Revamping the Evolutionary Theories of Aging. Adiv A. Johnsona, Maxim N. Shokhirev, Boris Shoshitaishvili. Ageing Research Reviews, August 23 2019, 100947. https://doi.org/10.1016/j.arr.2019.100947
Highlights
• Extrinsic mortality is one of the most important drivers in the evolution of aging.
• Classical predictions expect higher extrinsic mortality to shorten evolved lifespan.
• The bulk of published data conform to the classical evolutionary theories of aging.
• Increased extrinsic mortality can sometimes select for longer evolved lifespans.
• Immortal animals that experience extrinsic mortality challenge classical theories.
• The aging response to extrinsic mortality involves multiple interacting factors.
Abstract: Radical lifespan disparities exist in the animal kingdom. While the ocean quahog can survive for half a millennium, the mayfly survives for less than 48 hours. The evolutionary theories of aging seek to explain why such stark longevity differences exist and why a deleterious process like aging evolved. The classical mutation accumulation, antagonistic pleiotropy, and disposable soma theories predict that increased extrinsic mortality should select for the evolution of shorter lifespans and vice versa. Most experimental and comparative field studies conform to this prediction. Indeed, animals with extreme longevity (e.g., Greenland shark, bowhead whale, giant tortoise, vestimentiferan tubeworms) typically experience minimal predation. However, data from guppies, nematodes, and computational models show that increased extrinsic mortality can sometimes lead to longer evolved lifespans. The existence of theoretically immortal animals that experience extrinsic mortality – like planarian flatworms, panther worms, and hydra – further challenges classical assumptions. Octopuses pose another puzzle by exhibiting short lifespans and an uncanny intelligence, the latter of which is often associated with longevity and reduced extrinsic mortality. The evolutionary response to extrinsic mortality is likely dependent on multiple interacting factors in the organism, population, and ecology, including food availability, population density, reproductive cost, age-mortality interactions, and the mortality source.
Keywords: evolution of agingmutation accumulationantagonistic pleiotropydisposable somalifespanextrinsic mortality
Saturday, August 24, 2019
However, since radical people represent only 20% of the population and there was no effect for Facebook or blogs, the overall effect of the Internet was moderation, not polarization
Tatsuo Tanaka, 2019. "Does the Internet cause polarization? -Panel survey in Japan-," Keio-IES Discussion Paper Series 2019-015, Institute for Economics Studies, Keio University. https://ideas.repec.org/p/keo/dpaper/2019-015.html
Abstract: There is concern that the Internet causes ideological polarization through selective exposure and the echo chamber effect. This paper examines the effect of social media on polarization by applying a difference-in-difference approach to panel data of 50 thousand respondents in Japan. Japan is good case for this research because other factors affecting polarization like huge wealth gap and massive immigration are not serious issue, thus it offers quasi natural experimental situation to test the effect of the Internet. The results show that people who started using social media during the research period (targets) were no more polarized than people who did not (controls). There was a tendency for younger and politically moderate people to be less polarized. The only case in which the Internet increased polarization was for already radical people who started using Twitter. However, since radical people represent only 20% of the population and there was no effect for Facebook or blogs, the overall effect of the Internet was moderation, not polarization.
Check also... Explaining the Spread of Misinformation on Social Media: Evidence from the 2016 U.S. Presidential Election. Pablo Barbera. Note prepared for the APSA Comparative Politics Newsletter, Fall 2018. https://www.bipartisanalliance.com/2019/06/ironically-it-may-not-be-much-trumpeted.html
And Testing popular news discourse on the “echo chamber” effect: Does political polarisation occur among those relying on social media as their primary politics news source? An Nguyen, Hong Tien Vu. First Monday, Volume 24, Number 6 - 3 June 2019.
https://www.bipartisanalliance.com/2019/06/does-political-polarisation-occur-among.html
Abstract: There is concern that the Internet causes ideological polarization through selective exposure and the echo chamber effect. This paper examines the effect of social media on polarization by applying a difference-in-difference approach to panel data of 50 thousand respondents in Japan. Japan is good case for this research because other factors affecting polarization like huge wealth gap and massive immigration are not serious issue, thus it offers quasi natural experimental situation to test the effect of the Internet. The results show that people who started using social media during the research period (targets) were no more polarized than people who did not (controls). There was a tendency for younger and politically moderate people to be less polarized. The only case in which the Internet increased polarization was for already radical people who started using Twitter. However, since radical people represent only 20% of the population and there was no effect for Facebook or blogs, the overall effect of the Internet was moderation, not polarization.
Check also... Explaining the Spread of Misinformation on Social Media: Evidence from the 2016 U.S. Presidential Election. Pablo Barbera. Note prepared for the APSA Comparative Politics Newsletter, Fall 2018. https://www.bipartisanalliance.com/2019/06/ironically-it-may-not-be-much-trumpeted.html
And Testing popular news discourse on the “echo chamber” effect: Does political polarisation occur among those relying on social media as their primary politics news source? An Nguyen, Hong Tien Vu. First Monday, Volume 24, Number 6 - 3 June 2019.
https://www.bipartisanalliance.com/2019/06/does-political-polarisation-occur-among.html
Growing body of evidence suggests that inconsistent hand preference is indicative of an increased disposition to update one’s beliefs upon exposure to novel information; this seems wrong
M. L., Vilsmeier, J. K., Voracek, M., & Tran, U. S. (2019). No Evidence That Lateral Preferences Predict Individual Differences in the Tendency to Update Mental Representations: A Replication-Extension Study. Collabra: Psychology, 5(1), 38. DOI: http://doi.org/10.1525/collabra.227
Abstract: A growing body of evidence suggests that inconsistent hand preference is indicative of an increased disposition to update one’s beliefs upon exposure to novel information. This is attributed to a facilitated exchange of information between the two brain hemispheres among inconsistent handers, compared to consistent handers. Currently available studies provide only indirect evidence for such an effect, were mostly based on small sample sizes, and did not provide measures of effect size. Small sample size is a major factor contributing to low replicability of research findings and false-positive results. We thus attempted to replicate Experiment 1 of Westfall, Corser and Jasper (2014), which appears to be representative of research on degree of handedness and belief updating in terms of the employed methods. We utilized data from a sample more than 10 times the size (N = 1243) of the original study and contrasted the commonly applied median-split technique to classify inconsistent and consistent handers with an empirically grounded classification scheme. Following a replication-extension approach, besides handedness, footedness was also explored. Only one out of 12 chi-squared tests reached significance and supported the original hypothesis that inconsistent handers stay with, or switch more often from, the status quo than consistent handers, depending on the valence of novel information. A small-telescopes analysis suggested that the original study had too low analytic power to detect its reported effect reliably. These results cast doubt on the assumption that inconsistent and consistent-handers differ in the tendency to update mental representations. We discuss the use of the median-split technique in handedness research, available neuroscientific evidence on interhemispheric interaction and inconsistent handedness, and venues of future research.
Keywords: Handedness , Degree-of-handedness , Footedness , Status Quo Bias , Lateral Preference Classification
Friday, August 23, 2019
Credibility and Incredulity in Milgram’s Obedience Experiments: A Reanalysis of an Unpublished Test By Milgram’s assistant, Taketo Murata
Credibility and Incredulity in Milgram’s Obedience Experiments: A Reanalysis of an Unpublished Test. Gina Perry et al. Social Psychology Quarterly, August 22, 2019. https://doi.org/10.1177/0190272519861952
Abstract: This article analyzes variations in subject perceptions of pain in Milgram’s obedience experiments and their behavioral consequences. Based on an unpublished study by Milgram’s assistant, Taketo Murata, we report the relationship between the subjects’ belief that the learner was actually receiving painful electric shocks and their choice of shock level. This archival material indicates that in 18 of 23 variations of the experiment, the mean levels of shock for those who fully believed that they were inflicting pain were lower than for subjects who did not fully believe they were inflicting pain. These data suggest that the perception of pain inflated subject defiance and that subject skepticism inflated their obedience. This analysis revises our perception of the classical interpretation of the experiment and its putative relevance to the explanation of state atrocities, such as the Holocaust. It also raises the issue of dramaturgical credibility in experiments based on deception. The findings are discussed in the context of methodological questions about the reliability of Milgram’s questionnaire data and their broader theoretical relevance.
Keywords: dramaturgical credibility, experimental deception, methodological dilemmas in assessing obedience, obedience to authority, Stanley Milgram
Abstract: This article analyzes variations in subject perceptions of pain in Milgram’s obedience experiments and their behavioral consequences. Based on an unpublished study by Milgram’s assistant, Taketo Murata, we report the relationship between the subjects’ belief that the learner was actually receiving painful electric shocks and their choice of shock level. This archival material indicates that in 18 of 23 variations of the experiment, the mean levels of shock for those who fully believed that they were inflicting pain were lower than for subjects who did not fully believe they were inflicting pain. These data suggest that the perception of pain inflated subject defiance and that subject skepticism inflated their obedience. This analysis revises our perception of the classical interpretation of the experiment and its putative relevance to the explanation of state atrocities, such as the Holocaust. It also raises the issue of dramaturgical credibility in experiments based on deception. The findings are discussed in the context of methodological questions about the reliability of Milgram’s questionnaire data and their broader theoretical relevance.
Keywords: dramaturgical credibility, experimental deception, methodological dilemmas in assessing obedience, obedience to authority, Stanley Milgram
Both men and women found heroic targets to be more desirable than targets low in heroism, although the main effect of sex was stronger for women than men
Bhogal, Manpal S., and James E. Bartlett. 2019. “Further Support for the Role of Heroism in Human Mate Choice.” PsyArXiv. May 19. doi:10.31234/osf.io/2npfm
Abstract: Previous research has explored the role of prosociality in mate choice, predominantly focusing on the role of altruism. Although there is ample evidence to suggest altruism has evolved via mate choice, little research has unpacked prosociality by exploring the role of heroism in mate choice. Limited studies have been conducted in this area, and no studies have explored men’s desirability towards heroic targets. The aim of this study was to replicate and extend the limited research on the role of heroism in mate choice. Participants (n=276, 101 men and 175 women) rated several scenarios varying in heroism, whereby they were asked to rate how desirable targets were for a short-term and long-term relationship. The findings show that both men and women found heroic targets to be more desirable than targets low in heroism, although the main effect of sex was stronger for women than men. Furthermore, high heroic targets were rated as more desirable for long-term compared to short-term relationships, thus replicating and extending previous research. The findings add support to the adaptive role of heroism in human mate choice by exploring the role of heroism in both male and female mate choice. Data, materials, and the preregistered hypotheses/protocol are available on the Open Science Framework (osf.io/qbzw7/?view_only=e66411df988844cfa39e63c51ed33131)
Abstract: Previous research has explored the role of prosociality in mate choice, predominantly focusing on the role of altruism. Although there is ample evidence to suggest altruism has evolved via mate choice, little research has unpacked prosociality by exploring the role of heroism in mate choice. Limited studies have been conducted in this area, and no studies have explored men’s desirability towards heroic targets. The aim of this study was to replicate and extend the limited research on the role of heroism in mate choice. Participants (n=276, 101 men and 175 women) rated several scenarios varying in heroism, whereby they were asked to rate how desirable targets were for a short-term and long-term relationship. The findings show that both men and women found heroic targets to be more desirable than targets low in heroism, although the main effect of sex was stronger for women than men. Furthermore, high heroic targets were rated as more desirable for long-term compared to short-term relationships, thus replicating and extending previous research. The findings add support to the adaptive role of heroism in human mate choice by exploring the role of heroism in both male and female mate choice. Data, materials, and the preregistered hypotheses/protocol are available on the Open Science Framework (osf.io/qbzw7/?view_only=e66411df988844cfa39e63c51ed33131)
However, keeping pets, especially cats, and even more being injured by pets, were strongly negatively associated with many facets of quality of life
Friends with malefit. The effects of keeping dogs and cats, sustaining
animal-related injuries and Toxoplasma infection on health and quality
of life. Jaroslav Flegr, Marek Preiss. bioRxiv, August 21, 2019.
https://doi.org/10.1101/742734
Abstract: Many studies show that keeping cats and dogs has a positive impact on humans’ physical and mental health and quality of life. The existence of this “pet phenomenon” is now widely discussed because other studies performed recently have demonstrated a negative impact of owning pets or no impact at all. The main problem of many studies was the autoselection – participants were informed about the aims of the study during recruitment and later likely described their health and wellbeing according to their personal beliefs and wishes, not according to their real status. To avoid this source of bias, we did not mention pets during participant recruitment and hid the pet-related questions among many hundreds of questions in an 80-minute Internet questionnaire. Results of our study performed on a sample of on 10,858 subjects showed that liking cats and dogs has a weak positive association with quality of life. However, keeping pets, especially cats, and even more being injured by pets, were strongly negatively associated with many facets of quality of life. Our data also confirmed that infection by the cat parasite Toxoplasma had a very strong negative effect on quality of life, especially on mental health. However, the infection was not responsible for the observed negative effects of keeping pets, as these effects were much stronger in 1,527 Toxoplasma-free subjects than in the whole population. Any cross-sectional study cannot discriminate between a cause and an effect. However, because of the large and still growing popularity of keeping pets, the existence and nature of the reverse pet phenomenon deserve the outmost attention.
Abstract: Many studies show that keeping cats and dogs has a positive impact on humans’ physical and mental health and quality of life. The existence of this “pet phenomenon” is now widely discussed because other studies performed recently have demonstrated a negative impact of owning pets or no impact at all. The main problem of many studies was the autoselection – participants were informed about the aims of the study during recruitment and later likely described their health and wellbeing according to their personal beliefs and wishes, not according to their real status. To avoid this source of bias, we did not mention pets during participant recruitment and hid the pet-related questions among many hundreds of questions in an 80-minute Internet questionnaire. Results of our study performed on a sample of on 10,858 subjects showed that liking cats and dogs has a weak positive association with quality of life. However, keeping pets, especially cats, and even more being injured by pets, were strongly negatively associated with many facets of quality of life. Our data also confirmed that infection by the cat parasite Toxoplasma had a very strong negative effect on quality of life, especially on mental health. However, the infection was not responsible for the observed negative effects of keeping pets, as these effects were much stronger in 1,527 Toxoplasma-free subjects than in the whole population. Any cross-sectional study cannot discriminate between a cause and an effect. However, because of the large and still growing popularity of keeping pets, the existence and nature of the reverse pet phenomenon deserve the outmost attention.
Frequency of internet use was not associated with lower subjective well-being, although higher levels of direct (face-to-face plus phone) social contact predicted greater life satisfaction
A longitudinal study of the effects of internet use on subjective well-being. Dario Paez et al. Media Psychology, Aug 22 2019. https://doi.org/10.1080/15213269.2019.1624177
ABSTRACT: This study examined how internet use is related to subjective well-being, using longitudinal data from 19 nations with representative online samples stratified for age, gender, and region (N = 7122, 51.43% women, Mage= 45.26). Life satisfaction and anxiety served as indices of subjective well-being at time 1 (t1) and then six months later (t2). Frequency of internet use (hours online per day) at t1 correlated with lower life satisfaction, r = – .06, and more anxiety, r = .13 at t2. However, after imposing multivariate controls, frequency of internet use (t1) was no longer associated with lower subjective well-being (t2). Frequency of social contact by internet and use of internet for following rumors (t1) predicted higher anxiety (t2). Higher levels of direct (face-to-face plus phone) social contact (t1) predicted greater life satisfaction (t2). In multivariate analyses, all effect sizes were small. Society-level individualism-collectivism or indulgence-restraint did not show a direct effect on outcomes nor moderate individual-level associations. Results are discussed in the framework of the internet as a displacement of social contact versus a replacement of deficits in direct contact; and as a source of positive and negative information.
ABSTRACT: This study examined how internet use is related to subjective well-being, using longitudinal data from 19 nations with representative online samples stratified for age, gender, and region (N = 7122, 51.43% women, Mage= 45.26). Life satisfaction and anxiety served as indices of subjective well-being at time 1 (t1) and then six months later (t2). Frequency of internet use (hours online per day) at t1 correlated with lower life satisfaction, r = – .06, and more anxiety, r = .13 at t2. However, after imposing multivariate controls, frequency of internet use (t1) was no longer associated with lower subjective well-being (t2). Frequency of social contact by internet and use of internet for following rumors (t1) predicted higher anxiety (t2). Higher levels of direct (face-to-face plus phone) social contact (t1) predicted greater life satisfaction (t2). In multivariate analyses, all effect sizes were small. Society-level individualism-collectivism or indulgence-restraint did not show a direct effect on outcomes nor moderate individual-level associations. Results are discussed in the framework of the internet as a displacement of social contact versus a replacement of deficits in direct contact; and as a source of positive and negative information.
Autoerotic practices (mostly strangulation) can be fatal
Bunzel L, Koelzer SC, Zedler B, et al. Non-Natural Death Associated with Sexual Activity: Results of a 25-Year Medicolegal Postmortem Study. J Sex Med 2019; XX:XXX–XXX.. August 22 2019. https://doi.org/10.1016/j.jsxm.2019.07.008
Abstract
Introduction: Non-natural deaths associated with sexual activity may occur either with or without the involvement of other persons.
Aim: The present study provides an overview of cases of non-natural death related to sexual activities as well as recommendations of how to handle these cases and to identify potentially dangerous pleasure-enhancing techniques.
Methods: This medicolegal, postmortem, retrospective, and prospective study is based on data of autopsies performed at the Institute of Legal Medicine at University Hospital, Goethe University, Frankfurt, Germany.
Main Outcome Measure: Identification of circumstances, sexual practices, and gender distribution of cases of non-natural death in this context.
Results: Between 1993 and 2017 (25 years), 16,437 medicolegal autopsies were performed, of which 74 cases (43 males, 31 females) of non-natural death were found to relate to sexual activities (0.45%). One female and 21 males had died in the course of autoerotic practices (group I, n = 22). Nine males and 14 females had performed sexual practices with mutual consent (group II, n = 23), and 13 males and 16 females without mutual consent (group III, n = 29). The average age in group I was 45.4 years; in group II, 40.6 years; and in group III, 39.2 years. Most of the deceased were found in their own apartments. Forms of stimulation included vaginal, anal, and oral intercourse; insertion of foreign bodies; use of chemical substances; and tools for respiratory depression/hypoxia. Three cases of death occurred during sexual activities involving bondage and discipline, sadism, and masochism (BDSM). Death due to strangulation was the main cause in group I, whereas intoxications were predominant in group II. Sharp force (eg, knife) was mainly responsible for death in group III. Anogenital injuries were documented in all groups in approximately equal percentages.
Clinical Implications: The cases presented show a high variety of circumstances in which non-natural death connected to sexual activity may occur.
Strengths & Limitations: This study presents a large postmortem collection of non-natural death cases with associated sexual activity. As the main limiting factor, it must be stated that mutual consent for a sexual practice or consumption of substances was presumed based on the information provided and a lack of evidence against this assumption.
Conclusion: In cases of death associated with sexual activity, medical staff should perform thorough unbiased examinations and documentations. Strangulation and the consumption of stimulants should be classified as life-threatening, pleasure-enhancing techniques. Patients and young people should be informed about these risks.
Key Words: Non-Natural Death Sexual Activity Autopsy Anogenital Injury Autoerotic BDSM Forensic Sexual Homicide
Abstract
Introduction: Non-natural deaths associated with sexual activity may occur either with or without the involvement of other persons.
Aim: The present study provides an overview of cases of non-natural death related to sexual activities as well as recommendations of how to handle these cases and to identify potentially dangerous pleasure-enhancing techniques.
Methods: This medicolegal, postmortem, retrospective, and prospective study is based on data of autopsies performed at the Institute of Legal Medicine at University Hospital, Goethe University, Frankfurt, Germany.
Main Outcome Measure: Identification of circumstances, sexual practices, and gender distribution of cases of non-natural death in this context.
Results: Between 1993 and 2017 (25 years), 16,437 medicolegal autopsies were performed, of which 74 cases (43 males, 31 females) of non-natural death were found to relate to sexual activities (0.45%). One female and 21 males had died in the course of autoerotic practices (group I, n = 22). Nine males and 14 females had performed sexual practices with mutual consent (group II, n = 23), and 13 males and 16 females without mutual consent (group III, n = 29). The average age in group I was 45.4 years; in group II, 40.6 years; and in group III, 39.2 years. Most of the deceased were found in their own apartments. Forms of stimulation included vaginal, anal, and oral intercourse; insertion of foreign bodies; use of chemical substances; and tools for respiratory depression/hypoxia. Three cases of death occurred during sexual activities involving bondage and discipline, sadism, and masochism (BDSM). Death due to strangulation was the main cause in group I, whereas intoxications were predominant in group II. Sharp force (eg, knife) was mainly responsible for death in group III. Anogenital injuries were documented in all groups in approximately equal percentages.
Clinical Implications: The cases presented show a high variety of circumstances in which non-natural death connected to sexual activity may occur.
Strengths & Limitations: This study presents a large postmortem collection of non-natural death cases with associated sexual activity. As the main limiting factor, it must be stated that mutual consent for a sexual practice or consumption of substances was presumed based on the information provided and a lack of evidence against this assumption.
Conclusion: In cases of death associated with sexual activity, medical staff should perform thorough unbiased examinations and documentations. Strangulation and the consumption of stimulants should be classified as life-threatening, pleasure-enhancing techniques. Patients and young people should be informed about these risks.
Key Words: Non-Natural Death Sexual Activity Autopsy Anogenital Injury Autoerotic BDSM Forensic Sexual Homicide
Thursday, August 22, 2019
The former residents of the German Democratic Republic exhibit a significantly less pronounced present bias when compared with former residents of the Federal Republic of Germany
Time preferences and political regimes: evidence from reunified Germany. Tim Friehe, Markus Pannenberg. Journal of Population Economics, February 11 2019. https://link.springer.com/article/10.1007/s00148-019-00728-7
Abstract: We use the separation and later reunification of Germany after World War II to show that a political regime shapes time preferences of its residents. Using two identification strategies, we find that former residents of the German Democratic Republic exhibit a significantly less pronounced present bias when compared with former residents of the Federal Republic of Germany, whereas measures of patience are statistically indistinguishable. Interpreting the years spent under the regime as a proxy for treatment intensity yields consistent results. Moreover, we present evidence showing that present bias predicts choices in the domains of health, finance, and education, thereby illustrating lasting repercussions of a regime’s influence on time preferences.
Keywords: Time preferences Political regime Germany Natural experiment SOEP
Abstract: We use the separation and later reunification of Germany after World War II to show that a political regime shapes time preferences of its residents. Using two identification strategies, we find that former residents of the German Democratic Republic exhibit a significantly less pronounced present bias when compared with former residents of the Federal Republic of Germany, whereas measures of patience are statistically indistinguishable. Interpreting the years spent under the regime as a proxy for treatment intensity yields consistent results. Moreover, we present evidence showing that present bias predicts choices in the domains of health, finance, and education, thereby illustrating lasting repercussions of a regime’s influence on time preferences.
Keywords: Time preferences Political regime Germany Natural experiment SOEP
Increased cognitive behavior therapy change methods are positively associated with reliable improvement in symptoms; the quantity of nontherapy-related content shows a negative association
Quantifying the Association Between Psychotherapy Content and Clinical Outcomes Using Deep Learning. Michael P. Ewbank et al. JAMA Psychiatry, August 22, 2019. doi:10.1001/jamapsychiatry.2019.2664
Key Points
Question What aspects of psychotherapy content are significantly associated with clinical outcomes?
Findings In this quality improvement study, a deep learning model was trained to automatically categorize therapist utterances from approximately 90 000 hours of internet-enabled cognitive behavior therapy (CBT). Increased quantities of CBT change methods were positively associated with reliable improvement in patient symptoms, and the quantity of nontherapy-related content showed a negative association.
Meaning The findings support the key principles underlying CBT as a treatment and demonstrate that applying deep learning to large clinical data sets can provide valuable insights into the effectiveness of psychotherapy.
Abstract
Importance Compared with the treatment of physical conditions, the quality of care of mental health disorders remains poor and the rate of improvement in treatment is slow, a primary reason being the lack of objective and systematic methods for measuring the delivery of psychotherapy.
Objective To use a deep learning model applied to a large-scale clinical data set of cognitive behavioral therapy (CBT) session transcripts to generate a quantifiable measure of treatment delivered and to determine the association between the quantity of each aspect of therapy delivered and clinical outcomes.
Design, Setting, and Participants All data were obtained from patients receiving internet-enabled CBT for the treatment of a mental health disorder between June 2012 and March 2018 in England. Cognitive behavioral therapy was delivered in a secure online therapy room via instant synchronous messaging. The initial sample comprised a total of 17 572 patients (90 934 therapy session transcripts). Patients self-referred or were referred by a primary health care worker directly to the service.
Exposures All patients received National Institute for Heath and Care Excellence–approved disorder-specific CBT treatment protocols delivered by a qualified CBT therapist.
Main Outcomes and Measures Clinical outcomes were measured in terms of reliable improvement in patient symptoms and treatment engagement. Reliable improvement was calculated based on 2 severity measures: Patient Health Questionnaire (PHQ-9)21 and Generalized Anxiety Disorder 7-item scale (GAD-7),22 corresponding to depressive and anxiety symptoms respectively, completed by the patient at initial assessment and before every therapy session (see eMethods in the Supplement for details).
Results Treatment sessions from a total of 14 899 patients (10 882 women) aged between 18 and 94 years (median age, 34.8 years) were included in the final analysis. We trained a deep learning model to automatically categorize therapist utterances into 1 or more of 24 feature categories. The trained model was applied to our data set to obtain quantifiable measures of each feature of treatment delivered. A logistic regression revealed that increased quantities of a number of session features, including change methods (cognitive and behavioral techniques used in CBT), were associated with greater odds of reliable improvement in patient symptoms (odds ratio, 1.11; 95% CI, 1.06-1.17) and patient engagement (odds ratio, 1.20, 95% CI = 1.12-1.27). The quantity of nontherapy-related content was associated with reduced odds of symptom improvement (odds ratio, 0.89; 95% CI, 0.85-0.92) and patient engagement (odds ratio, 0.88, 95% CI, 0.84-0.92).
Conclusions and Relevance This work demonstrates an association between clinical outcomes in psychotherapy and the content of therapist utterances. These findings support the principle that CBT change methods help produce improvements in patients’ presenting symptoms. The application of deep learning to large clinical data sets can provide valuable insights into psychotherapy, informing the development of new treatments and helping standardize clinical practice.
Introduction
Compared with treatment of physical conditions, the quality of care of mental health disorders remains poor, and the rate of improvement in treatment is slow.1 Outcomes for many mental disorders have stagnated or even declined since the original treatments were developed.2,3 A primary reason for the gap in quality of care is the lack of systematic methods for measuring the delivery of psychotherapy.1 As with any evidence-based intervention, to be effective, treatment needs to be delivered as intended (also known as treatment integrity),4,5 which requires accurate measurement of treatment delivered.6 However, while it is relatively simple to monitor the delivery of most medical treatments (eg, the dosage of a prescribed drug), psychotherapeutic treatments are a series of private discussions between the patient and clinician. As such, monitoring the delivery of this type of treatment to the same extent as physical medicine would require infrastructure and resources beyond the scope of most health care systems.
The National Institute for Heath and Care Excellence and the American Psychological Association recommend cognitive behavioral therapy (CBT) as a treatment for most common mental health problems such as depression and anxiety-related disorders. Cognitive behavioral therapy refers to a class of psychotherapeutic interventions informed by the principle that mental disorders are maintained by cognitive and behavioral phenomena and that modifying these maintaining factors helps produce enduring improvements in patients’ presenting symptoms.7,8 Despite its widespread use, the Improving Access to Psychological Therapies (IAPT) program in England includes no objective measure of treatment integrity for CBT, and it has been proposed that only 3.5% of psychotherapy randomized clinical trials use adequate treatment integrity procedures.9
Understanding how CBT works is of particular interest given that the relative effects of different psychotherapeutic interventions appear similar.10 Thus, whether treatments work through specific factors (eg, CBT change methods) or factors common to most psychotherapies (eg, therapeutic alliance) remains a core issue in the field.11,12 Studies commonly use observational coding methods (eg, ratings/transcription of recorded therapeutic conversations) to investigate the association between treatment delivered and outcomes.5 Owing to the resource-intensive nature of this method, studies typically focus on a small number of therapeutic components in a relatively small sample of patients. As with many randomized clinical trials, the results of such interventions are difficult to transfer to real-world psychotherapy13 and require sample sizes larger than typically used.14 To determine the most effective components of CBT and whether CBT works via the mechanisms proposed by the approach,15 quantifiable measures of treatment delivered need to be obtained in a natural clinical context and be gathered from a sufficiently large enough sample to draw meaningful conclusions.
Here, we used a large-scale data set containing session transcripts from more than 14 000 patients receiving internet-enabled CBT (IECBT) (approximately 90 000 hours of therapy). In IECBT, a patient communicates with a qualified CBT therapist using a real-time text-based message system. Internet-enabled CBT has been shown to be clinically effective for the treatment of depression16 and is currently deployed within IAPT. Using a deep learning approach, we developed a model to automatically categorize therapist utterances according to the role that they play in therapy, generating a quantifiable measure of treatment delivered. We then investigated the association between the quantity of each aspect of therapy delivered and clinical outcomes.
Key Points
Question What aspects of psychotherapy content are significantly associated with clinical outcomes?
Findings In this quality improvement study, a deep learning model was trained to automatically categorize therapist utterances from approximately 90 000 hours of internet-enabled cognitive behavior therapy (CBT). Increased quantities of CBT change methods were positively associated with reliable improvement in patient symptoms, and the quantity of nontherapy-related content showed a negative association.
Meaning The findings support the key principles underlying CBT as a treatment and demonstrate that applying deep learning to large clinical data sets can provide valuable insights into the effectiveness of psychotherapy.
Abstract
Importance Compared with the treatment of physical conditions, the quality of care of mental health disorders remains poor and the rate of improvement in treatment is slow, a primary reason being the lack of objective and systematic methods for measuring the delivery of psychotherapy.
Objective To use a deep learning model applied to a large-scale clinical data set of cognitive behavioral therapy (CBT) session transcripts to generate a quantifiable measure of treatment delivered and to determine the association between the quantity of each aspect of therapy delivered and clinical outcomes.
Design, Setting, and Participants All data were obtained from patients receiving internet-enabled CBT for the treatment of a mental health disorder between June 2012 and March 2018 in England. Cognitive behavioral therapy was delivered in a secure online therapy room via instant synchronous messaging. The initial sample comprised a total of 17 572 patients (90 934 therapy session transcripts). Patients self-referred or were referred by a primary health care worker directly to the service.
Exposures All patients received National Institute for Heath and Care Excellence–approved disorder-specific CBT treatment protocols delivered by a qualified CBT therapist.
Main Outcomes and Measures Clinical outcomes were measured in terms of reliable improvement in patient symptoms and treatment engagement. Reliable improvement was calculated based on 2 severity measures: Patient Health Questionnaire (PHQ-9)21 and Generalized Anxiety Disorder 7-item scale (GAD-7),22 corresponding to depressive and anxiety symptoms respectively, completed by the patient at initial assessment and before every therapy session (see eMethods in the Supplement for details).
Results Treatment sessions from a total of 14 899 patients (10 882 women) aged between 18 and 94 years (median age, 34.8 years) were included in the final analysis. We trained a deep learning model to automatically categorize therapist utterances into 1 or more of 24 feature categories. The trained model was applied to our data set to obtain quantifiable measures of each feature of treatment delivered. A logistic regression revealed that increased quantities of a number of session features, including change methods (cognitive and behavioral techniques used in CBT), were associated with greater odds of reliable improvement in patient symptoms (odds ratio, 1.11; 95% CI, 1.06-1.17) and patient engagement (odds ratio, 1.20, 95% CI = 1.12-1.27). The quantity of nontherapy-related content was associated with reduced odds of symptom improvement (odds ratio, 0.89; 95% CI, 0.85-0.92) and patient engagement (odds ratio, 0.88, 95% CI, 0.84-0.92).
Conclusions and Relevance This work demonstrates an association between clinical outcomes in psychotherapy and the content of therapist utterances. These findings support the principle that CBT change methods help produce improvements in patients’ presenting symptoms. The application of deep learning to large clinical data sets can provide valuable insights into psychotherapy, informing the development of new treatments and helping standardize clinical practice.
Introduction
Compared with treatment of physical conditions, the quality of care of mental health disorders remains poor, and the rate of improvement in treatment is slow.1 Outcomes for many mental disorders have stagnated or even declined since the original treatments were developed.2,3 A primary reason for the gap in quality of care is the lack of systematic methods for measuring the delivery of psychotherapy.1 As with any evidence-based intervention, to be effective, treatment needs to be delivered as intended (also known as treatment integrity),4,5 which requires accurate measurement of treatment delivered.6 However, while it is relatively simple to monitor the delivery of most medical treatments (eg, the dosage of a prescribed drug), psychotherapeutic treatments are a series of private discussions between the patient and clinician. As such, monitoring the delivery of this type of treatment to the same extent as physical medicine would require infrastructure and resources beyond the scope of most health care systems.
The National Institute for Heath and Care Excellence and the American Psychological Association recommend cognitive behavioral therapy (CBT) as a treatment for most common mental health problems such as depression and anxiety-related disorders. Cognitive behavioral therapy refers to a class of psychotherapeutic interventions informed by the principle that mental disorders are maintained by cognitive and behavioral phenomena and that modifying these maintaining factors helps produce enduring improvements in patients’ presenting symptoms.7,8 Despite its widespread use, the Improving Access to Psychological Therapies (IAPT) program in England includes no objective measure of treatment integrity for CBT, and it has been proposed that only 3.5% of psychotherapy randomized clinical trials use adequate treatment integrity procedures.9
Understanding how CBT works is of particular interest given that the relative effects of different psychotherapeutic interventions appear similar.10 Thus, whether treatments work through specific factors (eg, CBT change methods) or factors common to most psychotherapies (eg, therapeutic alliance) remains a core issue in the field.11,12 Studies commonly use observational coding methods (eg, ratings/transcription of recorded therapeutic conversations) to investigate the association between treatment delivered and outcomes.5 Owing to the resource-intensive nature of this method, studies typically focus on a small number of therapeutic components in a relatively small sample of patients. As with many randomized clinical trials, the results of such interventions are difficult to transfer to real-world psychotherapy13 and require sample sizes larger than typically used.14 To determine the most effective components of CBT and whether CBT works via the mechanisms proposed by the approach,15 quantifiable measures of treatment delivered need to be obtained in a natural clinical context and be gathered from a sufficiently large enough sample to draw meaningful conclusions.
Here, we used a large-scale data set containing session transcripts from more than 14 000 patients receiving internet-enabled CBT (IECBT) (approximately 90 000 hours of therapy). In IECBT, a patient communicates with a qualified CBT therapist using a real-time text-based message system. Internet-enabled CBT has been shown to be clinically effective for the treatment of depression16 and is currently deployed within IAPT. Using a deep learning approach, we developed a model to automatically categorize therapist utterances according to the role that they play in therapy, generating a quantifiable measure of treatment delivered. We then investigated the association between the quantity of each aspect of therapy delivered and clinical outcomes.
We were surprised by the null correlation between income & math anxiety; we had hypothesized a negative correlation, as status is an important positive predictor of math performance in students
The Nature of Math Anxiety in Adults: Prevalence and Correlates. Sara Ann Hart, Colleen Marie Ganley. Journal of Numerical Cognition, Vol 5, No 2 (2019). https://doi.org/10.5964/jnc.v5i2.195
Abstract: It is important to understand the nature of math anxiety in the general adult population, as the importance of math skills does not end when one leaves school. To this end, we present a well-powered, preregistered study of English-speaking U.S. adults describing the nature of math anxiety in this population. 1000 participants were recruited online. Math anxiety was approximately normally distributed, with the mean between “some” and “moderate”. Math anxiety was significantly negatively correlated with probability knowledge and math fluency, and significantly positively correlated with general anxiety and test anxiety. Women reported higher math anxiety than did men. Participants who had completed graduate school or had a STEM career had significantly lower levels of math anxiety than did those with less education, or non-STEM careers. Thus, we see evidence for math anxiety in U.S. adults and that it correlates with factors also reported in previous studies using younger and student populations.
Keywords: individual differences; math anxiety; affect; adult development; mathematical ability
Evolutionary dynamics underlying the existence of suffering & enjoyment: For organisms with more intense conscious experiences, the balance of enjoyment & suffering may lean more toward suffering
Does suffering dominate enjoyment in the animal kingdom? An update to welfare biology. Zach Groff, Yew-Kwang Ng. Biology & Philosophy, August 2019, 34:40. https://link.springer.com/article/10.1007/s10539-019-9692-0
Abstract: Ng (Biol Philos 10(3):255–285, 1995, https://doi.org/10.1007/bf00852469) models the evolutionary dynamics underlying the existence of suffering and enjoyment and concludes that there is likely to be more suffering than enjoyment in nature. In this paper, we find an error in Ng’s model that, when fixed, negates the original conclusion. Instead, the model offers only ambiguity as to whether suffering or enjoyment predominates in nature. We illustrate the dynamics around suffering and enjoyment with the most plausible parameters. In our illustration, we find surprising results: the rate of failure to reproduce can improve or worsen average welfare depending on other characteristics of a species. Our illustration suggests that for organisms with more intense conscious experiences, the balance of enjoyment and suffering may lean more toward suffering. We offer some suggestions for empirical study of wild animal welfare. We conclude by noting that recent writings on wild animal welfare should be revised based on this correction to have a somewhat less pessimistic view of nature.
Keywords: Animal welfare Animal suffering Welfare biology Effective altruism Evolutionary biology
---
Introduction
In 1995, following the idea that scientists and economists should treat animal welfare as important in its own right, Ng proposed the study of welfare biology, with three basic questions: Which animals are capable of welfare? Is their welfare positive or negative? How can we increase their welfare? In particular, Ng argued that science should examine not only the welfare of animals currently used by humans but also, and perhaps more importantly, the wellbeing of animals living in the wild. Ng’s argument relates to the predation problem in moral philosophy, or the issue of whether animal rights requires humans to save prey from predators. Origi‑ nally proposed as a reduction ad absurdum of animal rights, the predation problem has prompted a number of responses from moral philosophers ranging from prin‑ ciples of non‑intervention to denials of feasibility to acceptance of an obligation to help only in dire cases (Clark 1979). Still others do not find available responses to the predation problem convincing, which motivates Ebert and Machan (2012) to promote a “libertarian‑ish theory of animal rights.” On any view that is not strictly non‑interventionist, an understanding of wild‑animal wellbeing is useful. Further‑ more, such an understanding is interesting in itself and may yield insights relevant to other problems, so Ng (1995) investigates the balance of suffering and enjoyment in nature.
The question of natural suffering extends beyond the predation problem to dis‑ ease, starvation, and daily stress. In recent years, a number of prominent thinkers in and beyond economics have weighed in on the possibility of stewarding nature to promote animal wellbeing. Economist, political theorist, and popular blogger Tyler Cowen argues for “modest steps to limit or check the predatory activity of carni‑ vores relative to their victims,” including not protecting or reintroducing predators in natural areas (2003). Oxford philosopher Jeff McMahan argues—in The New York Times, no less—that people of good will should hope for the gradual extinction of predatory species (2010). Even Matthews of the popular news site Vox asks philoso‑ pher Peter Singer in a 2015 interview whether humans should intervene in nature and what questions those researching wild animal welfare should be asking (Mat‑ thews 2015).
Several organizations now work on and research wild‑animal welfare, including the Wild Animal Welfare Committee, Wild Animal Initiative, and Animal Ethics. The first of these groups aims to apply the ideal of “guardianship” developed by the Farm Animal Welfare Committee to conservation and environmental manage‑ ment programs that, to date, have largely focused on species’ continuation rather than individual animals’ welfare (Wild Animal Welfare Committee 2019). The latter two groups are associated with what is known as the “effective altruism” movement, a group of philanthropists, advocates, and researchers who in their words aim to do good as effectively as possible. Many in the effective altruism movement believe that animals’ interests should matter equally to those of humans and see little differ‑ ence between actively hurting someone and failing to help someone in need, all else equal. For these reasons, it is a natural concern for the effective altruism movement that there may be a large number of wild animals suffering in ways that may be able to be at least partially alleviated. All three organizations are fairly young, suggesting that interest in the topic is growing among nonprofits.
Outside of philanthropy, academic biologists and environmental policymakers also deal regularly with questions explicitly or implicitly tied to wild‑animal welfare on a routine basis. Though environmental policies are more commonly designed to preserve species rather than to protect animals, compassion for animals often does motivate policies, and so policies’ effects on individual animals are well worth considering.
Research into what Ng (1995) terms “welfare biology” is therefore a high‑priority, highly neglected field. To date, virtually all research into human impacts on nature focuses narrowly on the conservation of species and ecosystem dynamics. Most theories in environmental ethics assign instrumental or even intrinsic value to natural processes, but few locate value within individual wild animals. Ng’s paper proposed a new angle to study animals in nature and humans’ effects on them. Ng (1995) discusses a number of critical topics in welfare biology. Ng addresses questions of which animals experience emotional states, which states they experi‑ ence, and how humans can improve wild animal wellbeing. Ng notes that suffering and enjoyment likely serve evolutionary purposes.
In this paper, we make a correction to Ng’s (1995) proposition that total suffer‑ ing in nature outweighs total enjoyment. In fact, as we show, total enjoyment may exceed total suffering or vice versa, depending on a specific evolutionary detail for which we have little information. We propose a revised version of the Buddhist Premise that suffering predominates in nature. Under the revised proposition, there is little reason to conclude one way or another whether suffering or enjoyment is more common. After presenting the revised Buddhist premise, we note an interest‑ ing tradeoff between the number of animals who suffer and the degree of those animals’ suffering. We illustrate these dynamics based on plausible assumptions from psychology. Finally, we offer some guidance for how other researchers in this area can make progress and how recent research should be updated based on this revision of the Buddhist premise.
The revised Buddhist premise
An important question regarding animal welfare is whether, on average, animals enjoy positive net welfare. This is the second of three basic questions Ng (1995) raises; the other two questions are the ‘which’ question (which organisms are capable of welfare) and the ‘how’ question (how to increase their welfare).
This first question is crucial. For example, if the answer is that animals on the whole enjoy negative (net) welfare, many people may find it more imperative for us humans to try to increase their welfare to a non‑negative level. In some extreme cases, some authors regard animal suffering (negative net welfare) as justifying the destruction of animal habitats (Tomasik 2016). Ng hopes for future improvement of animals’ welfare after significant scientific, economic, and ethical advances on the part of humans (Ng 1995, 2016b).
Ng (1995) argues that animals suffer from negative net welfare on the whole. Ng uses both a general argument and an ‘economics of evolution’. The general argu‑ ment is based on the observation that most animal species have large clutch sizes and a presumption (related to the economics of evolution) that individual animals not able to survive until mating probably suffer from negative net welfare.
The economics of evolution led Ng to propose the following:
Proposition (Buddhist Premise) Under the assumptions of concave and symmetrical functions relating costs to enjoyment and suffering, evolutionary economizing results in the excess of total suffering over total enjoyment.
This premise, it turns out, does not hold. Ng’s conditions have to be strengthened to make the proposition valid. The revised Buddhist premise we wish to propose is remarkable and has the same remarkable implications should the updated conditions hold, but whether the new conditions hold is a matter of further research and does not evoke any obvious intuition. Instead, we propose the following, corrected version of the Buddhist Premise: Revised Proposition (Buddhist Premise) Under the assumption of symmetrical functions relating costs to enjoyment and suffering, evolutionary economizing results in the excess of total suffering over total enjoyment if the square of each function is concave.
...
Abstract: Ng (Biol Philos 10(3):255–285, 1995, https://doi.org/10.1007/bf00852469) models the evolutionary dynamics underlying the existence of suffering and enjoyment and concludes that there is likely to be more suffering than enjoyment in nature. In this paper, we find an error in Ng’s model that, when fixed, negates the original conclusion. Instead, the model offers only ambiguity as to whether suffering or enjoyment predominates in nature. We illustrate the dynamics around suffering and enjoyment with the most plausible parameters. In our illustration, we find surprising results: the rate of failure to reproduce can improve or worsen average welfare depending on other characteristics of a species. Our illustration suggests that for organisms with more intense conscious experiences, the balance of enjoyment and suffering may lean more toward suffering. We offer some suggestions for empirical study of wild animal welfare. We conclude by noting that recent writings on wild animal welfare should be revised based on this correction to have a somewhat less pessimistic view of nature.
Keywords: Animal welfare Animal suffering Welfare biology Effective altruism Evolutionary biology
---
Introduction
In 1995, following the idea that scientists and economists should treat animal welfare as important in its own right, Ng proposed the study of welfare biology, with three basic questions: Which animals are capable of welfare? Is their welfare positive or negative? How can we increase their welfare? In particular, Ng argued that science should examine not only the welfare of animals currently used by humans but also, and perhaps more importantly, the wellbeing of animals living in the wild. Ng’s argument relates to the predation problem in moral philosophy, or the issue of whether animal rights requires humans to save prey from predators. Origi‑ nally proposed as a reduction ad absurdum of animal rights, the predation problem has prompted a number of responses from moral philosophers ranging from prin‑ ciples of non‑intervention to denials of feasibility to acceptance of an obligation to help only in dire cases (Clark 1979). Still others do not find available responses to the predation problem convincing, which motivates Ebert and Machan (2012) to promote a “libertarian‑ish theory of animal rights.” On any view that is not strictly non‑interventionist, an understanding of wild‑animal wellbeing is useful. Further‑ more, such an understanding is interesting in itself and may yield insights relevant to other problems, so Ng (1995) investigates the balance of suffering and enjoyment in nature.
The question of natural suffering extends beyond the predation problem to dis‑ ease, starvation, and daily stress. In recent years, a number of prominent thinkers in and beyond economics have weighed in on the possibility of stewarding nature to promote animal wellbeing. Economist, political theorist, and popular blogger Tyler Cowen argues for “modest steps to limit or check the predatory activity of carni‑ vores relative to their victims,” including not protecting or reintroducing predators in natural areas (2003). Oxford philosopher Jeff McMahan argues—in The New York Times, no less—that people of good will should hope for the gradual extinction of predatory species (2010). Even Matthews of the popular news site Vox asks philoso‑ pher Peter Singer in a 2015 interview whether humans should intervene in nature and what questions those researching wild animal welfare should be asking (Mat‑ thews 2015).
Several organizations now work on and research wild‑animal welfare, including the Wild Animal Welfare Committee, Wild Animal Initiative, and Animal Ethics. The first of these groups aims to apply the ideal of “guardianship” developed by the Farm Animal Welfare Committee to conservation and environmental manage‑ ment programs that, to date, have largely focused on species’ continuation rather than individual animals’ welfare (Wild Animal Welfare Committee 2019). The latter two groups are associated with what is known as the “effective altruism” movement, a group of philanthropists, advocates, and researchers who in their words aim to do good as effectively as possible. Many in the effective altruism movement believe that animals’ interests should matter equally to those of humans and see little differ‑ ence between actively hurting someone and failing to help someone in need, all else equal. For these reasons, it is a natural concern for the effective altruism movement that there may be a large number of wild animals suffering in ways that may be able to be at least partially alleviated. All three organizations are fairly young, suggesting that interest in the topic is growing among nonprofits.
Outside of philanthropy, academic biologists and environmental policymakers also deal regularly with questions explicitly or implicitly tied to wild‑animal welfare on a routine basis. Though environmental policies are more commonly designed to preserve species rather than to protect animals, compassion for animals often does motivate policies, and so policies’ effects on individual animals are well worth considering.
Research into what Ng (1995) terms “welfare biology” is therefore a high‑priority, highly neglected field. To date, virtually all research into human impacts on nature focuses narrowly on the conservation of species and ecosystem dynamics. Most theories in environmental ethics assign instrumental or even intrinsic value to natural processes, but few locate value within individual wild animals. Ng’s paper proposed a new angle to study animals in nature and humans’ effects on them. Ng (1995) discusses a number of critical topics in welfare biology. Ng addresses questions of which animals experience emotional states, which states they experi‑ ence, and how humans can improve wild animal wellbeing. Ng notes that suffering and enjoyment likely serve evolutionary purposes.
In this paper, we make a correction to Ng’s (1995) proposition that total suffer‑ ing in nature outweighs total enjoyment. In fact, as we show, total enjoyment may exceed total suffering or vice versa, depending on a specific evolutionary detail for which we have little information. We propose a revised version of the Buddhist Premise that suffering predominates in nature. Under the revised proposition, there is little reason to conclude one way or another whether suffering or enjoyment is more common. After presenting the revised Buddhist premise, we note an interest‑ ing tradeoff between the number of animals who suffer and the degree of those animals’ suffering. We illustrate these dynamics based on plausible assumptions from psychology. Finally, we offer some guidance for how other researchers in this area can make progress and how recent research should be updated based on this revision of the Buddhist premise.
The revised Buddhist premise
An important question regarding animal welfare is whether, on average, animals enjoy positive net welfare. This is the second of three basic questions Ng (1995) raises; the other two questions are the ‘which’ question (which organisms are capable of welfare) and the ‘how’ question (how to increase their welfare).
This first question is crucial. For example, if the answer is that animals on the whole enjoy negative (net) welfare, many people may find it more imperative for us humans to try to increase their welfare to a non‑negative level. In some extreme cases, some authors regard animal suffering (negative net welfare) as justifying the destruction of animal habitats (Tomasik 2016). Ng hopes for future improvement of animals’ welfare after significant scientific, economic, and ethical advances on the part of humans (Ng 1995, 2016b).
Ng (1995) argues that animals suffer from negative net welfare on the whole. Ng uses both a general argument and an ‘economics of evolution’. The general argu‑ ment is based on the observation that most animal species have large clutch sizes and a presumption (related to the economics of evolution) that individual animals not able to survive until mating probably suffer from negative net welfare.
The economics of evolution led Ng to propose the following:
Proposition (Buddhist Premise) Under the assumptions of concave and symmetrical functions relating costs to enjoyment and suffering, evolutionary economizing results in the excess of total suffering over total enjoyment.
This premise, it turns out, does not hold. Ng’s conditions have to be strengthened to make the proposition valid. The revised Buddhist premise we wish to propose is remarkable and has the same remarkable implications should the updated conditions hold, but whether the new conditions hold is a matter of further research and does not evoke any obvious intuition. Instead, we propose the following, corrected version of the Buddhist Premise: Revised Proposition (Buddhist Premise) Under the assumption of symmetrical functions relating costs to enjoyment and suffering, evolutionary economizing results in the excess of total suffering over total enjoyment if the square of each function is concave.
...
Later-born children fare worse; a possible reason is being an unwanted/unplanned child, which is associated with negative life cycle outcomes as it implies a disruption in parental plans for optimal human capital investment
Birth order and unwanted fertility. Wanchuan Lin, Juan Pantano, Shuqiao Sun. Journal of Population Economics, August 22 2019. https://link.springer.com/article/10.1007/s00148-019-00747-4
Abstract: An extensive literature documents the effects of birth order on various individual outcomes, with later-born children faring worse than their siblings. However, the potential mechanisms behind these effects remain poorly understood. This paper leverages US data on pregnancy intention to study the role of unwanted fertility in the observed birth order patterns. We document that children higher in the birth order are much more likely to be unwanted, in the sense that they were conceived at a time when the family was not planning to have additional children. Being an unwanted child is associated with negative life cycle outcomes as it implies a disruption in parental plans for optimal human capital investment. We show that the increasing prevalence of unwantedness across birth order explains a substantial part of the documented birth order effects in education and employment. Consistent with this mechanism, we document no birth order effects in families who have more control over their own fertility.
Keywords: Birth order Unwanted births Fertility intentions
Abstract: An extensive literature documents the effects of birth order on various individual outcomes, with later-born children faring worse than their siblings. However, the potential mechanisms behind these effects remain poorly understood. This paper leverages US data on pregnancy intention to study the role of unwanted fertility in the observed birth order patterns. We document that children higher in the birth order are much more likely to be unwanted, in the sense that they were conceived at a time when the family was not planning to have additional children. Being an unwanted child is associated with negative life cycle outcomes as it implies a disruption in parental plans for optimal human capital investment. We show that the increasing prevalence of unwantedness across birth order explains a substantial part of the documented birth order effects in education and employment. Consistent with this mechanism, we document no birth order effects in families who have more control over their own fertility.
Keywords: Birth order Unwanted births Fertility intentions
Retirement has a positive effect on physical health, reduced likelihood of hospitalizations, especially for low socioeconomic status; effects are driven by reduced pain & reduced health limitations in conducting daily activities
Health effects of retirement: evidence from survey and register data. Maja Weemes Grøtting, Otto Sevaldson Lillebø. Journal of Population Economics, July 26 2019. https://link.springer.com/article/10.1007/s00148-019-00742-9
Abstract: Using a local randomized experiment that arises from the statutory retirement age in Norway, we study the effect of retirement on health across gender and socioeconomic status. We apply data from administrative registers covering the entire population and from survey data of a random sample to investigate the effects of retirement on acute hospital admissions, mortality, and a composite physical health score. Our results show that retirement has a positive effect on physical health, especially for individuals with low socioeconomic status. We find no effects of retirement on acute hospitalizations or mortality in general. However, our results suggest that retirement leads to reduced likelihood of hospitalizations for individuals with low socioeconomic status. Finally, we show that the positive health effects are driven by reduced pain and reduced health limitations in conducting daily activities. Our findings highlight heterogeneity in the health effects across socioeconomic status and across subjective and objective measures of health.
Keywords: Retirement Health Socioeconomic status Gender Regression discontinuity design
Abstract: Using a local randomized experiment that arises from the statutory retirement age in Norway, we study the effect of retirement on health across gender and socioeconomic status. We apply data from administrative registers covering the entire population and from survey data of a random sample to investigate the effects of retirement on acute hospital admissions, mortality, and a composite physical health score. Our results show that retirement has a positive effect on physical health, especially for individuals with low socioeconomic status. We find no effects of retirement on acute hospitalizations or mortality in general. However, our results suggest that retirement leads to reduced likelihood of hospitalizations for individuals with low socioeconomic status. Finally, we show that the positive health effects are driven by reduced pain and reduced health limitations in conducting daily activities. Our findings highlight heterogeneity in the health effects across socioeconomic status and across subjective and objective measures of health.
Keywords: Retirement Health Socioeconomic status Gender Regression discontinuity design
Beauty and employment in China: Having better educational credentials reduces appearance discrimination among men but not among women; the beauty premium is larger for vacancies with higher remuneration
Beauty and job accessibility: new evidence from a field experiment. Weiguang Deng, Dayang Li, Dong Zhou. Journal of Population Economics, August 7 2019.https://link.springer.com/article/10.1007/s00148-019-00744-7
Abstract: This study uses a field experiment to resolve the difficulties of quantifying personal appearance and identify a direct causal relationship between appearance and employment in China. The experiment reveals that taste-based pure appearance discrimination exists at the pre-interview stage. There are significant gender-specific heterogeneous effects of education on appearance discrimination: having better educational credentials reduces appearance discrimination among men but not among women. Moreover, attributes of the labor market, companies, and vacancies matter. Beauty premiums are larger in big cities with higher concentrations of women and in male-focused research positions. Similarly, the beauty premium is larger for vacancies with higher remuneration.
Keywords: Appearance discrimination Beauty premium Pre-interview stage Field experiment
Check also Natural Tendency towards Beauty in Humans: Evidence from Binocular Rivalry. Ce Mo et al. PLOS March 1, 2016. https://doi.org/10.1371/journal.pone.0150147
Abstract: This study uses a field experiment to resolve the difficulties of quantifying personal appearance and identify a direct causal relationship between appearance and employment in China. The experiment reveals that taste-based pure appearance discrimination exists at the pre-interview stage. There are significant gender-specific heterogeneous effects of education on appearance discrimination: having better educational credentials reduces appearance discrimination among men but not among women. Moreover, attributes of the labor market, companies, and vacancies matter. Beauty premiums are larger in big cities with higher concentrations of women and in male-focused research positions. Similarly, the beauty premium is larger for vacancies with higher remuneration.
Keywords: Appearance discrimination Beauty premium Pre-interview stage Field experiment
Check also Natural Tendency towards Beauty in Humans: Evidence from Binocular Rivalry. Ce Mo et al. PLOS March 1, 2016. https://doi.org/10.1371/journal.pone.0150147
Abstract: Although human preference for beauty is common and compelling in daily life, it remains unknown whether such preference is essentially subserved by social cognitive demands or natural tendency towards beauty encoded in the human mind intrinsically. Here we demonstrate experimentally that humans automatically exhibit preference for visual and moral beauty without explicit cognitive efforts. Using a binocular rivalry paradigm, we identified enhanced gender-independent perceptual dominance for physically attractive persons, and the results suggested universal preference for visual beauty based on perceivable forms. Moreover, we also identified perceptual dominance enhancement for characters associated with virtuous descriptions after controlling for facial attractiveness and vigilance-related attention effects, which suggested a similar implicit preference for moral beauty conveyed in prosocial behaviours. Our findings show that behavioural preference for beauty is driven by an inherent natural tendency towards beauty in humans rather than explicit social cognitive processes.
Aggressiveness decreases whereas creativity, life satisfaction, and individualism increase as one moves closer to either the North or South Pole
Latitudinal Psychology: An Ecological Perspective on Creativity, Aggression, Happiness, and Beyond. Evert Van de Vliert, Paul A. M. Van Lange. Perspectives on Psychological Science, August 21, 2019. https://doi.org/10.1177/1745691619858067
Abstract: Are there systematic trends around the world in levels of creativity, aggressiveness, life satisfaction, individualism, trust, and suicidality? This article suggests a new field, latitudinal psychology, that delineates differences in such culturally shared features along northern and southern rather than eastern and western locations. In addition to geographical, ecological, and other explanations, we offer three metric foundations of latitudinal variations: replicability (latitudinal gradient repeatability across hemispheres), reversibility (north-south gradient reversal near the equator), and gradient strength (degree of replicability and reversibility). We show that aggressiveness decreases whereas creativity, life satisfaction, and individualism increase as one moves closer to either the North or South Pole. We also discuss the replicability, reversibility, and gradient strength of (a) temperatures and rainfall as remote predictors and (b) pathogen prevalence, national wealth, population density, and income inequality as more proximate predictors of latitudinal gradients in human functioning. Preliminary analyses suggest that cultural and psychological diversity often need to be partially understood in terms of latitudinal variations in integrated exposure to climate-induced demands and wealth-based resources. We conclude with broader implications, emphasizing the importance of north-south replications in samples that are not from Western, educated, industrialized, rich, and democratic (WEIRD) societies.
Keywords: latitudinal psychology, northern location, southern location, CLASH, climatoeconomic theory, pathogen prevalence, WEIRD psychology
Abstract: Are there systematic trends around the world in levels of creativity, aggressiveness, life satisfaction, individualism, trust, and suicidality? This article suggests a new field, latitudinal psychology, that delineates differences in such culturally shared features along northern and southern rather than eastern and western locations. In addition to geographical, ecological, and other explanations, we offer three metric foundations of latitudinal variations: replicability (latitudinal gradient repeatability across hemispheres), reversibility (north-south gradient reversal near the equator), and gradient strength (degree of replicability and reversibility). We show that aggressiveness decreases whereas creativity, life satisfaction, and individualism increase as one moves closer to either the North or South Pole. We also discuss the replicability, reversibility, and gradient strength of (a) temperatures and rainfall as remote predictors and (b) pathogen prevalence, national wealth, population density, and income inequality as more proximate predictors of latitudinal gradients in human functioning. Preliminary analyses suggest that cultural and psychological diversity often need to be partially understood in terms of latitudinal variations in integrated exposure to climate-induced demands and wealth-based resources. We conclude with broader implications, emphasizing the importance of north-south replications in samples that are not from Western, educated, industrialized, rich, and democratic (WEIRD) societies.
Keywords: latitudinal psychology, northern location, southern location, CLASH, climatoeconomic theory, pathogen prevalence, WEIRD psychology
Wednesday, August 21, 2019
Testosterone & cortisol may not be the villains that popular media portrays them to be, & instead are associated with better response inhibition & less risky decision-making, respectively
Three-month cumulative exposure to testosterone and cortisol predicts distinct effects on response inhibition and risky decision-making in adolescents. Grant S.Shields, Susannah L. Ivory, Eva H. Telzer. Psychoneuroendocrinology, August 20 2019, 104412. https://doi.org/10.1016/j.psyneuen.2019.104412
Highlights
• We examined relations between hair hormones, response inhibition, and risky decision-making
• Hair testosterone selectively predicted better response inhibition
• Hair cortisol selectively predicted less risky decision-making
• These associations held when controlling for the other hormone
Abstract: Prior studies have established that cortisol and testosterone play a role in impulsive behavior, but little is known about how cumulative exposure to these hormones over a recent period influences cognitive processes that help to regulate impulsive behavior. We addressed this gap in the present study by examining how hair concentrations of testosterone and cortisol related to response inhibition and risky decision-making in adolescents. Adolescents provided 3 cm of hair cut as close as possible to the scalp from a posterior vertex position—indexing three months of hair growth—and completed two behavioral tasks, one that measures response inhibition and the second that measures risky decision-making. We found that greater three-month cumulative exposure to testosterone predicted better response inhibition but was unassociated with risky decision-making, whereas greater three-month cumulative exposure to cortisol predicted less risky decision-making but was unassociated with response inhibition. These results suggest that testosterone and cortisol may be associated with unique cognitive processes underpinning impulsive behavior, providing further evidence for their roles in contributing to complex impulsive behaviors in adolescence.
Check also Paternal biobehavioral influence on the family: Preliminary data from the D.A.D.I.O. Project. Nikki J Clauss, Erin Harrington, Jennifer Byrd-Craven. Human Behavior and Evolution Society 31st annual meeting. Boston 2019. http://tiny.cc/aa1w6y
Highlights
• We examined relations between hair hormones, response inhibition, and risky decision-making
• Hair testosterone selectively predicted better response inhibition
• Hair cortisol selectively predicted less risky decision-making
• These associations held when controlling for the other hormone
Abstract: Prior studies have established that cortisol and testosterone play a role in impulsive behavior, but little is known about how cumulative exposure to these hormones over a recent period influences cognitive processes that help to regulate impulsive behavior. We addressed this gap in the present study by examining how hair concentrations of testosterone and cortisol related to response inhibition and risky decision-making in adolescents. Adolescents provided 3 cm of hair cut as close as possible to the scalp from a posterior vertex position—indexing three months of hair growth—and completed two behavioral tasks, one that measures response inhibition and the second that measures risky decision-making. We found that greater three-month cumulative exposure to testosterone predicted better response inhibition but was unassociated with risky decision-making, whereas greater three-month cumulative exposure to cortisol predicted less risky decision-making but was unassociated with response inhibition. These results suggest that testosterone and cortisol may be associated with unique cognitive processes underpinning impulsive behavior, providing further evidence for their roles in contributing to complex impulsive behaviors in adolescence.
Check also Paternal biobehavioral influence on the family: Preliminary data from the D.A.D.I.O. Project. Nikki J Clauss, Erin Harrington, Jennifer Byrd-Craven. Human Behavior and Evolution Society 31st annual meeting. Boston 2019. http://tiny.cc/aa1w6y
Voters in a real-world political campaign are most susceptible to forming false memories for fake news that aligns with their beliefs, in particular if they have low cognitive ability
False Memories for Fake News During Ireland’s Abortion Referendum. Gillian Murphy et al. Psychological Science, August 21, 2019. https://doi.org/10.1177/0956797619864887
Abstract: The current study examined false memories in the week preceding the 2018 Irish abortion referendum. Participants (N = 3,140) viewed six news stories concerning campaign events—two fabricated and four authentic. Almost half of the sample reported a false memory for at least one fabricated event, with more than one third of participants reporting a specific memory of the event. “Yes” voters (those in favor of legalizing abortion) were more likely than “no” voters to “remember” a fabricated scandal regarding the campaign to vote “no,” and “no” voters were more likely than “yes” voters to “remember” a fabricated scandal regarding the campaign to vote “yes.” This difference was particularly strong for voters of low cognitive ability. A subsequent warning about possible misinformation slightly reduced rates of false memories but did not eliminate these effects. This study suggests that voters in a real-world political campaign are most susceptible to forming false memories for fake news that aligns with their beliefs, in particular if they have low cognitive ability.
Keywords: false memory, politics, fake news, misinformation, bias, open data, open materials
Abstract: The current study examined false memories in the week preceding the 2018 Irish abortion referendum. Participants (N = 3,140) viewed six news stories concerning campaign events—two fabricated and four authentic. Almost half of the sample reported a false memory for at least one fabricated event, with more than one third of participants reporting a specific memory of the event. “Yes” voters (those in favor of legalizing abortion) were more likely than “no” voters to “remember” a fabricated scandal regarding the campaign to vote “no,” and “no” voters were more likely than “yes” voters to “remember” a fabricated scandal regarding the campaign to vote “yes.” This difference was particularly strong for voters of low cognitive ability. A subsequent warning about possible misinformation slightly reduced rates of false memories but did not eliminate these effects. This study suggests that voters in a real-world political campaign are most susceptible to forming false memories for fake news that aligns with their beliefs, in particular if they have low cognitive ability.
Keywords: false memory, politics, fake news, misinformation, bias, open data, open materials
Overweight participants craved a greater variety of high-caloric high palatable foods than normal‐weight participants at both eating events and random non‐eating moments
Food craving in daily life: comparison of overweight and normal‐weight participants with ecological momentary assessment. A. Roefs B. Boh G. Spanakis C. Nederkoorn L. H. J. M. Lemmens A. Jansen. Journal of Human Nutrition and Dietetics, August 20 2019. https://doi.org/10.1111/jhn.12693
Abstract
Background: The present study examined food cravings in daily life by comparing overweight and normal‐weight participants right before eating events and at non‐eating moments. It was hypothesised that overweight participants would have (i) more frequent, (ii) stronger and (iii) a greater variety of high‐caloric palatable food cravings, and also would (iv) consume more high‐caloric palatable foods, than normal‐weight participants.
Methods: Ecological momentary assessment (EMA) was used to assess food craving strength and frequency, variety of specific food cravings, and food intake. Fifty‐seven overweight and 43 normal‐weight adult participants were assessed at eating events and at an average of eight random non‐eating moments per day for 2 weeks. Foods were categorised as: high‐caloric high palatable foods (HCHP), fruits and salads, staple food dishes and sandwiches, and soups and yoghurts.
Conclusions: The results highlight the importance for obesity interventions (i) to specifically target high‐caloric palatable food cravings that are experienced during the day and are not tied to eating moments and (ii) to aim for a reduction in the variety of high‐caloric palatable food cravings. It might be fruitful to deliver treatment aimed at reducing cravings via mobile devices because this allows for easy individual tailoring and timing of interventions.
Introduction
People eat not only to satisfy homeostatic hunger, but also to satisfy cravings and hedonic hunger 1, 2. Food cravings are common 3, and people often crave foods that are high in calories and low in nutritional value 4, 5. High‐caloric food intake has been associated with weight gain and obesity 6. Furthermore, sensitivity to the rewarding properties 7 and the reinforcing value 8 of palatable foods is stronger for people with a higher body mass index (BMI) than for those with a lower BMI. The present study aimed to investigate food cravings and intake of overweight (BMI ≥ 25 kg/m2) and normal‐weight (18.5 kg/m2 ≤ BMI < 25 kg/m2) people in daily life by means of ecological momentary assessment (EMA).
Previous research on food craving, mainly relying on retrospective self‐report (questionnaire) assessment, has found that overweight people have more frequent specific food cravings, mainly for high‐caloric foods, compared to normal‐weight people 4, 9-11. In addition, a meta‐analysis has shown that craving and food‐cue reactivity are significant predictors of eating behaviour and body weight 12, as well as of a reduction of perceived self‐regulatory success in dieting 13. Accordingly, an increased food craving appears to be an important aspect of obesity. However, retrospective self‐report assessment is subject to memory recall biases: more recent and more emotionally salient memories are disproportionately often recalled 14, 15. Investigating food cravings as they occur in daily life using EMA could lead to more ecologically valid insights.
During EMA, participants receive prompts on a mobile device (e.g. smartphone) several times a day to answer questions, for example regarding mood, social circumstances and food cravings, and/or are instructed to answer questions on their phone in predefined situations (e.g. when about to eat something). EMA has the advantage that data are obtained in the moment and in daily life (ecological validity) and are not affected by retrospective memory or response bias 14. Another advantage is that participants provide multiple assessments of the included variables, allowing researchers to analyse how the variables develop over time within a participant. Thus, ‘EMA aims to minimize recall bias, maximize ecological validity and allow study of microprocesses that influence behavior in real‐world contexts’ 15. EMA conducted via an electronic device may be especially suitable to assess food cravings because of the relatively short duration of such cravings 16.
EMA studies on food craving have increasingly been published in recent years. It was found that food cravings for sweet and salty snacks increased over the day, with a reduced coherence with hunger 17. In addition, a study focusing on snacks found that most reported snacks were high‐caloric (86%) and that craving intensity was positively associated with snack consumption 18. Studies focusing on dieters found that 17% 5 to 50% 19 of daily life food cravings resulted in dietary lapses. Interestingly, the strength and the frequency of food cravings were not related to dietary restraint 5, although dieters were more likely to give in to food temptations if the craving to eat was stronger 19. With regard to body weight, it was unexpectedly found that a group of people with obesity reported fewer unresisted food cravings compared to a lean group. However, within the obese group, the fraction of unresisted food craving was positively associated with BMI 20. Because that study employed only event‐related sampling (i.e. self‐initiated measurement at eating occasions), this may be a result of BMI‐related under‐reporting.
Another aspect of food craving relates to the variety of craved foods. Although previous research has linked food intake variety to obesity 21-23, not much is known about food craving variety. Sensory‐specific satiety has been suggested to explain the link between intake variety and obesity 24, 25: satiety occurs separately for each of the sensory characteristics of different kinds of foods. Accordingly, when a large variety of foods is consumed, it will take longer for satiety to set in, which may lead to increased intake 26. In general, food cravings and the subsequent intake of these craved foods are highly positively associated 4, 11, 27, 28, with one possibility being that food craving variety is also related to obesity.
Taken together, the present study investigates how food craving frequency, strength and variety, as well as food intake, are related to weight status. The study addresses the following hypotheses: overweight participants (i) report more frequent and (ii) stronger food cravings for high‐caloric palatable foods, (iii) they crave a greater variety of high‐caloric palatable foods and (iv) they consume more high‐caloric palatable foods compared to normal‐weight participants. In addition, the association between specific food cravings and food intake is investigated. Food craving frequency, strength and variety are investigated and compared separately for eating events (i.e. that were about to occur) and non‐eating moments. There are no specific a priori hypotheses about differences between eating events and non‐eating moments in terms of food craving frequency, strength or variety.
Abstract
Background: The present study examined food cravings in daily life by comparing overweight and normal‐weight participants right before eating events and at non‐eating moments. It was hypothesised that overweight participants would have (i) more frequent, (ii) stronger and (iii) a greater variety of high‐caloric palatable food cravings, and also would (iv) consume more high‐caloric palatable foods, than normal‐weight participants.
Methods: Ecological momentary assessment (EMA) was used to assess food craving strength and frequency, variety of specific food cravings, and food intake. Fifty‐seven overweight and 43 normal‐weight adult participants were assessed at eating events and at an average of eight random non‐eating moments per day for 2 weeks. Foods were categorised as: high‐caloric high palatable foods (HCHP), fruits and salads, staple food dishes and sandwiches, and soups and yoghurts.
Results: Overweight participants reported more frequent HCHP food cravings specifically at non‐eating moments than did normal‐weight participants. Normal‐weight participants reported more food cravings for staple foods, specifically at eating events. Moreover, overweight participants craved a greater variety of HCHP foods than normal‐weight participants at both eating events and random non‐eating moments. No other significant between‐group differences were found.
Conclusions: The results highlight the importance for obesity interventions (i) to specifically target high‐caloric palatable food cravings that are experienced during the day and are not tied to eating moments and (ii) to aim for a reduction in the variety of high‐caloric palatable food cravings. It might be fruitful to deliver treatment aimed at reducing cravings via mobile devices because this allows for easy individual tailoring and timing of interventions.
Introduction
People eat not only to satisfy homeostatic hunger, but also to satisfy cravings and hedonic hunger 1, 2. Food cravings are common 3, and people often crave foods that are high in calories and low in nutritional value 4, 5. High‐caloric food intake has been associated with weight gain and obesity 6. Furthermore, sensitivity to the rewarding properties 7 and the reinforcing value 8 of palatable foods is stronger for people with a higher body mass index (BMI) than for those with a lower BMI. The present study aimed to investigate food cravings and intake of overweight (BMI ≥ 25 kg/m2) and normal‐weight (18.5 kg/m2 ≤ BMI < 25 kg/m2) people in daily life by means of ecological momentary assessment (EMA).
Previous research on food craving, mainly relying on retrospective self‐report (questionnaire) assessment, has found that overweight people have more frequent specific food cravings, mainly for high‐caloric foods, compared to normal‐weight people 4, 9-11. In addition, a meta‐analysis has shown that craving and food‐cue reactivity are significant predictors of eating behaviour and body weight 12, as well as of a reduction of perceived self‐regulatory success in dieting 13. Accordingly, an increased food craving appears to be an important aspect of obesity. However, retrospective self‐report assessment is subject to memory recall biases: more recent and more emotionally salient memories are disproportionately often recalled 14, 15. Investigating food cravings as they occur in daily life using EMA could lead to more ecologically valid insights.
During EMA, participants receive prompts on a mobile device (e.g. smartphone) several times a day to answer questions, for example regarding mood, social circumstances and food cravings, and/or are instructed to answer questions on their phone in predefined situations (e.g. when about to eat something). EMA has the advantage that data are obtained in the moment and in daily life (ecological validity) and are not affected by retrospective memory or response bias 14. Another advantage is that participants provide multiple assessments of the included variables, allowing researchers to analyse how the variables develop over time within a participant. Thus, ‘EMA aims to minimize recall bias, maximize ecological validity and allow study of microprocesses that influence behavior in real‐world contexts’ 15. EMA conducted via an electronic device may be especially suitable to assess food cravings because of the relatively short duration of such cravings 16.
EMA studies on food craving have increasingly been published in recent years. It was found that food cravings for sweet and salty snacks increased over the day, with a reduced coherence with hunger 17. In addition, a study focusing on snacks found that most reported snacks were high‐caloric (86%) and that craving intensity was positively associated with snack consumption 18. Studies focusing on dieters found that 17% 5 to 50% 19 of daily life food cravings resulted in dietary lapses. Interestingly, the strength and the frequency of food cravings were not related to dietary restraint 5, although dieters were more likely to give in to food temptations if the craving to eat was stronger 19. With regard to body weight, it was unexpectedly found that a group of people with obesity reported fewer unresisted food cravings compared to a lean group. However, within the obese group, the fraction of unresisted food craving was positively associated with BMI 20. Because that study employed only event‐related sampling (i.e. self‐initiated measurement at eating occasions), this may be a result of BMI‐related under‐reporting.
Another aspect of food craving relates to the variety of craved foods. Although previous research has linked food intake variety to obesity 21-23, not much is known about food craving variety. Sensory‐specific satiety has been suggested to explain the link between intake variety and obesity 24, 25: satiety occurs separately for each of the sensory characteristics of different kinds of foods. Accordingly, when a large variety of foods is consumed, it will take longer for satiety to set in, which may lead to increased intake 26. In general, food cravings and the subsequent intake of these craved foods are highly positively associated 4, 11, 27, 28, with one possibility being that food craving variety is also related to obesity.
Taken together, the present study investigates how food craving frequency, strength and variety, as well as food intake, are related to weight status. The study addresses the following hypotheses: overweight participants (i) report more frequent and (ii) stronger food cravings for high‐caloric palatable foods, (iii) they crave a greater variety of high‐caloric palatable foods and (iv) they consume more high‐caloric palatable foods compared to normal‐weight participants. In addition, the association between specific food cravings and food intake is investigated. Food craving frequency, strength and variety are investigated and compared separately for eating events (i.e. that were about to occur) and non‐eating moments. There are no specific a priori hypotheses about differences between eating events and non‐eating moments in terms of food craving frequency, strength or variety.
A test of the micro‐expressions training tool: The METT group did not outperform those in the bogus training and no training groups; further, overall accuracy was slightly below chance
A test of the micro‐expressions training tool: Does it improve lie detection? Sarah Jordan Laure Brimbal D. Brian Wallace Saul M. Kassin Maria Hartwig Chris N.H. Street. Journal of Investigative Psychology and Offender Profiling, August 20 2019. https://doi.org/10.1002/jip.1532
Abstract: The purpose of the study was to examine the effectiveness of the micro‐expressions training tool (METT) in identifying and using micro‐expressions to improve lie detection. Participants (n = 90) were randomly assigned to receive training in micro‐expressions recognition, a bogus control training, or no training. All participants made veracity judgements of five randomly selected videos of targets providing deceptive or truthful statements. With the use of the Bayesian analyses, we found that the METT group did not outperform those in the bogus training and no training groups. Further, overall accuracy was slightly below chance. Implications of these results are discussed.
Abstract: The purpose of the study was to examine the effectiveness of the micro‐expressions training tool (METT) in identifying and using micro‐expressions to improve lie detection. Participants (n = 90) were randomly assigned to receive training in micro‐expressions recognition, a bogus control training, or no training. All participants made veracity judgements of five randomly selected videos of targets providing deceptive or truthful statements. With the use of the Bayesian analyses, we found that the METT group did not outperform those in the bogus training and no training groups. Further, overall accuracy was slightly below chance. Implications of these results are discussed.
Preference for high heels correlated with female self-perceived attractiveness; were most preferred in interaction with an attractive male, & least preferred in interaction with an unattractive male
Wearing high heels as female mating strategy. Pavol Prokop, Jana Švancárová. Personality and Individual Differences, Volume 152, 1 January 2020, 109558. https://doi.org/10.1016/j.paid.2019.109558
Highlights
• Preference for high heels correlated with female self-perceived attractiveness.
• Shorter body height correlated with preferences for high heels.
• High heels were most preferred in interaction with an attractive male.
• High heels were least preferred in interaction with an unattractive male.
• High heels are female sexual signals.
Abstract: Females use various behavioural tactics in order to attract the attention of a desirable mate. Wearing high heels enhances female physical attractiveness for the opposite sex, thus their use seems to be a powerful sexual signal. We investigated female preferences for high heels both in everyday life as well as in a hypothetical mating scenario. Slovak females reported a low frequency of wearing high heels (45% once per month, 38% never) in everyday life. Females with a lower body height and high self-perceived attractiveness reported more frequent use of high heels than others. Sociosexuality and involvement in a romantic relationship did not predict the wearing of high heels. When females imagined an interaction with an attractive male, preferences for high heels steeply increased compared with a scenario with an unattractive male. Females with a low body height use high heels in all probability to visually elongate their leg length in order to increase their physical attractiveness. High heels seem to be a form of sexual signalling by females in intersexual interactions.
Highlights
• Preference for high heels correlated with female self-perceived attractiveness.
• Shorter body height correlated with preferences for high heels.
• High heels were most preferred in interaction with an attractive male.
• High heels were least preferred in interaction with an unattractive male.
• High heels are female sexual signals.
Abstract: Females use various behavioural tactics in order to attract the attention of a desirable mate. Wearing high heels enhances female physical attractiveness for the opposite sex, thus their use seems to be a powerful sexual signal. We investigated female preferences for high heels both in everyday life as well as in a hypothetical mating scenario. Slovak females reported a low frequency of wearing high heels (45% once per month, 38% never) in everyday life. Females with a lower body height and high self-perceived attractiveness reported more frequent use of high heels than others. Sociosexuality and involvement in a romantic relationship did not predict the wearing of high heels. When females imagined an interaction with an attractive male, preferences for high heels steeply increased compared with a scenario with an unattractive male. Females with a low body height use high heels in all probability to visually elongate their leg length in order to increase their physical attractiveness. High heels seem to be a form of sexual signalling by females in intersexual interactions.
German first names: Most of the top-rated names on intelligence, competence, and religiousness were male, whereas all top-rated names on attractiveness and warmth were female
Perceived Biological and Social Characteristics of a Representative Set of German First Names. Tillmann Nett et al. Social Psychology, August 20, 2019. https://doi.org/10.1027/1864-9335/a000383
Abstract. We provide ratings for a representative set of 2,000 German first names with regard to perceived sex, foreign origin (yes/no), and familiarity. In two studies participants (N = 736 and N = 237) estimated intelligence, education, attractiveness, religiousness, age, warmth, and competence of persons with the respective name. Descriptive results show strong stereotypes in society in that most of the top-rated names on intelligence, competence, and religiousness were male, whereas all top-rated names on attractiveness and warmth were female. The reliability of most ratings is satisfactory. We provide correlations between the rated dimensions to give an overview of the internal structure of the dataset. To enhance usage of the dataset, we provide an R-package, which allows querying subsets of names depending on experimental requirements.
Keywords: first names, word norms, social perception, stereotypes, German language
Abstract. We provide ratings for a representative set of 2,000 German first names with regard to perceived sex, foreign origin (yes/no), and familiarity. In two studies participants (N = 736 and N = 237) estimated intelligence, education, attractiveness, religiousness, age, warmth, and competence of persons with the respective name. Descriptive results show strong stereotypes in society in that most of the top-rated names on intelligence, competence, and religiousness were male, whereas all top-rated names on attractiveness and warmth were female. The reliability of most ratings is satisfactory. We provide correlations between the rated dimensions to give an overview of the internal structure of the dataset. To enhance usage of the dataset, we provide an R-package, which allows querying subsets of names depending on experimental requirements.
Keywords: first names, word norms, social perception, stereotypes, German language
Gender differences in spatial navigation: Characterizing wayfinding behaviors
Gender differences in spatial navigation: Characterizing wayfinding behaviors. Ascher K. Munion et al. Psychonomic Bulletin & Review, August 20 2019. https://link.springer.com/article/10.3758/s13423-019-01659-w
Abstract: Men show a consistent spatial navigation advantage over women, which is often attributed to their increased use of survey spatial strategies. But what about men’s navigation gives them an advantage? One possibility is that the way in which men explore environments is fundamentally different, leading to better navigational performance. To test this possibility, this study investigated whether there are gender differences in wayfinding behaviors during navigation that relate to navigational success in a real-world, large-scale, unconstrained navigation task. West Point cadets were given a masked GPS tracker and sent into a large-scale, natural environment to locate targets indicated on maps. We assessed how they explored the environment by computing three measures from the GPS tracks and related these measures to their ability to find the assigned target locations. We also tested whether their self-reported spatial ability related to navigational success. Results showed that males performed better than females, which replicates prior work. Further, traveling longer distances without changing course, pausing less, and fewer returns to previously visited locations were significantly related to the ability to locate the correct target. Consistent with full mediation, the significant relationship between gender and navigational success is fully accounted for by men and women producing different wayfinding behaviors, which in turn predict differences in navigational success. Further, there was no unique relationship between self-reported spatial skills and navigational success. This study is a first step toward showing the relationship between gender, wayfinding behaviors, and navigational success in a natural, real-world navigation task.
Keywords: Navigation Gender differences Wayfinding Spatial cognition
Abstract: Men show a consistent spatial navigation advantage over women, which is often attributed to their increased use of survey spatial strategies. But what about men’s navigation gives them an advantage? One possibility is that the way in which men explore environments is fundamentally different, leading to better navigational performance. To test this possibility, this study investigated whether there are gender differences in wayfinding behaviors during navigation that relate to navigational success in a real-world, large-scale, unconstrained navigation task. West Point cadets were given a masked GPS tracker and sent into a large-scale, natural environment to locate targets indicated on maps. We assessed how they explored the environment by computing three measures from the GPS tracks and related these measures to their ability to find the assigned target locations. We also tested whether their self-reported spatial ability related to navigational success. Results showed that males performed better than females, which replicates prior work. Further, traveling longer distances without changing course, pausing less, and fewer returns to previously visited locations were significantly related to the ability to locate the correct target. Consistent with full mediation, the significant relationship between gender and navigational success is fully accounted for by men and women producing different wayfinding behaviors, which in turn predict differences in navigational success. Further, there was no unique relationship between self-reported spatial skills and navigational success. This study is a first step toward showing the relationship between gender, wayfinding behaviors, and navigational success in a natural, real-world navigation task.
Keywords: Navigation Gender differences Wayfinding Spatial cognition
Mock rape trials: Participants perceived the Christian victim as more moral than the atheist victim, which predicted a higher conviction rate
Brown-Iannuzzi, J. L., Golding, J. M., Gervais, W. M., Lynch, K. R., Wasarhaley, N. E., & Bainter, S. (2019). Will jurors believe nonbelievers? Perceptions of atheist rape victims in the courtroom. Psychology of Religion and Spirituality, http://dx.doi.org/10.1037/rel0000278
Abstract: We investigated the impact of a victim’s belief in God on mock jurors’ perceptions of the victim and verdict decisions in a mock rape trial. Four hundred eighteen community members (246 women, 172 men) read a rape trial summary involving an acquaintance rape in which the victim indirectly indicated that she was an atheist, Christian, or there was no mention of religious affiliation. In addition to rendering a verdict, participants rated the victim on her level of morality and rated other aspects of the trial (e.g., victim credibility). We found that the perceived morality of the victim mediated the relationship between the victim’s religious belief and the participants’ verdict, such that participants perceived the Christian victim as more moral than the atheist victim, which predicted a higher conviction rate. In addition, we found evidence for a sequential mediation pattern such that the effect of the victim’s religious belief on participants’ verdict was sequentially mediated by morality, sympathy, credibility, responsibility, and the strength of the prosecution’s case. The results support prior research suggesting atheists are viewed as amoral and have implications for better understanding the role of victim characteristics on attributions in a rape trial.
Abstract: We investigated the impact of a victim’s belief in God on mock jurors’ perceptions of the victim and verdict decisions in a mock rape trial. Four hundred eighteen community members (246 women, 172 men) read a rape trial summary involving an acquaintance rape in which the victim indirectly indicated that she was an atheist, Christian, or there was no mention of religious affiliation. In addition to rendering a verdict, participants rated the victim on her level of morality and rated other aspects of the trial (e.g., victim credibility). We found that the perceived morality of the victim mediated the relationship between the victim’s religious belief and the participants’ verdict, such that participants perceived the Christian victim as more moral than the atheist victim, which predicted a higher conviction rate. In addition, we found evidence for a sequential mediation pattern such that the effect of the victim’s religious belief on participants’ verdict was sequentially mediated by morality, sympathy, credibility, responsibility, and the strength of the prosecution’s case. The results support prior research suggesting atheists are viewed as amoral and have implications for better understanding the role of victim characteristics on attributions in a rape trial.
People increasingly self-segregate into politically homogenous communities; how is unclear; proposal is that people use ambient cues correlated with political values to infer whether they would like to live in those communities
Motyl, Matt, JP Prims, and Ravi Iyer. 2019. “How Ambient Cues Facilitate Political Segregation.” PsyArXiv. August 20. doi:10.31234/osf.io/47zwv
Abstract: People increasingly self-segregating into politically homogenous communities. How they do this remains unclear. We propose that people use ambient cues correlated with political values to infer whether they would like to live in those communities. We test this hypothesis in 5 studies. In Studies 1 (N = 3543) and 2 (N = 5609), participants rated community cues; liberals and conservatives’ preferences differed. In Studies 3a (N = 1643) and 3b (N = 1840), participants read about communities with liberal or conservative cues. Even without explicit information about the communities’ politics, participants preferred communities with politically-congenial cues. In Study 4 (N = 282), participants preferred politically-congenial communities, and wanted to leave politically-uncongenial communities. In Study 5 (N = 370), people selectively navigated their communities in a politically-congenial way. These studies suggest that peoples’ perceptions of communities can be shaped by subtle, not necessarily political, cues that may facilitate growing political segregation.
Abstract: People increasingly self-segregating into politically homogenous communities. How they do this remains unclear. We propose that people use ambient cues correlated with political values to infer whether they would like to live in those communities. We test this hypothesis in 5 studies. In Studies 1 (N = 3543) and 2 (N = 5609), participants rated community cues; liberals and conservatives’ preferences differed. In Studies 3a (N = 1643) and 3b (N = 1840), participants read about communities with liberal or conservative cues. Even without explicit information about the communities’ politics, participants preferred communities with politically-congenial cues. In Study 4 (N = 282), participants preferred politically-congenial communities, and wanted to leave politically-uncongenial communities. In Study 5 (N = 370), people selectively navigated their communities in a politically-congenial way. These studies suggest that peoples’ perceptions of communities can be shaped by subtle, not necessarily political, cues that may facilitate growing political segregation.
Tuesday, August 20, 2019
Predictive processing shows how seemingly pointless actions like fidgeting in fact can serve an uncertainty-reducing function; this proposal is extended to autistic stimming, which can be understood as a form of fidgeting
Fidgeting as self-evidencing: A predictive processing account of non-goal-directed action. Kelsey Perrykkad, Jakob Hohwy. New Ideas in Psychology, Volume 56, January 2020, 100750. https://doi.org/10.1016/j.newideapsych.2019.100750
Highlights
• Predictive processing shows how seemingly pointless actions like fidgeting in fact can serve an uncertainty-reducing function.
• To resolve mounting uncertainty about the world, agents perform simple and precise actions, confirming their self-model.
• This proposal is extended to autistic stimming, which can be understood as a form of fidgeting.
Abstract: Non-goal-directed actions have been relatively neglected in cognitive science, but are ubiquitous and related to important cognitive functions. Fidgeting is seemingly one subtype of non-goal-directed action which is ripe for a functional account. What's the point of fidgeting? The predictive processing framework is a parsimonious account of brain function which says the brain aims to minimise the difference between expected and actual states of the world and itself, that is, minimise prediction error. This framework situates action selection in terms of active inference for expected states. However, seemingly aimless, idle actions, such as fidgeting, are a challenge to such theories. When our actions are not obviously goal-achieving, how can a predictive processing framework explain why we regularly do them anyway? Here, we argue that in a predictive processing framework, evidence for the agent's own existence is consolidated by self-stimulation or fidgeting. Endogenous, repetitive actions reduce uncertainty about the system's own states, and thus help continuously maintain expected rates of prediction error minimisation. We extend this explanation to clinically distinctive self-stimulation, such as in Autism Spectrum Conditions, in which effective strategies for self-evidencing may be different to the neurotypical case.
Highlights
• Predictive processing shows how seemingly pointless actions like fidgeting in fact can serve an uncertainty-reducing function.
• To resolve mounting uncertainty about the world, agents perform simple and precise actions, confirming their self-model.
• This proposal is extended to autistic stimming, which can be understood as a form of fidgeting.
Abstract: Non-goal-directed actions have been relatively neglected in cognitive science, but are ubiquitous and related to important cognitive functions. Fidgeting is seemingly one subtype of non-goal-directed action which is ripe for a functional account. What's the point of fidgeting? The predictive processing framework is a parsimonious account of brain function which says the brain aims to minimise the difference between expected and actual states of the world and itself, that is, minimise prediction error. This framework situates action selection in terms of active inference for expected states. However, seemingly aimless, idle actions, such as fidgeting, are a challenge to such theories. When our actions are not obviously goal-achieving, how can a predictive processing framework explain why we regularly do them anyway? Here, we argue that in a predictive processing framework, evidence for the agent's own existence is consolidated by self-stimulation or fidgeting. Endogenous, repetitive actions reduce uncertainty about the system's own states, and thus help continuously maintain expected rates of prediction error minimisation. We extend this explanation to clinically distinctive self-stimulation, such as in Autism Spectrum Conditions, in which effective strategies for self-evidencing may be different to the neurotypical case.
Being politically incorrect makes communicators appear more authentic—specifically, less susceptible to external influence—albeit also less warm
Rosenblum, M., Schroeder, J., & Gino, F. (2019). Tell it like it is: When politically incorrect language promotes authenticity. Journal of Personality and Social Psychology, http://dx.doi.org/10.1037/pspi0000206
Abstract: When a person’s language appears to be political—such as being politically correct or incorrect—it can influence fundamental impressions of him or her. Political correctness is “using language or behavior to seem sensitive to others’ feelings, especially those others who seem socially disadvantaged.” One pilot study, 6 experiments, and 3 supplemental experiments (N = 4,956) demonstrate that being politically incorrect makes communicators appear more authentic—specifically, less susceptible to external influence—albeit also less warm. These effects, however, are moderated by perceivers’ political ideology and how sympathetic perceivers feel toward the target group being labeled politically correctly. In Experiments 1, 2, and 3 using politically incorrect language (e.g., calling undocumented immigrants illegals) made a communicator appear particularly authentic among conservative perceivers but particularly cold among liberal perceivers. However, in Experiment 4 these effects reversed when conservatives felt sympathetic toward the group that was being labeled politically correctly or incorrectly (e.g., calling poor Whites white trash). Experiment 5 tests why political incorrectness can boost authenticity, demonstrating that it makes communicators seem less strategic. Finally, Experiment 6 examines the use of political language in a meaningful field context: perceived persuasion in real political debates. Debaters instructed to be politically correct (vs. politically incorrect) were judged by their uninstructed conversation partners to be easier to persuade during the conversation, although they actually reported being similarly persuaded. Together, these findings demonstrate when and how using politically incorrect language can enhance a person’s authenticity.
Abstract: When a person’s language appears to be political—such as being politically correct or incorrect—it can influence fundamental impressions of him or her. Political correctness is “using language or behavior to seem sensitive to others’ feelings, especially those others who seem socially disadvantaged.” One pilot study, 6 experiments, and 3 supplemental experiments (N = 4,956) demonstrate that being politically incorrect makes communicators appear more authentic—specifically, less susceptible to external influence—albeit also less warm. These effects, however, are moderated by perceivers’ political ideology and how sympathetic perceivers feel toward the target group being labeled politically correctly. In Experiments 1, 2, and 3 using politically incorrect language (e.g., calling undocumented immigrants illegals) made a communicator appear particularly authentic among conservative perceivers but particularly cold among liberal perceivers. However, in Experiment 4 these effects reversed when conservatives felt sympathetic toward the group that was being labeled politically correctly or incorrectly (e.g., calling poor Whites white trash). Experiment 5 tests why political incorrectness can boost authenticity, demonstrating that it makes communicators seem less strategic. Finally, Experiment 6 examines the use of political language in a meaningful field context: perceived persuasion in real political debates. Debaters instructed to be politically correct (vs. politically incorrect) were judged by their uninstructed conversation partners to be easier to persuade during the conversation, although they actually reported being similarly persuaded. Together, these findings demonstrate when and how using politically incorrect language can enhance a person’s authenticity.
Near-accidents with cars were associated with a decrease in the safe driving... In some way, we take a near-accident as a success, and irresponsible behavior increases
Lessons
learned from accident and near-accident experiences in traffic. Jens
Andreas Terum, Frode Svartdal. Safety Science, Volume 120, December
2019, Pages 672-678. https://doi.org/10.1016/j.ssci.2019.07.040
Highlights
• Accidents were not associated with safe driving.
• Near-accidents were associated with a decrease in the safe driving.
• Learned caution is associated with assuming personal responsibility.
Abstract: The focus of this article is risky behavior in traffic. What do people learn from accidents and near-accidents? Experience with accidents may demand increased caution. However, near-accidents are inherently ambiguous: On the one hand, they signal that margins were good enough, inspiring increased risk-taking; on the other hand, they signal danger that could induce increased caution. To explore these issues, participants (N = 614) answered 47 questions related to safe traffic behavior as well as reported on their experiences with traffic accidents and near-accidents, assessing changes in cautiousness as well as cognitive (i.e., counterfactual thinking) and emotional mechanisms possibly involved in learning from such experience. Results indicate that people do not become more cautious after accidents, whereas repeated experiences with near-accidents seem to foster less cautious traffic behavior. We discuss emotional and cognitive mechanisms related to these effects, and suggest that cautiousness after near-accidents is associated with assuming personal responsibility and upward counterfactual comparisons. We conclude that the mechanisms involved in learning from near-accidents are theoretically interesting, as well as important for the understanding of safe driving behavior.
Highlights
• Accidents were not associated with safe driving.
• Near-accidents were associated with a decrease in the safe driving.
• Learned caution is associated with assuming personal responsibility.
Abstract: The focus of this article is risky behavior in traffic. What do people learn from accidents and near-accidents? Experience with accidents may demand increased caution. However, near-accidents are inherently ambiguous: On the one hand, they signal that margins were good enough, inspiring increased risk-taking; on the other hand, they signal danger that could induce increased caution. To explore these issues, participants (N = 614) answered 47 questions related to safe traffic behavior as well as reported on their experiences with traffic accidents and near-accidents, assessing changes in cautiousness as well as cognitive (i.e., counterfactual thinking) and emotional mechanisms possibly involved in learning from such experience. Results indicate that people do not become more cautious after accidents, whereas repeated experiences with near-accidents seem to foster less cautious traffic behavior. We discuss emotional and cognitive mechanisms related to these effects, and suggest that cautiousness after near-accidents is associated with assuming personal responsibility and upward counterfactual comparisons. We conclude that the mechanisms involved in learning from near-accidents are theoretically interesting, as well as important for the understanding of safe driving behavior.
Women prioritizing career (over family) predicted greater similarity in mate preferences: Placed less importance on men’s parenting qualities, more importance on their access to financial resources, & preferred a career-oriented man
Breadwinner
Seeks Bottle Warmer: How Women’s Future Aspirations and Expectations
Predict Their Current Mate Preferences. Alyssa Croft et al. Sex Roles,
August 14 2019.
https://link.springer.com/article/10.1007/s11199-019-01080-6
Abstract: Contemporary women in Western cultures are often trying to juggle careers alongside personal and societal expectations for childrearing in an effort to “have it all.” We examine the effects of this balancing act on heterosexual women’s mate selection motivations. Across three Canadian samples (n = 360), we tested concurrent hypotheses about the desirability of both similar and complementary characteristics in a potential mate. Specifically, women’s aspirations (to prioritize career over family) and their expectations for the roles they will most likely adopt within their future partnerships (primary breadwinner and/or caregiver) were tested as key predictors of mate preferences. Although specific effects varied across samples, a mega-analysis of the combined sample and an internal meta-analysis of effect sizes from the three studies provided support for both complementary and similarity motives (controlling for gender role attitudes). Women’s aspirations to prioritize career (over family) predicted greater similarity in mate preferences, such that they placed less importance on men’s parenting qualities, more importance on their access to financial resources, and preferred a career-oriented over family-oriented exemplar. However, women’s expectations of actually taking on the breadwinner role predicted greater complementarity in mate preferences (greater desirability of parenting qualities and a family-oriented partner; with financial resources rated as less important). Our work expands current understanding of women’s decision-making processes when selecting a mate and has implications for men’s changing traits and roles.
Keywords: Gender roles Mate preferences Communal Agentic Expectations Aspirations
Abstract: Contemporary women in Western cultures are often trying to juggle careers alongside personal and societal expectations for childrearing in an effort to “have it all.” We examine the effects of this balancing act on heterosexual women’s mate selection motivations. Across three Canadian samples (n = 360), we tested concurrent hypotheses about the desirability of both similar and complementary characteristics in a potential mate. Specifically, women’s aspirations (to prioritize career over family) and their expectations for the roles they will most likely adopt within their future partnerships (primary breadwinner and/or caregiver) were tested as key predictors of mate preferences. Although specific effects varied across samples, a mega-analysis of the combined sample and an internal meta-analysis of effect sizes from the three studies provided support for both complementary and similarity motives (controlling for gender role attitudes). Women’s aspirations to prioritize career (over family) predicted greater similarity in mate preferences, such that they placed less importance on men’s parenting qualities, more importance on their access to financial resources, and preferred a career-oriented over family-oriented exemplar. However, women’s expectations of actually taking on the breadwinner role predicted greater complementarity in mate preferences (greater desirability of parenting qualities and a family-oriented partner; with financial resources rated as less important). Our work expands current understanding of women’s decision-making processes when selecting a mate and has implications for men’s changing traits and roles.
Keywords: Gender roles Mate preferences Communal Agentic Expectations Aspirations
You are not as Cute as you Think you are: Emotional Responses to Expectancy Violations in Heterosexual Online Dating Interaction
You are not as Cute as you Think you are: Emotional Responses to
Expectancy Violations in Heterosexual Online Dating Interactions. Maria
DelGreco, Amanda Denes. Sex Roles, August 14 2019.
https://link.springer.com/article/10.1007/s11199-019-01078-0
Abstract: Dating initiation is a challenging phase of heterosexual romantic relationship development, with men and women often having different expectations and interpretations of communicative cues. With online dating becoming increasingly popular, the challenges of relationship initiation are more apparent and may even lead to negative interpersonal interactions, such as online harassment. The present investigation employed expectancy violations theory to understand and explain perceptions of women’s responses to compliments in an online dating context. We predicted that due to general as well as gender-specific expectations for compliments and responses, when such expectations are violated, conflict and emotional reactions would arise. Using a sample of 413 U.S. undergraduate students, results indicated that women who negatively violate expectations by responding to a compliment using self-praise and agreement were generally evaluated more negatively than women who violated expectations in a positive way by disagreeing with the compliment and women who conformed to expectations by responding with “thank you.” Additionally, results showed that women who positively violated expectations were evaluated more negatively compared to women who conformed to expectations. Implications for expectancy violations theory and power in gendered online interactions are discussed.
Keywords: Online dating Compliments Expectancy violations theory Sexual harassment
Abstract: Dating initiation is a challenging phase of heterosexual romantic relationship development, with men and women often having different expectations and interpretations of communicative cues. With online dating becoming increasingly popular, the challenges of relationship initiation are more apparent and may even lead to negative interpersonal interactions, such as online harassment. The present investigation employed expectancy violations theory to understand and explain perceptions of women’s responses to compliments in an online dating context. We predicted that due to general as well as gender-specific expectations for compliments and responses, when such expectations are violated, conflict and emotional reactions would arise. Using a sample of 413 U.S. undergraduate students, results indicated that women who negatively violate expectations by responding to a compliment using self-praise and agreement were generally evaluated more negatively than women who violated expectations in a positive way by disagreeing with the compliment and women who conformed to expectations by responding with “thank you.” Additionally, results showed that women who positively violated expectations were evaluated more negatively compared to women who conformed to expectations. Implications for expectancy violations theory and power in gendered online interactions are discussed.
Keywords: Online dating Compliments Expectancy violations theory Sexual harassment
Dopamine neurons encode reward prediction errors, used to update value predictions; the delivery of rewards is increased after a costly action, easing more rapid learning under high cost situation
The cost of obtaining rewards enhances the reward prediction error signal of midbrain dopamine neurons. Shingo Tanaka, John P. O’Doherty & Masamichi Sakagami. Nature Communications, volume 10, Article number: 3674 (2019). August 15 2019. https://www.nature.com/articles/s41467-019-11334-2
Abstract: Midbrain dopamine neurons are known to encode reward prediction errors (RPE) used to update value predictions. Here, we examine whether RPE signals coded by midbrain dopamine neurons are modulated by the cost paid to obtain rewards, by recording from dopamine neurons in awake behaving monkeys during performance of an effortful saccade task. Dopamine neuron responses to cues predicting reward and to the delivery of rewards were increased after the performance of a costly action compared to a less costly action, suggesting that RPEs are enhanced following the performance of a costly action. At the behavioral level, stimulus-reward associations are learned faster after performing a costly action compared to a less costly action. Thus, information about action cost is processed in the dopamine reward system in a manner that amplifies the following dopamine RPE signal, which in turn promotes more rapid learning under situations of high cost.
Introduction
Humans and animals prefer a reward received after exerting a lot effort to obtain it compared to the same reward after a smaller amount of effort1,2,3. A number of explanations have been posited for this effect such as effort justification4,5 and the contrast effect6, in which greater value is attributed to an outcome obtained after paid effort. However, it remains unclear whether and how the processing of reward information in the brain is modulated by the effort expended to obtain a reward.
We focused specifically on the midbrain dopamine system, given the role of this system in promoting behavioral adaptation to rewards7,8,9. Dopamine neurons are known to represent reward prediction error (RPE) signals that can facilitate learning of reward predictions by the basal ganglia10,11,12,13,14,15,16,17. The strength of the RPE depends on the quantity, quality, and subjective value or utility of the reward7,18,19,20,21. Moreover, dopaminergic activity is modulated by costs and/or effort22,23. On this basis, we postulated that the dopaminergic RPE signal would be directly modulated by the cost paid to obtain a reward. Furthermore, because the RPE signal is causally involved in mediating learning of stimulus-reward associations24,25,26, we hypothesized that the cost paid to obtain the reward would directly increase the learning speed of stimulus-reward associations.
To test our hypotheses, we measured both behavior and dopaminergic activity in two Japanese monkeys while they performed a saccade based effort task. Monkeys react faster to a reward-predicting cue that is presented after a high-cost (HC) action compared with that after a low-cost (LC) action. The activity of dopaminergic neurons to the reward-predicting cues are increased by the paid cost. In addition, learning speed to the stimulus-reward association is also enhanced by the paid cost. Therefore, we suggest that the cost paid to obtain rewards increases the RPE signal in dopamine neurons and thereby enhances stimulus-reward associations.
Abstract: Midbrain dopamine neurons are known to encode reward prediction errors (RPE) used to update value predictions. Here, we examine whether RPE signals coded by midbrain dopamine neurons are modulated by the cost paid to obtain rewards, by recording from dopamine neurons in awake behaving monkeys during performance of an effortful saccade task. Dopamine neuron responses to cues predicting reward and to the delivery of rewards were increased after the performance of a costly action compared to a less costly action, suggesting that RPEs are enhanced following the performance of a costly action. At the behavioral level, stimulus-reward associations are learned faster after performing a costly action compared to a less costly action. Thus, information about action cost is processed in the dopamine reward system in a manner that amplifies the following dopamine RPE signal, which in turn promotes more rapid learning under situations of high cost.
Introduction
Humans and animals prefer a reward received after exerting a lot effort to obtain it compared to the same reward after a smaller amount of effort1,2,3. A number of explanations have been posited for this effect such as effort justification4,5 and the contrast effect6, in which greater value is attributed to an outcome obtained after paid effort. However, it remains unclear whether and how the processing of reward information in the brain is modulated by the effort expended to obtain a reward.
We focused specifically on the midbrain dopamine system, given the role of this system in promoting behavioral adaptation to rewards7,8,9. Dopamine neurons are known to represent reward prediction error (RPE) signals that can facilitate learning of reward predictions by the basal ganglia10,11,12,13,14,15,16,17. The strength of the RPE depends on the quantity, quality, and subjective value or utility of the reward7,18,19,20,21. Moreover, dopaminergic activity is modulated by costs and/or effort22,23. On this basis, we postulated that the dopaminergic RPE signal would be directly modulated by the cost paid to obtain a reward. Furthermore, because the RPE signal is causally involved in mediating learning of stimulus-reward associations24,25,26, we hypothesized that the cost paid to obtain the reward would directly increase the learning speed of stimulus-reward associations.
To test our hypotheses, we measured both behavior and dopaminergic activity in two Japanese monkeys while they performed a saccade based effort task. Monkeys react faster to a reward-predicting cue that is presented after a high-cost (HC) action compared with that after a low-cost (LC) action. The activity of dopaminergic neurons to the reward-predicting cues are increased by the paid cost. In addition, learning speed to the stimulus-reward association is also enhanced by the paid cost. Therefore, we suggest that the cost paid to obtain rewards increases the RPE signal in dopamine neurons and thereby enhances stimulus-reward associations.
Squirrels pilfer each other's nuts at high rates, observing how the others hide the caches; they steal less frequently from relatives
How
squirrels protect their caches: Location, conspicuousness during
caching, and proximity to kin influence cache lifespan. Mikel Maria
Delgado, Lucia F Jacobs. bioRxiv, August 16, 2019.
https://doi.org/10.1101/738237
Abstract: Scatter-hoarding animals cannot physically protect individual caches, and instead utilize several behavioral strategies that are hypothesized to offer protection for caches. We validated the use of physically altered, cacheable food items, and determined that intraspecific pilfering among free-ranging fox squirrels (N=23) could be assessed in the field. In this study we were able to identify specific individual squirrels who pilfered or moved caches that had been stored by a conspecific. We identified a high level of pilfering (25%) among this population. In a subsequent study, we assessed the fate of squirrel-made caches. Nineteen fox squirrels cached 294 hazelnuts with passive integrated transponder tags implanted in them. Variables collected included assessment and cache investment and protection behaviors; cache location, substrate, and conspicuousness of each cache; how long each cache remained in its original location, and the location where the cache was finally consumed. We also examined whether assessment or cache protection behaviors were related to the outcomes of buried nuts. Finally, we measured the population dynamics and heterogeneity of squirrels in this study, testing the hypothesis that cache proximity and pilferage tolerance could serve as a form of kin selection. Polymer chain reaction (PCR) was used to analyze hair samples and determine relatedness among 15 squirrels, and the potential impact of relatedness on caching behavior. Results suggested that cache protection behaviors and the lifespan of a cache were dependent on the conspicuousness of a cache. Squirrels may mitigate some of the costs of pilfering by caching closer to the caches of related squirrels than to those of non-related squirrels.
Abstract: Scatter-hoarding animals cannot physically protect individual caches, and instead utilize several behavioral strategies that are hypothesized to offer protection for caches. We validated the use of physically altered, cacheable food items, and determined that intraspecific pilfering among free-ranging fox squirrels (N=23) could be assessed in the field. In this study we were able to identify specific individual squirrels who pilfered or moved caches that had been stored by a conspecific. We identified a high level of pilfering (25%) among this population. In a subsequent study, we assessed the fate of squirrel-made caches. Nineteen fox squirrels cached 294 hazelnuts with passive integrated transponder tags implanted in them. Variables collected included assessment and cache investment and protection behaviors; cache location, substrate, and conspicuousness of each cache; how long each cache remained in its original location, and the location where the cache was finally consumed. We also examined whether assessment or cache protection behaviors were related to the outcomes of buried nuts. Finally, we measured the population dynamics and heterogeneity of squirrels in this study, testing the hypothesis that cache proximity and pilferage tolerance could serve as a form of kin selection. Polymer chain reaction (PCR) was used to analyze hair samples and determine relatedness among 15 squirrels, and the potential impact of relatedness on caching behavior. Results suggested that cache protection behaviors and the lifespan of a cache were dependent on the conspicuousness of a cache. Squirrels may mitigate some of the costs of pilfering by caching closer to the caches of related squirrels than to those of non-related squirrels.
Monday, August 19, 2019
Are Attitudes Contagious? Exposure to Biased Nonverbal Signals Can Create Novel Social Attitudes
Are Attitudes Contagious? Exposure to Biased Nonverbal Signals Can Create Novel Social Attitudes. Allison L. Skinner, Sylvia Perry. Personality and Social Psychology Bulletin, August 19, 2019. https://doi.org/10.1177/0146167219862616
Abstract: Prior work has established that nonverbal signals that capitalize on existing cultural biases can shift attitudes toward members of familiar social groups (e.g., racial minority group members). This research is the first to examine whether nonverbal signals can influence adults’ attitudes toward unfamiliar individuals outside the context of existing cultural biases. In a series of studies, we examined whether seeing one individual receive more cold, unfriendly nonverbal signals than another individual would lead to biases in favor of the target of more positive nonverbal signals. Consistent with our preregistered hypotheses, exposure to nonverbal bias in favor of one individual over another led participants to develop nonverbal signal-consistent explicit biases. Moreover, a combined analysis of the data from all four samples indicated that participants also formed nonverbal signal-consistent implicit biases. Taken together, these findings suggest that nonverbal signals have the potential to create and spread attitudes toward others.
Keywords: nonverbal signals, attitude formation, explicit bias, implicit bias
Abstract: Prior work has established that nonverbal signals that capitalize on existing cultural biases can shift attitudes toward members of familiar social groups (e.g., racial minority group members). This research is the first to examine whether nonverbal signals can influence adults’ attitudes toward unfamiliar individuals outside the context of existing cultural biases. In a series of studies, we examined whether seeing one individual receive more cold, unfriendly nonverbal signals than another individual would lead to biases in favor of the target of more positive nonverbal signals. Consistent with our preregistered hypotheses, exposure to nonverbal bias in favor of one individual over another led participants to develop nonverbal signal-consistent explicit biases. Moreover, a combined analysis of the data from all four samples indicated that participants also formed nonverbal signal-consistent implicit biases. Taken together, these findings suggest that nonverbal signals have the potential to create and spread attitudes toward others.
Keywords: nonverbal signals, attitude formation, explicit bias, implicit bias
Watching Television in a Home Environment: Effect on Children’s Attention, Comprehension and Behavior
Rose, Sarah E., Dr, Alexandra Lamont, and Nicholas Reyland. 2019. “Watching Television in a Home Environment: Effect on Children’s Attention, Comprehension and Behavior.” PsyArXiv. August 19. doi:10.31234/osf.io/8yma9
Abstract: Correlational studies have suggested some harmful effects of television (TV) viewing in early childhood, especially for the viewing of fast-paced entertainment programs. However, this has not been consistently supported by experimental studies, many of which have lacked ecological validity. The current study explores the effects of pace of program on the attention, problem solving and comprehension of 41 3- and 4-year-olds using an ecologically valid experimental design. Children were visited twice at home; on each visit they were shown an episode of a popular animated entertainment program which differed in pace: one faster paced, one slower paced. Children’s behavior was coded for attention and arousal during viewing, attention, effort and performance after viewing during a problem-solving task, and comprehension of the program. The faster paced program was attended to more, but this had no impact on comprehension. Although 3-year-olds showed more attention and effort on the problem-solving task after watching the slower program, both 3- and 4-year-olds completed more problems successfully after watching the faster program. The results provide evidence to counter the ‘harm’ perceived in young children watching fast-paced entertainment programs as where differences were found it was the fast-paced program which appeared to have a cognitive facilitation effect.
Abstract: Correlational studies have suggested some harmful effects of television (TV) viewing in early childhood, especially for the viewing of fast-paced entertainment programs. However, this has not been consistently supported by experimental studies, many of which have lacked ecological validity. The current study explores the effects of pace of program on the attention, problem solving and comprehension of 41 3- and 4-year-olds using an ecologically valid experimental design. Children were visited twice at home; on each visit they were shown an episode of a popular animated entertainment program which differed in pace: one faster paced, one slower paced. Children’s behavior was coded for attention and arousal during viewing, attention, effort and performance after viewing during a problem-solving task, and comprehension of the program. The faster paced program was attended to more, but this had no impact on comprehension. Although 3-year-olds showed more attention and effort on the problem-solving task after watching the slower program, both 3- and 4-year-olds completed more problems successfully after watching the faster program. The results provide evidence to counter the ‘harm’ perceived in young children watching fast-paced entertainment programs as where differences were found it was the fast-paced program which appeared to have a cognitive facilitation effect.
Preparing for the Worst: Evidence that Older Adults Proactively Downregulate Negative Affect
Preparing for the Worst: Evidence that Older Adults Proactively Downregulate Negative Affect. Brittany Corbett, M Natasha Rajah, Audrey Duarte. Cerebral Cortex, bhz166, August 19 2019, https://doi.org/10.1093/cercor/bhz166
Abstract: Previous studies have only investigated age-related differences in emotional processing and encoding in response to, not in anticipation of, emotional stimuli. In the current study, we investigated age-related differences in the impact of emotional anticipation on affective responses and episodic memory for emotional images. Young and older adults were scanned while encoding negative and neutral images preceded by cues that were either valid or invalid predictors of image valence. Participants were asked to rate the emotional intensity of the images and to complete a recognition task. Using multivariate behavioral partial least squares (PLS) analysis, we found that greater anticipatory recruitment of the amygdala, ventromedial prefrontal cortex (vmPFC), and hippocampus in older adults predicted reduced memory for negative than neutral images and the opposite for young adults. Seed PLS analysis further showed that following negative cues older adults, but not young adults, exhibited greater activation of vmPFC, reduced activation of amygdala, and worse memory for negative compared with neutral images. To the best of our knowledge, this is the first study to provide evidence that the “positivity effect” seen in older adults’ memory performance may be related to the spontaneous emotional suppression of negative affect in anticipation of, not just in response to, negative stimuli.
Keywords: aging, fMRI, memory, spontaneous emotional regulation, uncertainty
Abstract: Previous studies have only investigated age-related differences in emotional processing and encoding in response to, not in anticipation of, emotional stimuli. In the current study, we investigated age-related differences in the impact of emotional anticipation on affective responses and episodic memory for emotional images. Young and older adults were scanned while encoding negative and neutral images preceded by cues that were either valid or invalid predictors of image valence. Participants were asked to rate the emotional intensity of the images and to complete a recognition task. Using multivariate behavioral partial least squares (PLS) analysis, we found that greater anticipatory recruitment of the amygdala, ventromedial prefrontal cortex (vmPFC), and hippocampus in older adults predicted reduced memory for negative than neutral images and the opposite for young adults. Seed PLS analysis further showed that following negative cues older adults, but not young adults, exhibited greater activation of vmPFC, reduced activation of amygdala, and worse memory for negative compared with neutral images. To the best of our knowledge, this is the first study to provide evidence that the “positivity effect” seen in older adults’ memory performance may be related to the spontaneous emotional suppression of negative affect in anticipation of, not just in response to, negative stimuli.
Keywords: aging, fMRI, memory, spontaneous emotional regulation, uncertainty
Untangling Intelligence, Psychopathy, Antisocial Personality Disorder, and Conduct Problems
Untangling Intelligence, Psychopathy, Antisocial Personality Disorder, and Conduct Problems: A Meta‐analytic Review. Olga Sánchez de Ribera, Nicholas Kavish, Ian M. Katz, Brian B. Boutwell. European Journal of Personality, August 18 2019. https://doi.org/10.1002/per.2207
Abstract: Substantial research has investigated the association between intelligence and psychopathic traits. The findings to date have been inconsistent and have not always considered the multidimensional nature of psychopathic traits. Moreover, there has been a tendency to confuse psychopathy with other closely related, clinically significant disorders. The current study represents a meta‐analysis conducted to evaluate the direction and magnitude of the association of intelligence with global psychopathy, as well as its factors and facets, and related disorders (i.e. antisocial personality disorder, conduct disorder, and oppositional defiant disorder). Our analyses revealed a small, significant, negative relationship between intelligence and total psychopathy (r = −.07, p = .001). Analysis of factors and facets found differential associations, including both significant positive (e.g. interpersonal facet) and negative (e.g. affective facet) associations, further affirming that psychopathy is a multidimensional construct. Additionally, intelligence was negatively associated with antisocial personality disorder (r = −.13, p = .001) and conduct disorder (r = −.11, p = .001) but positively with oppositional defiant disorder (r = .06, p = .001). There was significant heterogeneity across studies for most effects, but the results of moderator analyses were inconsistent. Finally, bias analyses did not find significant evidence for publication bias or outsized effects of outliers
Abstract: Substantial research has investigated the association between intelligence and psychopathic traits. The findings to date have been inconsistent and have not always considered the multidimensional nature of psychopathic traits. Moreover, there has been a tendency to confuse psychopathy with other closely related, clinically significant disorders. The current study represents a meta‐analysis conducted to evaluate the direction and magnitude of the association of intelligence with global psychopathy, as well as its factors and facets, and related disorders (i.e. antisocial personality disorder, conduct disorder, and oppositional defiant disorder). Our analyses revealed a small, significant, negative relationship between intelligence and total psychopathy (r = −.07, p = .001). Analysis of factors and facets found differential associations, including both significant positive (e.g. interpersonal facet) and negative (e.g. affective facet) associations, further affirming that psychopathy is a multidimensional construct. Additionally, intelligence was negatively associated with antisocial personality disorder (r = −.13, p = .001) and conduct disorder (r = −.11, p = .001) but positively with oppositional defiant disorder (r = .06, p = .001). There was significant heterogeneity across studies for most effects, but the results of moderator analyses were inconsistent. Finally, bias analyses did not find significant evidence for publication bias or outsized effects of outliers
When an intervention to raise intelligence ends, effects fade away; recursive processes between IQ & the environment are not as strong as once thought; intelligence adapts to environmental demands, both upwards & downwards
The environment in raising early intelligence: A meta-analysis of the fadeout effect. John Protzko. Intelligence, Volume 53, November–December 2015, Pages 202-210. https://doi.org/10.1016/j.intell.2015.10.006
Highlights
• We meta-analyze 39 RCTs that raised children's IQ and followed them after the study ended.
• We confirm that after an intervention that raises intelligence ends, the effects fade away.
• The fadeout effect occurs because those in the experimental group lose their IQ advantage.
• This suggests that recursive processes between IQ and the environment are not as strong as once thought.
• We propose that intelligence adapts to environmental demands, both upwards and downwards.
Abstract: Many theories about the role of the environment in raising IQ have been put forward. There has not been an equal effort, however, in experimentally testing these theories. In this paper, we test whether the role of the environment in raising IQ is bidirectional/reciprocal. We meta-analyze the evidence for the fadeout effect of IQ, determining whether interventions that raise IQ have sustained effects after they end. We analyze 7584 participants across 39 randomized controlled trials, using a mixed-effects analysis with growth curve modeling. We confirm that after an intervention raises intelligence the effects fade away. We further show this is because children in the experimental group lose their IQ advantage and not because those in the control groups catch up. These findings are inconsistent with a bidirectional/reciprocal model of interaction. We discuss explanations for the fadeout effect and posit a unidirectional–reactive model for the role of the environment in the development of intelligence.
Highlights
• We meta-analyze 39 RCTs that raised children's IQ and followed them after the study ended.
• We confirm that after an intervention that raises intelligence ends, the effects fade away.
• The fadeout effect occurs because those in the experimental group lose their IQ advantage.
• This suggests that recursive processes between IQ and the environment are not as strong as once thought.
• We propose that intelligence adapts to environmental demands, both upwards and downwards.
Abstract: Many theories about the role of the environment in raising IQ have been put forward. There has not been an equal effort, however, in experimentally testing these theories. In this paper, we test whether the role of the environment in raising IQ is bidirectional/reciprocal. We meta-analyze the evidence for the fadeout effect of IQ, determining whether interventions that raise IQ have sustained effects after they end. We analyze 7584 participants across 39 randomized controlled trials, using a mixed-effects analysis with growth curve modeling. We confirm that after an intervention raises intelligence the effects fade away. We further show this is because children in the experimental group lose their IQ advantage and not because those in the control groups catch up. These findings are inconsistent with a bidirectional/reciprocal model of interaction. We discuss explanations for the fadeout effect and posit a unidirectional–reactive model for the role of the environment in the development of intelligence.
Correlation in intelligence of virtual twins, same-age unrelated siblings raised together from early infancy, drops to zero in adulhood; correlation in real twins is high, consistent with genetic roots
Fullerton Virtual Twin Project: Overview and 2019 Update. Nancy L. Segal & Francisca J. Niculae. Twin Research and Human Genetics, July 29 2019. https://doi.org/10.1017/thg.2019.40
Abstract: Virtual twins (VTs) are defined as same-age unrelated siblings raised together from early infancy. This special class of adoptive siblings replays the rearing situation of twins, absent genetic relatedness. The first such pair was identified and studied in 1990 at the University of Minnesota, leading to the creation of the Fullerton Virtual Twin Study (FVTS) at California State University, Fullerton (CSUF) the following year. The registry currently includes 169 VT pairs, mostly children, with new pairs identified on a regular basis. These sibling sets provide a direct estimate of environmental influences on developmental traits and, as such, offer informative comparisons with ordinary monozygotic and dizygotic twins, full siblings and adoptive brothers and sisters. The sample characteristics, assessment battery and findings to date are summarized in this 2019 update.
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Correlation in intelligence of virtual twins, same-age unrelated siblings raised together from early infancy, drops to zero in adulhood; correlation in real twins is high, consistent with genetic roots
Abstract: Virtual twins (VTs) are defined as same-age unrelated siblings raised together from early infancy. This special class of adoptive siblings replays the rearing situation of twins, absent genetic relatedness. The first such pair was identified and studied in 1990 at the University of Minnesota, leading to the creation of the Fullerton Virtual Twin Study (FVTS) at California State University, Fullerton (CSUF) the following year. The registry currently includes 169 VT pairs, mostly children, with new pairs identified on a regular basis. These sibling sets provide a direct estimate of environmental influences on developmental traits and, as such, offer informative comparisons with ordinary monozygotic and dizygotic twins, full siblings and adoptive brothers and sisters. The sample characteristics, assessment battery and findings to date are summarized in this 2019 update.
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Correlation in intelligence of virtual twins, same-age unrelated siblings raised together from early infancy, drops to zero in adulhood; correlation in real twins is high, consistent with genetic roots
I don't buy that there is "strong support" for a significant "increased" risk of children & adolescents who commit animal cruelty to perpetrate interpersonal violence against humans
Childhood and adolescent animal cruelty and subsequent interpersonal violence in adulthood: A review of the literature. Heng Choon Chan (Oliver), Rebecca W. Y. Wong. Aggression and Violent Behavior, August 19 2019. https://doi.org/10.1016/j.avb.2019.08.007
Abstract: Animal cruelty has been a growing concern worldwide, and is broadly defined as all socially unacceptable behaviors that are intentionally perpetrated to cause unnecessary pain, suffering, distress, and/or death to an animal. This review synthesizes more than 87 research studies identified through online databases and manual search of specific studies. Findings denote that beating, hitting, or kicking, shooting, strangling or smothering, stabbing, and sexual abusing are reported to be the commonly used methods in abusing animals. In addition, children and adolescents abused animals for different reasons; and those who exposed to domestic violence are likely to have higher rates of animal cruelty, which in turn increases their subsequent propensity to engage in delinquent behavior. Male children and adolescents are more likely than their female counterparts to commit acts of animal cruelty. It is noteworthy that early onset of animal cruelty acts is suggested to be predictive of subsequent violent or antisocial behavior. Arguably, bestiality is an act of animal abuse, or specifically as interspecies sexual abuse. More importantly, this review has noted a strong support for the increased risk of children and adolescents who commit animal cruelty to perpetrate interpersonal violence against human victims in later life. Five key theoretical models (i.e., social learning theory, frustration theory, deviance generalization hypothesis, graduation hypothesis, and sexual polymorphous theory) are discussed to explain the link between childhood and/or adolescent animal cruelty and subsequent violence against human victims in adulthood. Implications for research and future research are discussed.
Abstract: Animal cruelty has been a growing concern worldwide, and is broadly defined as all socially unacceptable behaviors that are intentionally perpetrated to cause unnecessary pain, suffering, distress, and/or death to an animal. This review synthesizes more than 87 research studies identified through online databases and manual search of specific studies. Findings denote that beating, hitting, or kicking, shooting, strangling or smothering, stabbing, and sexual abusing are reported to be the commonly used methods in abusing animals. In addition, children and adolescents abused animals for different reasons; and those who exposed to domestic violence are likely to have higher rates of animal cruelty, which in turn increases their subsequent propensity to engage in delinquent behavior. Male children and adolescents are more likely than their female counterparts to commit acts of animal cruelty. It is noteworthy that early onset of animal cruelty acts is suggested to be predictive of subsequent violent or antisocial behavior. Arguably, bestiality is an act of animal abuse, or specifically as interspecies sexual abuse. More importantly, this review has noted a strong support for the increased risk of children and adolescents who commit animal cruelty to perpetrate interpersonal violence against human victims in later life. Five key theoretical models (i.e., social learning theory, frustration theory, deviance generalization hypothesis, graduation hypothesis, and sexual polymorphous theory) are discussed to explain the link between childhood and/or adolescent animal cruelty and subsequent violence against human victims in adulthood. Implications for research and future research are discussed.
Fence construction deters migration because the migration costs faced by prospective migrants are sensitive to the particular set of available crossing locations; plus the fence disproportionately deters low-skilled migrants
Fenced Out: Why Rising Migration Costs Matter. Benjamin Feigenberg. American Economic Journal: Applied Economics, Forthcoming. https://www.aeaweb.org/articles?id=10.1257/app.20170231&&from=f
Abstract: This paper estimates the impact of the U.S.-Mexico border fence on U.S.-Mexico migration by exploiting variation in the timing of U.S. government investment in fence construction. Using Mexican household survey data and data I collected on fence construction, I find that construction in a given municipality reduces migration by 29% from that municipality and by 15% from adjacent municipalities. I also find that construction reduces migration from non-border municipalities by 32%. I employ a standard migration selection model to rationalize evidence that the fence disproportionately deters low-skilled migrants. The estimated cost of the fence per migrant deterred is $2,850 USD.
Old abstract: Spending on border enforcement has risen by 240% in the United States in the last decade and the construction of a fence on the U.S.-Mexico border has become a focal point in the debate over the costs and benefits of increased border security. However, whether and by how much the fence actually reduces migration from Mexico to the United States remains an open question. This paper estimates the impact of the fence on migration flows between Mexico and the United States and investigates the mechanisms driving observed impacts. To conduct this analysis, I exploit variation in the timing of U.S. government tactical infrastructure investment in fence construction in the period after the passage of the 2006 Secure Fence Act. Using Mexican household survey data and data I collected on border fence construction, I find that construction in a given municipality reduces migration by 39% from that municipality and by 26% from adjacent municipalities. I also find evidence that fence construction reduces migration rates for residents of non-border states with historically low access to smugglers by 38%. Based on these estimates, I calculate that the implied cost of the fence per migrant deterred is $4,800 USD. My findings suggest that fence construction deters migration because the migration costs faced by prospective migrants are sensitive to the particular set of available crossing locations. I derive a simple migration selection model to test this hypothesis and find that a left-censoring of the migration cost distribution, consistent with the disproportionate elimination of low-cost crossing options, best rationalizes evidence on changing migration patterns.
Abstract: This paper estimates the impact of the U.S.-Mexico border fence on U.S.-Mexico migration by exploiting variation in the timing of U.S. government investment in fence construction. Using Mexican household survey data and data I collected on fence construction, I find that construction in a given municipality reduces migration by 29% from that municipality and by 15% from adjacent municipalities. I also find that construction reduces migration from non-border municipalities by 32%. I employ a standard migration selection model to rationalize evidence that the fence disproportionately deters low-skilled migrants. The estimated cost of the fence per migrant deterred is $2,850 USD.
Old abstract: Spending on border enforcement has risen by 240% in the United States in the last decade and the construction of a fence on the U.S.-Mexico border has become a focal point in the debate over the costs and benefits of increased border security. However, whether and by how much the fence actually reduces migration from Mexico to the United States remains an open question. This paper estimates the impact of the fence on migration flows between Mexico and the United States and investigates the mechanisms driving observed impacts. To conduct this analysis, I exploit variation in the timing of U.S. government tactical infrastructure investment in fence construction in the period after the passage of the 2006 Secure Fence Act. Using Mexican household survey data and data I collected on border fence construction, I find that construction in a given municipality reduces migration by 39% from that municipality and by 26% from adjacent municipalities. I also find evidence that fence construction reduces migration rates for residents of non-border states with historically low access to smugglers by 38%. Based on these estimates, I calculate that the implied cost of the fence per migrant deterred is $4,800 USD. My findings suggest that fence construction deters migration because the migration costs faced by prospective migrants are sensitive to the particular set of available crossing locations. I derive a simple migration selection model to test this hypothesis and find that a left-censoring of the migration cost distribution, consistent with the disproportionate elimination of low-cost crossing options, best rationalizes evidence on changing migration patterns.
Opioids and social bonding: Effect of naltrexone on feelings of social connection and ventral striatum activity to close others
Inagaki, T. K., Hazlett, L. I., & Andreescu, C. (2019). Opioids and
social bonding: Effect of naltrexone on feelings of social connection
and ventral striatum activity to close others. Journal of Experimental
Psychology: General; http://dx.doi.org/10.1037/xge0000674
Abstract: Close social bonds are critical to immediate and long-term well-being. However, the neurochemical mechanisms by which we remain connected to our closest loved ones are not well understood. Opioids have long been theorized to contribute to social bonding via their actions on the brain. But feelings of social connection toward one’s own close others and direct comparisons of ventral striatum (VS) activity in response to close others and strangers, a neural correlate of social bonding, have not been explored. Therefore, the current clinical trial examined whether opioids causally affect neural and experiential signatures of social bonding. Eighty participants were administered naltrexone (n = 40), an opioid antagonist that blocks natural opioid processing, or placebo (n = 40) before completing a functional MRI scan where they viewed images of their close others and individuals they had not seen before (i.e., strangers). Feelings of social connection to the close others and physical symptoms commonly experienced when taking naltrexone were also collected. In support of hypotheses, naltrexone (vs. placebo) reduced feelings of social connection toward the close others (e.g., family, friends, romantic partners). Furthermore, naltrexone (vs. placebo) reduced left VS activity in response to images of the same close others, but did not alter left VS activity to strangers. Finally, the positive correlation between feelings of connection and VS activity to close others present in the placebo condition was erased by naltrexone. Effects remained after adjusting for physical symptoms. Together, results lend support to theories suggesting that opioids contribute to social bonding, especially with our closest loved ones.
Abstract: Close social bonds are critical to immediate and long-term well-being. However, the neurochemical mechanisms by which we remain connected to our closest loved ones are not well understood. Opioids have long been theorized to contribute to social bonding via their actions on the brain. But feelings of social connection toward one’s own close others and direct comparisons of ventral striatum (VS) activity in response to close others and strangers, a neural correlate of social bonding, have not been explored. Therefore, the current clinical trial examined whether opioids causally affect neural and experiential signatures of social bonding. Eighty participants were administered naltrexone (n = 40), an opioid antagonist that blocks natural opioid processing, or placebo (n = 40) before completing a functional MRI scan where they viewed images of their close others and individuals they had not seen before (i.e., strangers). Feelings of social connection to the close others and physical symptoms commonly experienced when taking naltrexone were also collected. In support of hypotheses, naltrexone (vs. placebo) reduced feelings of social connection toward the close others (e.g., family, friends, romantic partners). Furthermore, naltrexone (vs. placebo) reduced left VS activity in response to images of the same close others, but did not alter left VS activity to strangers. Finally, the positive correlation between feelings of connection and VS activity to close others present in the placebo condition was erased by naltrexone. Effects remained after adjusting for physical symptoms. Together, results lend support to theories suggesting that opioids contribute to social bonding, especially with our closest loved ones.
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