When a player attempts a free throw, he or she plays as an individual; teammates and opposing players are sidelined or otherwise idled. In samples from the NBA numbering 95,494 (home) and 90,875 (away) Jones (2013) reported a difference in conversion rates of 0.2%, 75.2% (home) to 75.0% (away), not significant at the .05 level (critical ratio = 0.71, p > .4), despite the enormous sample sizes and despite, too, the efforts of hometown fans behind the backboard to distract the away shooters."
Highlights
• Home advantage is not associated with the number of positions.
• Home advantage is strongly associated with distance covered by the entire team.
• Especially so in relation to the number of positions over the course of a game.
"The most compelling evidence that the home effect is minor or nonexistent in individual sports is embedded, oddly enough, in team sports. Many team sports include passages that can be described as “individual efforts.” Free throws in basketball are a good example. When a player attempts a free throw, he or she plays as an individual; teammates and opposing players are sidelined or otherwise idled. In samples from the NBA numbering 95,494 (home) and 90,875 (away) Jones (2013) reported a difference in conversion rates of 0.2%, 75.2% (home) to 75.0% (away), not significant at the .05 level (critical ratio = 0.71, p > .4), despite the enormous sample sizes and despite, too, the efforts of hometown fans behind the backboard to distract the away shooters."
Parents Who Pay to Be Watched - Behaviorally Architecting the Family
Parents Who Pay to Be Watched. Kim Brooks. The Cut, Aug 22 2017, https://www.thecut.com/2017/08/cognition-builders-family-intervention-parenting-help-adhd.html
An educational consultant they’d hired, Myrna Harris, suggested something that at first seemed extreme — a relatively new company known for helping children in crisis that could set up a highly structured, highly regimented environment in a home.
The family architects were the foot soldiers of the company, but the most critical part of the strategy involved the installation of a series of Nest Cams with microphones all around the house.
The company was called Cognition Builders, and Harris explained that they would send people to a family for a period of weeks to observe everyone’s behavior and to figure out how parents could get better control over their kids. The people they sent were called “family architects.” They’d move in with a family for months at a time, immersing themselves in their routines and rituals. The family architects were the foot soldiers in the Cognition Builders team, but the most critical part of the company’s strategy involved the installation of a series of Nest Cams with microphones all around the house, which enabled round-the-clock observation and interaction in real time. At the end of each day, the architects would send the parents extensive emails and texts summarizing what they’d seen, which they’d use to develop a system of rules for the family to implement at home. Over time, the role of the family architects would evolve from observing to enforcing the rules. Through this kind of intensive scrutiny and constant behavioral intervention, they claimed to be able to change a family’s, and a child’s functioning from the ground up.
The idea, I learned by speaking with employees and clients of the company over several months, is that if you want to truly change the way a person parents, you need to be there as they’re parenting, not occasionally but immersively and consistently. “We are a fly on the wall of a family’s home,” the company’s clinical director, Sarah Lopano, explained. “We take a very behavioral approach to everything we do.”
The science behind Cognition Builders “approach” isn’t exactly straightforward. Lopano insists that the core of their program is educational, not therapeutic, and that they tailor their approach to the needs of a particular family and borrow from many different types of intervention. The family architects are young; many have advanced degrees in fields like education, behavior analysis, clinical psychology, or social work, but aren’t necessarily licensed therapists. The “service” they provide comes down to watching you parent, suggesting changes, and making sure you do what they say.
An educational consultant they’d hired, Myrna Harris, suggested something that at first seemed extreme — a relatively new company known for helping children in crisis that could set up a highly structured, highly regimented environment in a home.
The family architects were the foot soldiers of the company, but the most critical part of the strategy involved the installation of a series of Nest Cams with microphones all around the house.
The company was called Cognition Builders, and Harris explained that they would send people to a family for a period of weeks to observe everyone’s behavior and to figure out how parents could get better control over their kids. The people they sent were called “family architects.” They’d move in with a family for months at a time, immersing themselves in their routines and rituals. The family architects were the foot soldiers in the Cognition Builders team, but the most critical part of the company’s strategy involved the installation of a series of Nest Cams with microphones all around the house, which enabled round-the-clock observation and interaction in real time. At the end of each day, the architects would send the parents extensive emails and texts summarizing what they’d seen, which they’d use to develop a system of rules for the family to implement at home. Over time, the role of the family architects would evolve from observing to enforcing the rules. Through this kind of intensive scrutiny and constant behavioral intervention, they claimed to be able to change a family’s, and a child’s functioning from the ground up.
The idea, I learned by speaking with employees and clients of the company over several months, is that if you want to truly change the way a person parents, you need to be there as they’re parenting, not occasionally but immersively and consistently. “We are a fly on the wall of a family’s home,” the company’s clinical director, Sarah Lopano, explained. “We take a very behavioral approach to everything we do.”
The science behind Cognition Builders “approach” isn’t exactly straightforward. Lopano insists that the core of their program is educational, not therapeutic, and that they tailor their approach to the needs of a particular family and borrow from many different types of intervention. The family architects are young; many have advanced degrees in fields like education, behavior analysis, clinical psychology, or social work, but aren’t necessarily licensed therapists. The “service” they provide comes down to watching you parent, suggesting changes, and making sure you do what they say.
Resource depletion through primate stone technology
Resource depletion through primate stone technology. Lydia V Luncz, Amanda Tan, Michael Haslam, Lars Kulik, Tomos Proffitt, Suchinda Malaivijitnond. amd Michael Gumert. eLife 2017;6:e23647 doi: 10.7554/eLife.23647
Abstract: Tool use has allowed humans to become one of the most successful species. However, tool-assisted foraging has also pushed many of our prey species to extinction or endangerment, a technology-driven process thought to be uniquely human. Here, we demonstrate that tool-assisted foraging on shellfish by long-tailed macaques (Macaca fascicularis) in Khao Sam Roi Yot National Park, Thailand, reduces prey size and prey abundance, with more pronounced effects where the macaque population size is larger. We compared availability, sizes and maturation stages of shellfish between two adjacent islands inhabited by different-sized macaque populations and demonstrate potential effects on the prey reproductive biology. We provide evidence that once technological macaques reach a large enough group size, they enter a feedback loop – driving shellfish prey size down with attendant changes in the tool sizes used by the monkeys. If this pattern continues, prey populations could be reduced to a point where tool-assisted foraging is no longer beneficial to the macaques, which in return may lessen or extinguish the remarkable foraging technology employed by these primates.
My comment:
Abstract: Tool use has allowed humans to become one of the most successful species. However, tool-assisted foraging has also pushed many of our prey species to extinction or endangerment, a technology-driven process thought to be uniquely human. Here, we demonstrate that tool-assisted foraging on shellfish by long-tailed macaques (Macaca fascicularis) in Khao Sam Roi Yot National Park, Thailand, reduces prey size and prey abundance, with more pronounced effects where the macaque population size is larger. We compared availability, sizes and maturation stages of shellfish between two adjacent islands inhabited by different-sized macaque populations and demonstrate potential effects on the prey reproductive biology. We provide evidence that once technological macaques reach a large enough group size, they enter a feedback loop – driving shellfish prey size down with attendant changes in the tool sizes used by the monkeys. If this pattern continues, prey populations could be reduced to a point where tool-assisted foraging is no longer beneficial to the macaques, which in return may lessen or extinguish the remarkable foraging technology employed by these primates.
My comment:
Coolness as a trait and its relations to the Big Five, self-esteem, social desirability, and action orientation
Coolness as a trait and its relations to the Big Five, self-esteem, social desirability, and action orientation. Ilan Dar-Nimrod, , Asha Ganesan, and Carolyn MacCann. Personality and Individual Differences, Volume 121, 15 January 2018, Pages 1–6. https://doi.org/10.1016/j.paid.2017.09.012
Highlights
• A substantial variance in self-reported coolness is explained by two factors.
• Self-assessment of coolness is best derived from 2 factors of assorted traits.
• Explicit self-esteem adds to the coolness evaluations above these 2 factors.
• Extraversion is the best Big Five predictor of self-assessment of coolness.
Abstract: As coolness is often associated with status elevation and socially desirable valuation, understanding what entails coolness may prove useful in a myriad of contexts. In this study, we tested the two-factor model of coolness proposed by Dar-Nimrod et al. (2012), where Cachet and Contrarian domains of coolness are comprised of 14 facets (e.g., irony, confidence). Participants (N = 225) completed 120 items representing these 14 facets, as well as measures of the Big Five, action orientation, social desirability, and self-esteem. The findings largely replicated the two-factor structure of Cachet and Contrarian Coolness. Cachet and Contrarian Coolness factors incrementally predicted self-perceptions of coolness above and beyond the Big Five personality dimensions, action orientation, implicit self-esteem, age, and sex in a hierarchical regression. Cachet Coolness was the strongest predictor of coolness self-perceptions, with explicit self-esteem and Contrarian Coolness also significantly predicting self-perceived coolness. Findings suggest that the two factors of coolness capture elements of coolness that are not measured by common personality measures. These findings may have implication for studying the role of coolness in group dynamics and social relations across diverse age and ethnic groups.
Keywords: Coolness; Social desirability; Contrarian; Personality; Big Five; Self-esteem; Rebelliousness
Highlights
• A substantial variance in self-reported coolness is explained by two factors.
• Self-assessment of coolness is best derived from 2 factors of assorted traits.
• Explicit self-esteem adds to the coolness evaluations above these 2 factors.
• Extraversion is the best Big Five predictor of self-assessment of coolness.
Abstract: As coolness is often associated with status elevation and socially desirable valuation, understanding what entails coolness may prove useful in a myriad of contexts. In this study, we tested the two-factor model of coolness proposed by Dar-Nimrod et al. (2012), where Cachet and Contrarian domains of coolness are comprised of 14 facets (e.g., irony, confidence). Participants (N = 225) completed 120 items representing these 14 facets, as well as measures of the Big Five, action orientation, social desirability, and self-esteem. The findings largely replicated the two-factor structure of Cachet and Contrarian Coolness. Cachet and Contrarian Coolness factors incrementally predicted self-perceptions of coolness above and beyond the Big Five personality dimensions, action orientation, implicit self-esteem, age, and sex in a hierarchical regression. Cachet Coolness was the strongest predictor of coolness self-perceptions, with explicit self-esteem and Contrarian Coolness also significantly predicting self-perceived coolness. Findings suggest that the two factors of coolness capture elements of coolness that are not measured by common personality measures. These findings may have implication for studying the role of coolness in group dynamics and social relations across diverse age and ethnic groups.
Keywords: Coolness; Social desirability; Contrarian; Personality; Big Five; Self-esteem; Rebelliousness
Entrepreneurs' subjective success not related to objective business performance over time
Well-Being, Personal Success and Business Performance Among Entrepreneurs: A Two-Wave Study. Josette Dijkhuizen et al. Journal of Happiness Studies, https://link.springer.com/article/10.1007/s10902-017-9914-6
Abstract: This two-wave longitudinal study among 121 entrepreneurs in The Netherlands investigated bi-directional relationships between entrepreneurs’ well-being and performance. Results of Smart PLS analyses showed positive well-being at Time 1 (work engagement; life satisfaction; and job satisfaction) predicted subjective entrepreneurial success 2 years later, both as indicated by entrepreneurs’ reports of achieved financial success (including personal income security and wealth, business turn-over, sales and profit growth), as well as perceptions of achieved personal success (personal fulfilment, community impact and employee relations). No relations were found with objective indicators of business performance (profit; turnover; and number of employees) over time. The expected recursive relationship between performance and well-being was only found in the short term; a better objective financial situation immediately preceding the second measurement moment, predicted better well-being at T2. These results are both in line with a well-being–performance (gain) cycle, and the happiness set-point thesis that predicts resilience in the face of events. This paper contributes to the literature by emphasizing the importance of entrepreneurs’ well-being as a key factor in long-term subjective financial and personal entrepreneurial success. The practical implication is that entrepreneurs should maintain and improve their own well-being to achieve positive long term business outcomes.
My comment: Entrepreneurs' subjective success is not related to objective business performance over time.
Abstract: This two-wave longitudinal study among 121 entrepreneurs in The Netherlands investigated bi-directional relationships between entrepreneurs’ well-being and performance. Results of Smart PLS analyses showed positive well-being at Time 1 (work engagement; life satisfaction; and job satisfaction) predicted subjective entrepreneurial success 2 years later, both as indicated by entrepreneurs’ reports of achieved financial success (including personal income security and wealth, business turn-over, sales and profit growth), as well as perceptions of achieved personal success (personal fulfilment, community impact and employee relations). No relations were found with objective indicators of business performance (profit; turnover; and number of employees) over time. The expected recursive relationship between performance and well-being was only found in the short term; a better objective financial situation immediately preceding the second measurement moment, predicted better well-being at T2. These results are both in line with a well-being–performance (gain) cycle, and the happiness set-point thesis that predicts resilience in the face of events. This paper contributes to the literature by emphasizing the importance of entrepreneurs’ well-being as a key factor in long-term subjective financial and personal entrepreneurial success. The practical implication is that entrepreneurs should maintain and improve their own well-being to achieve positive long term business outcomes.
My comment: Entrepreneurs' subjective success is not related to objective business performance over time.
Sunday, September 10, 2017
Epidemiology and prosecution of sexual violence against women in Germany
Epidemiology and prosecution of sexual violence against women in Germany (Epidemiologie und Strafverfolgung sexueller Gewalt gegen Frauen in Deutschland), von Deborah F. Hellmann und Christian Pfeiffer. Monatsschrift für Kriminologie und Strafrechtsreform, 2015, 527 - 542 (Heft 6). https://www.jurion.de/document/show/1:7513791,0/
Abstract: Sexual victimizations are associated with severe consequences for the victims. Additionally, there is a risk of secondary victimization as well as consequences thereof, that can (in)directly result from a penal procedure and its outcome among others. According to research by the Criminological Research Institute of Lower Saxony, Germany, the prevalence of sexual violence against women in Germany has almost halved from 1992 to 2011. However, only about one in five cases of sexual violence is made known to law enforcement agencies. Those cases, in turn, that are made known to the authorities are associated with particularly severe consequences. Data from police crime statistics and criminal prosecution statistics on the one hand indicate an increased reporting of cases of sexual violence. On the other hand, those data reveal a decline in the conviction rates in the same time period. Furthermore, according to the criminal prosecution statistics considerable regional differences of conviction rates occurred in a nationwide comparison that need to be explained. In this paper, possible causes for the presented results are described and open questions as well as possible solutions are discussed.
Keywords: Sexual violence against women, prosecution of rape, police crime statistics, criminal prosecution statistic, § 177 StGB
Abstract: Sexual victimizations are associated with severe consequences for the victims. Additionally, there is a risk of secondary victimization as well as consequences thereof, that can (in)directly result from a penal procedure and its outcome among others. According to research by the Criminological Research Institute of Lower Saxony, Germany, the prevalence of sexual violence against women in Germany has almost halved from 1992 to 2011. However, only about one in five cases of sexual violence is made known to law enforcement agencies. Those cases, in turn, that are made known to the authorities are associated with particularly severe consequences. Data from police crime statistics and criminal prosecution statistics on the one hand indicate an increased reporting of cases of sexual violence. On the other hand, those data reveal a decline in the conviction rates in the same time period. Furthermore, according to the criminal prosecution statistics considerable regional differences of conviction rates occurred in a nationwide comparison that need to be explained. In this paper, possible causes for the presented results are described and open questions as well as possible solutions are discussed.
Keywords: Sexual violence against women, prosecution of rape, police crime statistics, criminal prosecution statistic, § 177 StGB
Increased task-related neural responses when infected may reflect a compensatory strategy or a greater social cognitive processing as a function of sickness
Experimental human endotoxemia enhances brain activity during social cognition. Jennifer S. Kullmann, Jan-Sebastian Grigoleit, Oliver T. Wolf, Harald Engler, Reiner Oberbeck, Sigrid Elsenbruch, Michael Forsting, Manfred Schedlowski, and Elke R. Gizewski. Social Cognitive and Affective Neuroscience, Volume 9, Issue 6, June 01 2014, Pages 786–793, https://doi.org/10.1093/scan/nst049
Abstract: Acute peripheral inflammation with corresponding increases in peripheral cytokines affects neuropsychological functions and induces depression-like symptoms. However, possible effects of increased immune responses on social cognition remain unknown. Therefore, this study investigated the effects of experimentally induced acute inflammation on performance and neural responses during a social cognition task assessing Theory of Mind (ToM) ability. In this double-blind randomized crossover functional magnetic resonance imaging study, 18 healthy right-handed male volunteers received an injection of bacterial lipopolysaccharide (LPS; 0.4 ng/kg) or saline, respectively. Plasma levels of pro- and anti-inflammatory cytokines as well as mood ratings were analyzed together with brain activation during a validated ToM task (i.e. Reading the Mind in the Eyes Test). LPS administration induced pronounced transient increases in pro- (IL-6, TNF-α) and anti-inflammatory (IL-10, IL-1ra) cytokines as well as decreases in mood. Social cognition performance was not affected by acute inflammation. However, altered neural activity was observed during the ToM task after LPS administration, reflected by increased responses in the fusiform gyrus, temporo-parietal junction, superior temporal gyrus and precuneus. The increased task-related neural responses in the LPS condition may reflect a compensatory strategy or a greater social cognitive processing as a function of sickness.
Keywords: peripheral inflammation, social cognition, fMRI, cytokines, endotoxin
Abstract: Acute peripheral inflammation with corresponding increases in peripheral cytokines affects neuropsychological functions and induces depression-like symptoms. However, possible effects of increased immune responses on social cognition remain unknown. Therefore, this study investigated the effects of experimentally induced acute inflammation on performance and neural responses during a social cognition task assessing Theory of Mind (ToM) ability. In this double-blind randomized crossover functional magnetic resonance imaging study, 18 healthy right-handed male volunteers received an injection of bacterial lipopolysaccharide (LPS; 0.4 ng/kg) or saline, respectively. Plasma levels of pro- and anti-inflammatory cytokines as well as mood ratings were analyzed together with brain activation during a validated ToM task (i.e. Reading the Mind in the Eyes Test). LPS administration induced pronounced transient increases in pro- (IL-6, TNF-α) and anti-inflammatory (IL-10, IL-1ra) cytokines as well as decreases in mood. Social cognition performance was not affected by acute inflammation. However, altered neural activity was observed during the ToM task after LPS administration, reflected by increased responses in the fusiform gyrus, temporo-parietal junction, superior temporal gyrus and precuneus. The increased task-related neural responses in the LPS condition may reflect a compensatory strategy or a greater social cognitive processing as a function of sickness.
Keywords: peripheral inflammation, social cognition, fMRI, cytokines, endotoxin
Sunstein: Misconceptions About Nudges
Sunstein, Cass R., Misconceptions About Nudges (September 6, 2017). Available at SSRN: https://ssrn.com/abstract=3033101
Abstract: Some people believe that nudges are an insult to human agency; that nudges are based on excessive trust in government; that nudges are covert; that nudges are manipulative; that nudges exploit behavioral biases; that nudges depend on a belief that human beings are irrational; and that nudges work only at the margins and cannot accomplish much. These are misconceptions. Nudges always respect, and often promote, human agency; because nudges insist on preserving freedom of choice, they do not put excessive trust in government; nudges are generally transparent rather than covert or forms of manipulation; many nudges are educative, and even when they are not, they tend to make life simpler and more navigable; and some nudges have quite large impacts.
Keywords: nudges, behavioral economic, default rules, manipulation
Effects of elevated CO2 concentration on growth and photosynthesis of Chinese yam under different temperature regimes
Effects of elevated CO2 concentration on growth and photosynthesis of Chinese yam under different temperature regimes. Nguyen Cong Thinh, Hiroyuki Shimono, Etsushi Kumagai & Michio Kawasaki. Plant Production Science, Volume 20, 2017 - Issue 2, Pages 227-236, http://dx.doi.org/10.1080/1343943X.2017.1283963
Abstract: Chinese yam (‘yam’) was grown at different carbon dioxide concentrations ([CO2]), namely, ambient and elevated (ambient + 200 μmol mol−1), under low- and high-temperature regimes in summer and autumn, separately. For comparison, rice was also grown under these conditions. Mean air temperatures in the low- and high-temperatures were respectively 24.1 and 29.1 °C in summer experiment and 20.2 and 24.9 °C in autumn experiment. In summer experiment, yam vine length, leaf area, leaf dry weight (DW), and total DW were significantly higher under elevated [CO2] than ambient [CO2] in both temperature regimes. Additionally, number of leaves, vine DW, and root DW were significantly higher under elevated [CO2] than under ambient [CO2] in the low-temperature regime. In autumn experiment, tuber DW was significantly higher under elevated [CO2] than under ambient [CO2] in the high-temperature regime. These results demonstrate that yam shows positive growth responses to elevated [CO2]. Analysis of variance revealed that significant effect of [CO2] × air temperature interaction on yam total DW was not detected. Elevated-to-ambient [CO2] ratios of all growth parameters in summer experiment were higher in yam than in rice. The results suggest that the contribution of elevated [CO2] is higher in yam than in rice under summer. Yam net photosynthetic rate was significantly higher under elevated [CO2] than under ambient [CO2] in both temperature regimes in summer. Elevated [CO2] significantly affected on the rate in yam but not in rice in both experiments. These findings indicate that photosynthesis responds more readily to elevated [CO2] in yam than in rice.
Keywords: Chinese yam, elevated CO2, nagaimo, photosynthesis, rice
My comment: First of all, this is not news, we already knew this for these and other cultivars. Second, referring to yam in the summer experiment, "number of leaves, vine DW, and root DW were significantly higher" means 38-61 pct for high [CO2], and 40-83pct for higher temperature + higher [CO2] (they interactuate strongly). Third, as to yam in autumn and rice in both summer and autumn, the results are positive but much smaller (7-36 pct). Fourth, not all cultivars of economic interest will grow more with higher temperatures or higher [CO2], but many do. These two, yam and rice, are important cases.
Abstract: Chinese yam (‘yam’) was grown at different carbon dioxide concentrations ([CO2]), namely, ambient and elevated (ambient + 200 μmol mol−1), under low- and high-temperature regimes in summer and autumn, separately. For comparison, rice was also grown under these conditions. Mean air temperatures in the low- and high-temperatures were respectively 24.1 and 29.1 °C in summer experiment and 20.2 and 24.9 °C in autumn experiment. In summer experiment, yam vine length, leaf area, leaf dry weight (DW), and total DW were significantly higher under elevated [CO2] than ambient [CO2] in both temperature regimes. Additionally, number of leaves, vine DW, and root DW were significantly higher under elevated [CO2] than under ambient [CO2] in the low-temperature regime. In autumn experiment, tuber DW was significantly higher under elevated [CO2] than under ambient [CO2] in the high-temperature regime. These results demonstrate that yam shows positive growth responses to elevated [CO2]. Analysis of variance revealed that significant effect of [CO2] × air temperature interaction on yam total DW was not detected. Elevated-to-ambient [CO2] ratios of all growth parameters in summer experiment were higher in yam than in rice. The results suggest that the contribution of elevated [CO2] is higher in yam than in rice under summer. Yam net photosynthetic rate was significantly higher under elevated [CO2] than under ambient [CO2] in both temperature regimes in summer. Elevated [CO2] significantly affected on the rate in yam but not in rice in both experiments. These findings indicate that photosynthesis responds more readily to elevated [CO2] in yam than in rice.
Keywords: Chinese yam, elevated CO2, nagaimo, photosynthesis, rice
My comment: First of all, this is not news, we already knew this for these and other cultivars. Second, referring to yam in the summer experiment, "number of leaves, vine DW, and root DW were significantly higher" means 38-61 pct for high [CO2], and 40-83pct for higher temperature + higher [CO2] (they interactuate strongly). Third, as to yam in autumn and rice in both summer and autumn, the results are positive but much smaller (7-36 pct). Fourth, not all cultivars of economic interest will grow more with higher temperatures or higher [CO2], but many do. These two, yam and rice, are important cases.
On multi-level thinking and scientific understanding
McIntyre, M. E., 2017: On multi-level thinking and scientific understanding. Adv. Atmos. Sci., 34(10), 1150–1158, doi: 10.1007/s00376-017-6283-3.
ABSTRACT: Professor Duzheng YE’s name has been familiar to me ever since my postdoctoral years at MIT with Professors Jule CHARNEY and Norman PHILLIPS, back in the late 1960s. I had the enormous pleasure of meeting Professor YE personally in 1992 in Beijing. His concern to promote the very best science and to use it well, and his thinking on multi-level orderly human activities, reminds me not only of the communication skills we need as scientists but also of the multi-level nature of science itself. Here I want to say something (a) about what science is; (b) about why multi-level thinking—and takign more than one viewpoint—is so important for scientific as well as for other forms of understanding; and (c) about what is meant, at a deep level, by “scientific understanding” and trying to communicate it, not only with lay persons but also across professional disciplines. I hope that Professor YE would approve.
Key words: communication skills, cross-disciplinary communication, scientific understanding, unconscious assumptions, multiple viewpoints, brain hemispheres, biological evolution
ABSTRACT: Professor Duzheng YE’s name has been familiar to me ever since my postdoctoral years at MIT with Professors Jule CHARNEY and Norman PHILLIPS, back in the late 1960s. I had the enormous pleasure of meeting Professor YE personally in 1992 in Beijing. His concern to promote the very best science and to use it well, and his thinking on multi-level orderly human activities, reminds me not only of the communication skills we need as scientists but also of the multi-level nature of science itself. Here I want to say something (a) about what science is; (b) about why multi-level thinking—and takign more than one viewpoint—is so important for scientific as well as for other forms of understanding; and (c) about what is meant, at a deep level, by “scientific understanding” and trying to communicate it, not only with lay persons but also across professional disciplines. I hope that Professor YE would approve.
Key words: communication skills, cross-disciplinary communication, scientific understanding, unconscious assumptions, multiple viewpoints, brain hemispheres, biological evolution
Warm Periods in the 20th Century Not Unprecedented during the Last 2000 Years
Warm Periods in the 20th Century Not Unprecedented during the Last 2000 Years. Chinese Academy of Sciences, Press Release, Aug 08, 2017. Institute of Geographic Sciences and Natural Resources Research. Editor: Na CHEN.
http://english.cas.cn/newsroom/research_news/201708/t20170808_181809.shtml
great deal of evidence relating to ancient climate variation is preserved in proxy data such as tree rings, lake sediments, ice cores, stalagmites, corals and historical documents, and these sources carry great significance in evaluating the 20th century warming in the context of the last two millennia.
Prof. GE Quansheng and his group from the Institute of Geographic Sciences and Natural Resources Research of the Chinese Academy of Sciences, collected a large number of proxies and reconstructed a 2000-year temperature series in China with a 10-year resolution, enabling them to quantitatively reveal the characteristics of temperature change in China over a common era.
"We found four warm epochs, which were AD 1 to AD 200, AD 550 to AD 760, AD 950 to AD 1300, and the 20th century. Cold periods occurred between AD 210 and AD 350, AD 420 and AD 530, AD 780 and AD 940, and AD 1320 and AD 1900. The temperature amplitude between the warmest and coldest decades was 1.3°C," said Prof. GE.
The team found that the most rapid warming in China occurred over AD 1870–2000, at a rate of 0.56 ± 0.42°C (100 yr)−1; however, temperatures recorded in the 20th century may not be unprecedented in the last 2000 years, as reconstruction showed records for the period from 981 to 1100, and again from 1201 to 1270, were comparable to those of the present warm period, but with an uncertainty of ±0.28°C to ±0.42°C at the 95% confidence interval. Since 1000 CE—the period covering the Medieval Climate Anomaly, Little Ice Age, and the present warm period—temperature variations over China have typically been in phase with those of the Northern Hemisphere as a whole.
They also detected some interactions between temperature variation and precipitation change. The ensemble means of dryness/wetness spatial patterns in eastern China across all centennial warm periods illustrate a tripole pattern: dry south of 25°N; wet from 25°–30°N; and dry to the north of 30°N. For all cold periods, the ensemble mean drought/flood spatial patterns showed an east to west distribution, with flooding east of 115°E and drought dominant west of 115°E, with the exception of flooding between approximately110°E and 105°E.
The general characteristics of the impacts of climatic change historically were negative in the cold periods and positive in the warm periods. For example, 25 of the 31 most prosperous periods in imperial China during the past 2000 years occurred during periods of warmth or warming. A cooling trend at the centennial scale and social economic decline run hand-in-hand. The rapid development supported by better resources and a better environment in warm periods could lead to an increase in social vulnerability when the climate turns once more to being relatively colder.
"Throughout China’s history," Prof. GE added, "both rulers and the ruled have adopted strategies and policies to cope with climate change, as permitted by the prevailing geography and circumstances of the time."
(Editor: CHEN Na)
http://english.cas.cn/newsroom/research_news/201708/t20170808_181809.shtml
great deal of evidence relating to ancient climate variation is preserved in proxy data such as tree rings, lake sediments, ice cores, stalagmites, corals and historical documents, and these sources carry great significance in evaluating the 20th century warming in the context of the last two millennia.
Prof. GE Quansheng and his group from the Institute of Geographic Sciences and Natural Resources Research of the Chinese Academy of Sciences, collected a large number of proxies and reconstructed a 2000-year temperature series in China with a 10-year resolution, enabling them to quantitatively reveal the characteristics of temperature change in China over a common era.
"We found four warm epochs, which were AD 1 to AD 200, AD 550 to AD 760, AD 950 to AD 1300, and the 20th century. Cold periods occurred between AD 210 and AD 350, AD 420 and AD 530, AD 780 and AD 940, and AD 1320 and AD 1900. The temperature amplitude between the warmest and coldest decades was 1.3°C," said Prof. GE.
The team found that the most rapid warming in China occurred over AD 1870–2000, at a rate of 0.56 ± 0.42°C (100 yr)−1; however, temperatures recorded in the 20th century may not be unprecedented in the last 2000 years, as reconstruction showed records for the period from 981 to 1100, and again from 1201 to 1270, were comparable to those of the present warm period, but with an uncertainty of ±0.28°C to ±0.42°C at the 95% confidence interval. Since 1000 CE—the period covering the Medieval Climate Anomaly, Little Ice Age, and the present warm period—temperature variations over China have typically been in phase with those of the Northern Hemisphere as a whole.
They also detected some interactions between temperature variation and precipitation change. The ensemble means of dryness/wetness spatial patterns in eastern China across all centennial warm periods illustrate a tripole pattern: dry south of 25°N; wet from 25°–30°N; and dry to the north of 30°N. For all cold periods, the ensemble mean drought/flood spatial patterns showed an east to west distribution, with flooding east of 115°E and drought dominant west of 115°E, with the exception of flooding between approximately110°E and 105°E.
The general characteristics of the impacts of climatic change historically were negative in the cold periods and positive in the warm periods. For example, 25 of the 31 most prosperous periods in imperial China during the past 2000 years occurred during periods of warmth or warming. A cooling trend at the centennial scale and social economic decline run hand-in-hand. The rapid development supported by better resources and a better environment in warm periods could lead to an increase in social vulnerability when the climate turns once more to being relatively colder.
"Throughout China’s history," Prof. GE added, "both rulers and the ruled have adopted strategies and policies to cope with climate change, as permitted by the prevailing geography and circumstances of the time."
2000-year temperature reconstruction in China (Image by GE Quansheng)
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Climate-driven variability in the occurrence of major floods across North America and Europe
G.A. Hodgkins et al., Climate-driven variability in the occurrence of major floods across North America and Europe, Journal of Hydrology, Volume 552, September 2017, Pages 704-717
https://wattsupwiththat.com/2017/08/31/flooding-not-increasing-in-north-america-and-europe-new-study-confirms/
Abstract
Concern over the potential impact of anthropogenic climate change on flooding has led to a proliferation of studies examining past flood trends. Many studies have analysed annual-maximum flow trends but few have quantified changes in major (25–100 year return period) floods, i.e. those that have the greatest societal impacts. Existing major-flood studies used a limited number of very large catchments affected to varying degrees by alterations such as reservoirs and urbanisation. In the current study, trends in major-flood occurrence from 1961 to 2010 and from 1931 to 2010 were assessed using a very large dataset (>1200 gauges) of diverse catchments from North America and Europe; only minimally altered catchments were used, to focus on climate-driven changes rather than changes due to catchment alterations. Trend testing of major floods was based on counting the number of exceedances of a given flood threshold within a group of gauges. ***Evidence for significant trends varied between groups of gauges that were defined by catchment size, location, climate, flood threshold and period of record, indicating that generalizations about flood trends across large domains or a diversity of catchment types are ungrounded. Overall, the number of significant trends in major-flood occurrence across North America and Europe was approximately the number expected due to chance alone. Changes over time in the occurrence of major floods were dominated by multidecadal variability rather than by long-term trends.*** There were more than three times as many significant relationships between major-flood occurrence and the Atlantic Multidecadal Oscillation than significant long-term trends. […]Is procedural memory enhanced in Tourette syndrome?
Is procedural memory enhanced in Tourette syndrome? Evidence from a sequence learning task. Ádám Takács et al. Cortex, https://doi.org/10.1016/j.cortex.2017.08.037
Abstract: Procedural memory, which is rooted in the basal ganglia, underlies the learning and processing of numerous automatized motor and cognitive skills, including in language. Not surprisingly, disorders with basal ganglia abnormalities have been found to show impairments of procedural memory. However, brain abnormalities could also lead to atypically enhanced function. Tourette syndrome (TS) is a candidate for enhanced procedural memory, given previous findings of enhanced TS processing of grammar, which likely depends on procedural memory. We comprehensively examined procedural learning, from memory formation to retention, in children with TS and typically developing (TD) children, who performed an implicit sequence learning task over two days. The children with TS showed sequence learning advantages on both days, despite a regression of sequence knowledge overnight to the level of the TD children. This is the first demonstration of procedural learning advantages in any disorder. The findings may further our understanding of procedural memory and its enhancement. The evidence presented here, together with previous findings suggesting enhanced grammar processing in TS, underscore the dependence of language on a system that also subserves visuomotor sequencing.
Keywords: basal ganglia; implicit learning; sequence learning; procedural memory; Tourette syndrome
Abstract: Procedural memory, which is rooted in the basal ganglia, underlies the learning and processing of numerous automatized motor and cognitive skills, including in language. Not surprisingly, disorders with basal ganglia abnormalities have been found to show impairments of procedural memory. However, brain abnormalities could also lead to atypically enhanced function. Tourette syndrome (TS) is a candidate for enhanced procedural memory, given previous findings of enhanced TS processing of grammar, which likely depends on procedural memory. We comprehensively examined procedural learning, from memory formation to retention, in children with TS and typically developing (TD) children, who performed an implicit sequence learning task over two days. The children with TS showed sequence learning advantages on both days, despite a regression of sequence knowledge overnight to the level of the TD children. This is the first demonstration of procedural learning advantages in any disorder. The findings may further our understanding of procedural memory and its enhancement. The evidence presented here, together with previous findings suggesting enhanced grammar processing in TS, underscore the dependence of language on a system that also subserves visuomotor sequencing.
Keywords: basal ganglia; implicit learning; sequence learning; procedural memory; Tourette syndrome
Saturday, September 9, 2017
Analyzing a tool of IS propaganda: Ibn ʿAbdul-Wahhāb’s "Mufīd al-Mustafīd fī Kufr Tārik al-Tawḥīd"
Analyzing a tool of IS propaganda: Ibn ʿAbdul-Wahhāb’s "Mufīd al-Mustafīd fī Kufr Tārik al-Tawḥīd". Joe Bradford. Draft Paper presented at MeHAT, University of Chicago, 2016.
Abstract: ISIL or ISIS continues to burden the world with political strife and divisive religious rhetoric. One of the main attractions to their ideology is their claim of being a "caliphate upon the prophetic model." This allows them latitude in justifying many of their punitive actions against the populaces of Iraq, Syria, and elsewhere while retaining their moniker of being a truly "Islamic" state. One tool for the legitimization of these acts is a text written in the modern period by Muḥammad b. ʿAbdul-Wahhāb (d.1791) titled " Mufīd al-Mustafīd fī Disbelief (Kufr) Tārik al-Tawḥīd." That treatise was originally written against the inhabitants of Ḥuraymilāʾ after they rejected the author’s ideas and seceded from the budding Saudi state.
This paper will cover four main topics related to this treatise: 1) A comparison of the IS print of this book to others printed outside IS lands. 2) A catalog and summary of the contents of this treatise, 3) reactions of Wahhabi scholars to it in their own writings, and 4) the genealogy of its legal and theological issues and their presence outside the Wahhabi tradition. To conclude, the proximity of the ideas presented in this treatise to the broader Islamic legal and theological tradition will be determined.
Abstract: ISIL or ISIS continues to burden the world with political strife and divisive religious rhetoric. One of the main attractions to their ideology is their claim of being a "caliphate upon the prophetic model." This allows them latitude in justifying many of their punitive actions against the populaces of Iraq, Syria, and elsewhere while retaining their moniker of being a truly "Islamic" state. One tool for the legitimization of these acts is a text written in the modern period by Muḥammad b. ʿAbdul-Wahhāb (d.1791) titled " Mufīd al-Mustafīd fī Disbelief (Kufr) Tārik al-Tawḥīd." That treatise was originally written against the inhabitants of Ḥuraymilāʾ after they rejected the author’s ideas and seceded from the budding Saudi state.
This paper will cover four main topics related to this treatise: 1) A comparison of the IS print of this book to others printed outside IS lands. 2) A catalog and summary of the contents of this treatise, 3) reactions of Wahhabi scholars to it in their own writings, and 4) the genealogy of its legal and theological issues and their presence outside the Wahhabi tradition. To conclude, the proximity of the ideas presented in this treatise to the broader Islamic legal and theological tradition will be determined.
Al-Qadā’ wa-l-Qadr: motivational representations of divine decree and predestination in salafi-jihadi literature
Al-Qadā’ wa-l-Qadr: motivational representations of divine decree and predestination in salafi-jihadi literature. Shiraz Maher & Alexandra Bissoondath, British Journal of Middle Eastern Studies, http://dx.doi.org/10.1080/13530194.2017.1361317
Abstract: This
paper explores how the normative Islamic concepts of divine decree and
predestination are used for motivational purposes in salafi-jihadi
literature. These concepts are known as al-qaḍā’ wa-l-qadr
within Islamic jurisprudence and assert that certain characteristics in
an individual’s life—such as their lifespan, wealth and progeny—have
already been preordained by God. Salafi-Jihadi groups, not least
al-Qaeda and Islamic State, frame these concepts in unique and important
ways to motivate their fighters on the battlefield, liberating them
from fear of personal consequences. In particular, we examine the use of
this concept not just to motivate fighters at a personal level, but
also its role in maintaining morale during times of hardship, its
ability to explain away failures and defeats, and its ability to project
both momentum and success even when the facts suggest otherwise.
Deliberation increases the wisdom of crowds
Deliberation increases the wisdom of crowds. Joaquin Navajas, Tamara Niella, Gerry Garbulsky, Bahador Bahrami, Mariano Sigman. ArXiv Mar 2017, https://arxiv.org/abs/1703.00045
Abstract: The aggregation of many independent estimates can outperform the most accurate individual judgment. This centenarian finding, popularly known as the 'wisdom of crowds', has recently been applied to problems ranging from the diagnosis of cancer to financial forecasting. It is widely believed that the key to collective accuracy is to preserve the independence of individuals in a crowd. Contrary to this prevailing view, we show that deliberation and discussion improves collective wisdom. We asked a live crowd (N=5180) to respond to general knowledge questions (e.g. the height of the Eiffel Tower). Participants first answered individually, then deliberated and made consensus decisions in groups of five, and finally provided revised individual estimates. We found that consensus and revised estimates were less biased and more diverse than what a uniform aggregation of independent opinions could achieve. Consequently, the average of different consensus decisions was substantially more accurate than aggregating the independent opinions. Even combining as few as four consensus choices outperformed the wisdom of thousands of individuals. Our results indicate that averaging information from independent debates is a highly effective strategy for harnessing our collective knowledge.
Abstract: The aggregation of many independent estimates can outperform the most accurate individual judgment. This centenarian finding, popularly known as the 'wisdom of crowds', has recently been applied to problems ranging from the diagnosis of cancer to financial forecasting. It is widely believed that the key to collective accuracy is to preserve the independence of individuals in a crowd. Contrary to this prevailing view, we show that deliberation and discussion improves collective wisdom. We asked a live crowd (N=5180) to respond to general knowledge questions (e.g. the height of the Eiffel Tower). Participants first answered individually, then deliberated and made consensus decisions in groups of five, and finally provided revised individual estimates. We found that consensus and revised estimates were less biased and more diverse than what a uniform aggregation of independent opinions could achieve. Consequently, the average of different consensus decisions was substantially more accurate than aggregating the independent opinions. Even combining as few as four consensus choices outperformed the wisdom of thousands of individuals. Our results indicate that averaging information from independent debates is a highly effective strategy for harnessing our collective knowledge.
The devoted actor’s will to fight and the spiritual dimension of human conflict
The devoted actor’s will to fight and the spiritual dimension of human conflict. Angel Gomez et al. Nature Human Behaviour 1, 673–679 (2017), doi:10.1038/s41562-017-0193-3
Abstract: Frontline investigations with fighters against the Islamic State (ISIL or ISIS), combined with multiple online studies, address willingness to fight and die in intergroup conflict. The general focus is on non-utilitarian aspects of human conflict, which combatants themselves deem ‘sacred’ or ‘spiritual’, whether secular or religious. Here we investigate two key components of a theoretical framework we call ‘the devoted actor’—sacred values and identity fusion with a group—to better understand people’s willingness to make costly sacrifices. We reveal three crucial factors: commitment to non-negotiable sacred values and the groups that the actors are wholly fused with; readiness to forsake kin for those values; and perceived spiritual strength of ingroup versus foes as more important than relative material strength. We directly relate expressed willingness for action to behaviour as a check on claims that decisions in extreme conflicts are driven by cost–benefit calculations, which may help to inform policy decisions for the common defense.
Abstract: Frontline investigations with fighters against the Islamic State (ISIL or ISIS), combined with multiple online studies, address willingness to fight and die in intergroup conflict. The general focus is on non-utilitarian aspects of human conflict, which combatants themselves deem ‘sacred’ or ‘spiritual’, whether secular or religious. Here we investigate two key components of a theoretical framework we call ‘the devoted actor’—sacred values and identity fusion with a group—to better understand people’s willingness to make costly sacrifices. We reveal three crucial factors: commitment to non-negotiable sacred values and the groups that the actors are wholly fused with; readiness to forsake kin for those values; and perceived spiritual strength of ingroup versus foes as more important than relative material strength. We directly relate expressed willingness for action to behaviour as a check on claims that decisions in extreme conflicts are driven by cost–benefit calculations, which may help to inform policy decisions for the common defense.
Not Threat, But Threatening: Potential Causes and Consequences of Gay Innumeracy
Not Threat, But Threatening: Potential Causes and Consequences of Gay Innumeracy. Donald P Haider-Markel & Mark R Joslyn. Journal of Homosexuality, http://dx.doi.org/10.1080/00918369.2017.1377490
ABSTRACT: Existing literature on numeracy suggests that people are likely to perceive out-groups as larger if the group is perceived as threating. However, some studies also suggest that numeracy is a function of wishful thinking or even a lack of political knowledge. We engage the literature on numeracy of the gay and lesbian population by employing data from 1977 and 2013 surveys of American adults. We examine the factors that are associated with estimating the gay population. Next we explore how innumeracy may shape attitudes about homosexuality and gay rights. Our findings suggest that estimates of the gay population are partly a function of knowledge, and perhaps wishful thinking, but not threat. However, our analysis also reveals that higher estimates of the gay population are associated less support for gay civil rights in the current era, and were not a factor in the past.
KEYWORDS: Numeracy, innumeracy, gay population, rights, policy attitudes, threat, knowledge
ABSTRACT: Existing literature on numeracy suggests that people are likely to perceive out-groups as larger if the group is perceived as threating. However, some studies also suggest that numeracy is a function of wishful thinking or even a lack of political knowledge. We engage the literature on numeracy of the gay and lesbian population by employing data from 1977 and 2013 surveys of American adults. We examine the factors that are associated with estimating the gay population. Next we explore how innumeracy may shape attitudes about homosexuality and gay rights. Our findings suggest that estimates of the gay population are partly a function of knowledge, and perhaps wishful thinking, but not threat. However, our analysis also reveals that higher estimates of the gay population are associated less support for gay civil rights in the current era, and were not a factor in the past.
KEYWORDS: Numeracy, innumeracy, gay population, rights, policy attitudes, threat, knowledge
Hedonic Recall Bias. Why You Should Not Ask People How Much They Earn
Hedonic Recall Bias. Why You Should Not Ask People How Much They Earn. Alberto Prati. Journal of Economic Behavior & Organization, https://doi.org/10.1016/j.jebo.2017.09.002
Highlights
• Survey data lead to large over-estimation of the effect of wage on wage satisfaction
• Income misreporting in surveys is not random, but endogenous
• People relatively more satisfied with their wage tend to over-report their wage
• People relatively less satisfied with their wage tend to under-report their wage
Abstract: The empirical literature which explores the effect of wage on job satisfaction typically uses data drawn from social surveys. In these surveys, the amount of wage is reported by the respondents themselves: thus, the explanatory variable of the econometric models may differ from the true wage people earn. Our paper shows that the use of survey data can lead to considerable over-estimation of the importance of wage as a determinant of wage satisfaction. In particular, responses seem to be affected by a recall bias: people who are satisfied with their wage are more likely to over-report their wage in questionnaires. The more satisfied they are the more they over-report (and vice-versa unsatisfied people). We name this behavioral disposition “hedonic recall bias”.
JEL classification: D03; J28
Keywords: Recall bias; Job satisfaction; Wage satisfaction; Measurement error; Survey income
Highlights
• Survey data lead to large over-estimation of the effect of wage on wage satisfaction
• Income misreporting in surveys is not random, but endogenous
• People relatively more satisfied with their wage tend to over-report their wage
• People relatively less satisfied with their wage tend to under-report their wage
Abstract: The empirical literature which explores the effect of wage on job satisfaction typically uses data drawn from social surveys. In these surveys, the amount of wage is reported by the respondents themselves: thus, the explanatory variable of the econometric models may differ from the true wage people earn. Our paper shows that the use of survey data can lead to considerable over-estimation of the importance of wage as a determinant of wage satisfaction. In particular, responses seem to be affected by a recall bias: people who are satisfied with their wage are more likely to over-report their wage in questionnaires. The more satisfied they are the more they over-report (and vice-versa unsatisfied people). We name this behavioral disposition “hedonic recall bias”.
JEL classification: D03; J28
Keywords: Recall bias; Job satisfaction; Wage satisfaction; Measurement error; Survey income
Psychological influences of animal-themed food decorations
Psychological influences of animal-themed food decorations. Kohske Takahashi, Haruaki Fukuda, Katsumi Watanabe, Kazuhiro Uedab. Food Quality and Preference, https://doi.org/10.1016/j.foodqual.2017.09.004
Highlights
• Animal-themed food decorations do not enhance the value of food.
• Realistic animal-themed decoration decreases the value of food.
• The effects of animal-themed decoration depend on the animal-likeness of the food.
Abstract: Food appearance influences the food’s perceived value. It is paradoxical that animal-shaped foods (e.g., animal crackers) are popular and widely accepted among consumers, given that foods with an animal likeness usually elicit emotional disgust and avoidance behaviors. We experimentally tested the psychological influences of animal-themed food decorations. Participants evaluated their willingness to eat chocolate, kamaboko (a Japanese processed seafood product), and sashimi on which pictures of animals had been painted. We found that the perceived value of food did not improve by adding animal-themed decorations. In fact, the decoration drastically reduced the value of the foods actually made from animals (i.e., kamaboko and sashimi). The model analyses further confirmed that the psychological influences of animal-themed food decorations partly depended on whether the food was of animal origin or not. Furthermore, animal pictures with stronger animacy (i.e., realism) enhanced the negative influences of these decorations on the willingness to eat kamaboko and sashimi. These results together suggest that animal-themed food decorations do not enhance the value of food per se, perhaps because they emphasize the resemblance of foods to animals and thereby increase emotional disgust.
Highlights
• Animal-themed food decorations do not enhance the value of food.
• Realistic animal-themed decoration decreases the value of food.
• The effects of animal-themed decoration depend on the animal-likeness of the food.
Abstract: Food appearance influences the food’s perceived value. It is paradoxical that animal-shaped foods (e.g., animal crackers) are popular and widely accepted among consumers, given that foods with an animal likeness usually elicit emotional disgust and avoidance behaviors. We experimentally tested the psychological influences of animal-themed food decorations. Participants evaluated their willingness to eat chocolate, kamaboko (a Japanese processed seafood product), and sashimi on which pictures of animals had been painted. We found that the perceived value of food did not improve by adding animal-themed decorations. In fact, the decoration drastically reduced the value of the foods actually made from animals (i.e., kamaboko and sashimi). The model analyses further confirmed that the psychological influences of animal-themed food decorations partly depended on whether the food was of animal origin or not. Furthermore, animal pictures with stronger animacy (i.e., realism) enhanced the negative influences of these decorations on the willingness to eat kamaboko and sashimi. These results together suggest that animal-themed food decorations do not enhance the value of food per se, perhaps because they emphasize the resemblance of foods to animals and thereby increase emotional disgust.
Friday, September 8, 2017
Estimates of Non-Heterosexual Prevalence: The Roles of Anonymity and Privacy in Survey Methodology
Estimates of Non-Heterosexual Prevalence: The Roles of Anonymity and Privacy in Survey Methodology. Ronald E. Robertson et al. Archives of Sexual Behavior, https://link.springer.com/article/10.1007/s10508-017-1044-z
Abstract: When do people feel comfortable enough to provide honest answers to sensitive questions? Focusing specifically on sexual orientation prevalence—a measure that is sensitive to the pressures of heteronormativity—the present study was conducted to examine the variability in U.S. estimates of non-heterosexual identity prevalence and to determine how comfortable people are with answering questions about their sexual orientation when asked through commonly used survey modes. We found that estimates of non-heterosexual prevalence in the U.S. increased as the privacy and anonymity of the survey increased. Utilizing an online questionnaire, we rank-ordered 16 survey modes by asking people to rate their level of comfort with each mode in the context of being asked questions about their sexual orientation. A demographically diverse sample of 652 individuals in the U.S. rated each mode on a scale from −5 (very uncomfortable) to +5 (very comfortable). Modes included anonymous (name not required) and non-anonymous (name required) versions of questions, as well as self-administered and interviewer-administered versions. Subjects reported significantly higher mean comfort levels with anonymous modes than with non-anonymous modes and significantly higher mean comfort levels with self-administered modes than with interviewer-administered modes. Subjects reported the highest mean comfort level with anonymous online surveys and the lowest with non-anonymous personal interviews that included a video recording. Compared with the estimate produced by an online survey with a nationally representative sample, surveys utilizing more intrusive methodologies may have underestimated non-heterosexual prevalence in the U.S. by between 50 and 414%. Implications for public policy are discussed.
Abstract: When do people feel comfortable enough to provide honest answers to sensitive questions? Focusing specifically on sexual orientation prevalence—a measure that is sensitive to the pressures of heteronormativity—the present study was conducted to examine the variability in U.S. estimates of non-heterosexual identity prevalence and to determine how comfortable people are with answering questions about their sexual orientation when asked through commonly used survey modes. We found that estimates of non-heterosexual prevalence in the U.S. increased as the privacy and anonymity of the survey increased. Utilizing an online questionnaire, we rank-ordered 16 survey modes by asking people to rate their level of comfort with each mode in the context of being asked questions about their sexual orientation. A demographically diverse sample of 652 individuals in the U.S. rated each mode on a scale from −5 (very uncomfortable) to +5 (very comfortable). Modes included anonymous (name not required) and non-anonymous (name required) versions of questions, as well as self-administered and interviewer-administered versions. Subjects reported significantly higher mean comfort levels with anonymous modes than with non-anonymous modes and significantly higher mean comfort levels with self-administered modes than with interviewer-administered modes. Subjects reported the highest mean comfort level with anonymous online surveys and the lowest with non-anonymous personal interviews that included a video recording. Compared with the estimate produced by an online survey with a nationally representative sample, surveys utilizing more intrusive methodologies may have underestimated non-heterosexual prevalence in the U.S. by between 50 and 414%. Implications for public policy are discussed.
Emotions Know Best: The Advantage of Emotional versus Cognitive Responses to Failure
Nelson, N., Malkoc, S. A., and Shiv, B. (2017) Emotions Know Best: The Advantage of Emotional versus Cognitive Responses to Failure. J. Behav. Dec. Making, doi: 10.1002/bdm.2042.
Abstract: Making mistakes or failing at tasks is a common occurrence in human life. People can respond to and cope with failure in many ways. In this research, we examine potential advantages of relatively emotional (versus cognitive) responses to failure. In particular, we study how effort and time spent in subsequent tasks depend on whether people predominantly focus on their emotions or their cognitions as they respond to a failure. We demonstrate that, left to their own means, people's cognitions upon a failure are mainly justificatory in nature and thus do not automatically have the commonly believed reflective, self-improving qualities. We further argue and demonstrate that a relative focus on cognitions following a failure can prevent improvement in subsequent episodes, but a focus on emotions can allow for learning and, therefore, increased effort.
Abstract: Making mistakes or failing at tasks is a common occurrence in human life. People can respond to and cope with failure in many ways. In this research, we examine potential advantages of relatively emotional (versus cognitive) responses to failure. In particular, we study how effort and time spent in subsequent tasks depend on whether people predominantly focus on their emotions or their cognitions as they respond to a failure. We demonstrate that, left to their own means, people's cognitions upon a failure are mainly justificatory in nature and thus do not automatically have the commonly believed reflective, self-improving qualities. We further argue and demonstrate that a relative focus on cognitions following a failure can prevent improvement in subsequent episodes, but a focus on emotions can allow for learning and, therefore, increased effort.
Chilldren unable to solve school arithmetic problems were able to solve similar ones when framed as market transactions
The untapped math skills of working children in India: Evidence, possible explanations, and implications. Abhijit V. Banerjee et al. MIT Economics, https://economics.mit.edu/files/13531
Abstract: It has been widely documented that many children in India lack basic arithmetic skills, as measured by their capacity to solve subtraction and division problems. We surveyed children working in informal markets in Kolkata, West Bengal, and confirmed that most were unable to solve arithmetic problems as typically presented in school. However, we also found that they were able to perform similar operations when framed as market transactions. This discrepancy was not explained by children’s ability to memorize prices and quantities in market transactions, assistance from others at their shops, reliance on calculation aids, or reading and writing skills. In fact, many children could solve hypothetical transactions of goods that they did not sell. Our results suggest that these children have arithmetic skills that are untapped by the school system.
Abstract: It has been widely documented that many children in India lack basic arithmetic skills, as measured by their capacity to solve subtraction and division problems. We surveyed children working in informal markets in Kolkata, West Bengal, and confirmed that most were unable to solve arithmetic problems as typically presented in school. However, we also found that they were able to perform similar operations when framed as market transactions. This discrepancy was not explained by children’s ability to memorize prices and quantities in market transactions, assistance from others at their shops, reliance on calculation aids, or reading and writing skills. In fact, many children could solve hypothetical transactions of goods that they did not sell. Our results suggest that these children have arithmetic skills that are untapped by the school system.
Observing Others’ Anger and Guilt Can Make You Feel Unfairly Treated: The Interpersonal Effects of Emotions on Justice-Related Reactions
Observing Others’ Anger and Guilt Can Make You Feel Unfairly Treated: The Interpersonal Effects of Emotions on Justice-Related Reactions. Annika Hillebrandt and Laurie J. Barclay. Social Justice Research. https://link.springer.com/article/10.1007/s11211-017-0290-5
Abstract: Drawing upon emotions as social information theory, we propose that others’ emotions can influence individuals’ justice judgments, outcome satisfaction, and behaviors even when individuals are not unfairly treated themselves and in the absence of explicit information about the fairness of others’ treatment. Study 1 demonstrated that individuals make inferences about the outcome favorability and procedural justice encountered by others based on others’ expressions of guilt and anger, which also influence individuals’ judgments of others’ overall justice and outcome satisfaction. Studies 2 and 3 demonstrated that others’ emotions can influence individuals’ own judgments of procedural justice and overall justice. Specifically, individuals perceive lower levels of justice when another person expresses guilt or anger relative to no emotion. Moreover, others’ emotions influence individuals’ outcome satisfaction and behaviors (i.e., helping intentions and retaliation); these effects are mediated by individuals’ own justice judgments (i.e., procedural and overall justice). Theoretical implications related to the role of emotions as antecedents to justice judgments, the social function of emotions, and the impact of emotions on third-party observers are discussed.
Abstract: Drawing upon emotions as social information theory, we propose that others’ emotions can influence individuals’ justice judgments, outcome satisfaction, and behaviors even when individuals are not unfairly treated themselves and in the absence of explicit information about the fairness of others’ treatment. Study 1 demonstrated that individuals make inferences about the outcome favorability and procedural justice encountered by others based on others’ expressions of guilt and anger, which also influence individuals’ judgments of others’ overall justice and outcome satisfaction. Studies 2 and 3 demonstrated that others’ emotions can influence individuals’ own judgments of procedural justice and overall justice. Specifically, individuals perceive lower levels of justice when another person expresses guilt or anger relative to no emotion. Moreover, others’ emotions influence individuals’ outcome satisfaction and behaviors (i.e., helping intentions and retaliation); these effects are mediated by individuals’ own justice judgments (i.e., procedural and overall justice). Theoretical implications related to the role of emotions as antecedents to justice judgments, the social function of emotions, and the impact of emotions on third-party observers are discussed.
Thursday, September 7, 2017
Associations of fats and carbohydrate intake with cardiovascular disease and mortality in 18 countries from five continents (PURE): A prospective cohort study.
Associations of fats and carbohydrate intake with cardiovascular disease and mortality in 18 countries from five continents (PURE): A prospective cohort study. Mahshid Dehghan et al. Lancet, http://dx.doi.org/10.1016/S0140-6736(17)32252-3
Abstract
Methods: The Prospective Urban Rural Epidemiology (PURE) study is a large, epidemiological cohort study of individuals aged 35–70 years (enrolled between Jan 1, 2003, and March 31, 2013) in 18 countries with a median follow-up of 7•4 years (IQR 5•3–9•3). Dietary intake of 135 335 individuals was recorded using validated food frequency questionnaires. The primary outcomes were total mortality and major cardiovascular events (fatal cardiovascular disease, non-fatal myocardial infarction, stroke, and heart failure). Secondary outcomes were all myocardial infarctions, stroke, cardiovascular disease mortality, and non-cardiovascular disease mortality. Participants were categorised into quintiles of nutrient intake (carbohydrate, fats, and protein) based on percentage of energy provided by nutrients. We assessed the associations between consumption of carbohydrate, total fat, and each type of fat with cardiovascular disease and total mortality. We calculated hazard ratios (HRs) using a multivariable Cox frailty model with random intercepts to account for centre clustering.
Findings: During follow-up, we documented 5796 deaths and 4784 major cardiovascular disease events. Higher carbohydrate intake was associated with an increased risk of total mortality (highest [quintile 5] vs lowest quintile [quintile 1] category, HR 1•28 [95% CI 1•12–1•46], ptrend=0•0001) but not with the risk of cardiovascular disease or cardiovascular disease mortality. Intake of total fat and each type of fat was associated with lower risk of total mortality (quintile 5 vs quintile 1, total fat: HR 0•77 [95% CI 0•67–0•87], ptrend<0 0="" 1="" 5="" and="" associated="" br="" cardiovascular="" ci="" disease="" fat:="" fat="" fats="" higher="" hr="" infarction="" intake="" lower="" monounsaturated="" mortality.="" myocardial="" not="" of="" or="" polyunsaturated="" ptrend="0•0498)." quintile="" risk="" saturated="" significantly="" stroke="" total="" unsaturated="" vs="" was="" were="" with="">
Interpretation: High carbohydrate intake was associated with higher risk of total mortality, whereas total fat and individual types of fat were related to lower total mortality. Total fat and types of fat were not associated with cardiovascular disease, myocardial infarction, or cardiovascular disease mortality, whereas saturated fat had an inverse association with stroke. Global dietary guidelines should be reconsidered in light of these findings.
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Abstract
Methods: The Prospective Urban Rural Epidemiology (PURE) study is a large, epidemiological cohort study of individuals aged 35–70 years (enrolled between Jan 1, 2003, and March 31, 2013) in 18 countries with a median follow-up of 7•4 years (IQR 5•3–9•3). Dietary intake of 135 335 individuals was recorded using validated food frequency questionnaires. The primary outcomes were total mortality and major cardiovascular events (fatal cardiovascular disease, non-fatal myocardial infarction, stroke, and heart failure). Secondary outcomes were all myocardial infarctions, stroke, cardiovascular disease mortality, and non-cardiovascular disease mortality. Participants were categorised into quintiles of nutrient intake (carbohydrate, fats, and protein) based on percentage of energy provided by nutrients. We assessed the associations between consumption of carbohydrate, total fat, and each type of fat with cardiovascular disease and total mortality. We calculated hazard ratios (HRs) using a multivariable Cox frailty model with random intercepts to account for centre clustering.
Findings: During follow-up, we documented 5796 deaths and 4784 major cardiovascular disease events. Higher carbohydrate intake was associated with an increased risk of total mortality (highest [quintile 5] vs lowest quintile [quintile 1] category, HR 1•28 [95% CI 1•12–1•46], ptrend=0•0001) but not with the risk of cardiovascular disease or cardiovascular disease mortality. Intake of total fat and each type of fat was associated with lower risk of total mortality (quintile 5 vs quintile 1, total fat: HR 0•77 [95% CI 0•67–0•87], ptrend<0 0="" 1="" 5="" and="" associated="" br="" cardiovascular="" ci="" disease="" fat:="" fat="" fats="" higher="" hr="" infarction="" intake="" lower="" monounsaturated="" mortality.="" myocardial="" not="" of="" or="" polyunsaturated="" ptrend="0•0498)." quintile="" risk="" saturated="" significantly="" stroke="" total="" unsaturated="" vs="" was="" were="" with="">
Interpretation: High carbohydrate intake was associated with higher risk of total mortality, whereas total fat and individual types of fat were related to lower total mortality. Total fat and types of fat were not associated with cardiovascular disease, myocardial infarction, or cardiovascular disease mortality, whereas saturated fat had an inverse association with stroke. Global dietary guidelines should be reconsidered in light of these findings.
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Examining the “Veggie” personality: Results from a representative German sample
Examining the “Veggie” personality: Results from a representative German sample. Tamara M. Pfeiler and Boris Egloff. Appetite, https://doi.org/10.1016/j.appet.2017.09.005
Abstract: An increasing proportion of people choose to follow a vegetarian diet. To date, however, little is known about if and how individual differences in personality relate to following a vegetarian diet. In the two studies presented here, we aimed to (1) estimate the prevalence of self-defined vegetarians in two waves of a German representative sample (N = 4496 and 5,125, respectively), (2) analyze the effect of socio-demographic variables on dietary behavior, and (3) examine individual differences between vegetarians and meat eaters in personality traits, political attitudes, and health-related variables. In Study 1, a strict definition of vegetarians was used, while in Study 2 the definition was laxer, to include also individuals who only predominantly followed a vegetarian diet. The prevalence of self-defined vegetarians was 2.74% in Study 1, and 5.97% in Study 2. Participants who were female, younger, and more educated were more likely to report following a vegetarian diet in both studies, and vegetarians had higher income as compared to meat eaters in Study 2. We also found differences between vegetarians and meat eaters with regard to personality traits, political attitudes, and health-related variables. Stepwise logistic regression analyses showed a unique effect beyond socio-demographic variables for openness (Studies 1 and 2), conscientiousness (Study 1), trust (Study 2), conservatism (Studies 1 and 2), and level of interest in politics (Study 1) on diet: Individuals with higher scores in openness and political interest had a higher probability of being vegetarian, whereas people with higher scores in conscientiousness and conservatism had a smaller likelihood of being vegetarian. We conclude that there are individual differences between vegetarians and meat eaters in socio-demographics, personality traits, and political attitudes.
Keywords: Vegetarian diet; Personality traits; Big Five; Prevalence; Meat eating; Political attitudes
Abstract: An increasing proportion of people choose to follow a vegetarian diet. To date, however, little is known about if and how individual differences in personality relate to following a vegetarian diet. In the two studies presented here, we aimed to (1) estimate the prevalence of self-defined vegetarians in two waves of a German representative sample (N = 4496 and 5,125, respectively), (2) analyze the effect of socio-demographic variables on dietary behavior, and (3) examine individual differences between vegetarians and meat eaters in personality traits, political attitudes, and health-related variables. In Study 1, a strict definition of vegetarians was used, while in Study 2 the definition was laxer, to include also individuals who only predominantly followed a vegetarian diet. The prevalence of self-defined vegetarians was 2.74% in Study 1, and 5.97% in Study 2. Participants who were female, younger, and more educated were more likely to report following a vegetarian diet in both studies, and vegetarians had higher income as compared to meat eaters in Study 2. We also found differences between vegetarians and meat eaters with regard to personality traits, political attitudes, and health-related variables. Stepwise logistic regression analyses showed a unique effect beyond socio-demographic variables for openness (Studies 1 and 2), conscientiousness (Study 1), trust (Study 2), conservatism (Studies 1 and 2), and level of interest in politics (Study 1) on diet: Individuals with higher scores in openness and political interest had a higher probability of being vegetarian, whereas people with higher scores in conscientiousness and conservatism had a smaller likelihood of being vegetarian. We conclude that there are individual differences between vegetarians and meat eaters in socio-demographics, personality traits, and political attitudes.
Keywords: Vegetarian diet; Personality traits; Big Five; Prevalence; Meat eating; Political attitudes
Stylized and photographic eye images do not increase charitable donations in a field experiment
Stylized and photographic eye images do not increase charitable donations in a field experiment. Paul Lennon, Rachel Grant, and V. Tamara Montrose. Letters on Evolutionary Behavioral Science, Vol 8, No 2 (2017). http://lebs.hbesj.org/index.php/lebs/article/view/lebs.2017.60
Abstract: The effects of watching eyes upon prosocial behavior have been explored in various contexts, for example, in relation to charitable donations, honor-system payments and littering. Whilst studies have explored the effects of both photographic and stylized eyes upon prosocial behavior, no study, to our knowledge, has compared stylized eyes to photographic eyes. Here we explored the effects of stylized and photographic eye images upon prosocial behavior assessed via charitable donations in a ‘free cakes’ field experiment. Charitable giving was assessed under six eye image conditions, three stylized eye images (evil eye, eye of Horus, all-seeing eye), one photographic eye image (human eye image) and two control images (geometric shape control and blank control). No difference in the amount of money donated was found between any of the eye image conditions. These results suggest that watching eyes, whether stylized or photographic, are not effective at eliciting prosocial behavior via charitable giving. However, further study contrasting single and paired eye imagery, and exploration of the effects of stylized eye imagery in deterring littering and crime, would be beneficial.
Abstract: The effects of watching eyes upon prosocial behavior have been explored in various contexts, for example, in relation to charitable donations, honor-system payments and littering. Whilst studies have explored the effects of both photographic and stylized eyes upon prosocial behavior, no study, to our knowledge, has compared stylized eyes to photographic eyes. Here we explored the effects of stylized and photographic eye images upon prosocial behavior assessed via charitable donations in a ‘free cakes’ field experiment. Charitable giving was assessed under six eye image conditions, three stylized eye images (evil eye, eye of Horus, all-seeing eye), one photographic eye image (human eye image) and two control images (geometric shape control and blank control). No difference in the amount of money donated was found between any of the eye image conditions. These results suggest that watching eyes, whether stylized or photographic, are not effective at eliciting prosocial behavior via charitable giving. However, further study contrasting single and paired eye imagery, and exploration of the effects of stylized eye imagery in deterring littering and crime, would be beneficial.
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