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Animal welfare awareness (AWA) during transportation and in markets is a critical concern in livestock production, influencing the health of animals and other outcomes for stakeholders. Nevertheless, it remains understudied in many developing regions. This study investigates the level of awareness and practices regarding animal welfare during and after transportation among primary stakeholders — sellers, drivers, and buyers — in three livestock markets in Nigeria: Achida, Ikorodu Sabo, and Amansea. A structured survey focusing on the stakeholders’ familiarity with the concept of animal welfare, the Five Freedoms, the Animal Diseases (Control) Act, and encounters with veterinary control posts was conducted across the selected markets between February and July 2024. Furthermore, stakeholders were also questioned about barriers to improving practices. Descriptive and inferential statistical analyses were performed to explore associations between the dichotomised awareness of animal welfare and key variables. A significant association between AWA and market location was revealed, but not with occupation. Further analysis showed that dichotomised awareness of Veterinary Control Posts (VCPs) and the Animal Diseases (Control) Act had significant negative associations with AWA, suggesting complex relationships between legal knowledge and familiarity with the concept of animal welfare. Additionally, transport-related mortality was reported by 70.7% of respondents, with overcrowding and sickness identified as primary causes. However, significant barriers, including economic constraints and a lack of authority to mandate standards, were the leading challenges often faced by stakeholders. The findings underscore the need for targeted interventions and policy reforms, including increased enforcement.
The conclusion draws together the findings of the book’s fifteen analytical chapters and is divided into six sections. Each section places several individual chapters in conversation with one another. First, we reflect on how the authors engaged with stability, across the four forms we developed in the introductory chapter, before the second section does the same regarding re/politicization. Third, we engage with the running theme throughout the book that stability and re/politicization are not dichotomous but rather interact, and indeed, one can be pursued to achieve the other. Fourth, we explore manifestations of depoliticization encountered within the book and find that, in practice, many regimes pursuing stability are less depoliticized than often assumed. Fifth, we bring in the importance of temporality to our studies, before finally offering concluding remarks on the book’s arguments and suggesting avenues for future research. Throughout the volume, we have presented the antagonism between stability and re/politicization in a deliberately flexible manner, and we hope others will find it – as well as our four novel forms of each approach – to be useful in their own analyses.
This introductory chapter establishes the two prevalent framings of climate governance and politics, namely an antagonism between the pursuit of stability and of re/politicization. The chapter’s first section, on stability, introduces to the field four novel understandings of stability: as the status quo, as engineering lock-in, as policy lock-in, and as long-term emissions reduction pathways. Next, re/politicization is explored, and we likewise develop four forms of re/politicization: as broader sociopolitical change, as partisan competition, as discourse, and as scholarly praxis. In each of the two sections, we illustrate our four novel forms with examples from the book. Finally, the chapter’s concluding section provides an overview of the five thematic parts that structure the volume, which are Movement Politics, Political Economy, Comparative Politics, Global Politics, and Reflections.
While research shows that public preferences across policy domains tend to move in parallel, the mechanisms behind this dynamic remain unclear. We examine four explanations: (1) alignment in preferred policy levels; (2) parallel policy movement combined with domain-specific thermostatic feedback; (3) feedback to global policy across domains; and (4) responsiveness to presidential partisanship. These mechanisms matter for how we interpret public opinion change and policy responsiveness. We develop and test a theoretical model using data on four social spending domains in the USA. Our findings suggest that spending mood reflects both parallelism in preferred policy levels and responsiveness to overall social spending and presidential party affiliation.
The COVID-19 pandemic has posed a significant health threat to people in corrections facilities due to communal living, inability to social distance, and high rates of comorbidity among incarcerated populations. Combined with the First Step Act of 2018, which granted incarcerated individuals seeking compassionate release access to the courts, the pandemic increased the number of people in federal prisons petitioning for early release due to health risk. Analysis of federal compassionate release case law throughout the pandemic reveals inconsistent judicial reasoning related to COVID-19-based requests. Inconsistently interpreted compassionate release factors include vaccination status, COVID-19 reinfection, and the “degree” of extraordinary circumstances considered. Varied application among federal districts produced inequitable access to compassionate release. Therefore, this analysis provides insight into how an unclear policy can create disparate public health outcomes and considerations for compassionate release determinations in future times of uncertainty, such as a pandemic.
Part I comprises three chapters focused on the history of disability rights activism and recent reforms related to accessible public transit and disability discrimination. Chapter 3 overviews historical parallels in the marginalization of people with disabilities, the development of welfare policies for them, and the emergence of independent living movements in Japan and Korea. Activism by (rather than for) Japanese and Koreans with disabilities, along with growing rights consciousness, accelerated in the 1990s and 2000s through ties with transnational activist networks and negotiations around the Convention on the Rights of Persons with Disabilities. As background for the next two chapters, Chapter 3 surveys recent reforms and the organizational ecology of disabled persons’ organizations and lawyers, who activate the causal mechanisms and thereby contribute to the legalistic turn in governance.
In this chapter, we explore the unique nature of the Arts along with what the Arts ‘do’ for people. The differences between Arts education policy and its provision in practice will be presented with particular reference to the need for broad access to, and equity in, Arts education in primary and early childhood settings. The importance of an approach to Arts education that encourages and embeds learner agency, cultural diversity and gender equity is discussed, and the benefits of sustained ‘quality’ Arts education are presented. Your role in the provision of the Arts in early childhood and primary education is discussed and a ‘praxial’ vision for the Arts in education is presented.
Despite the recognized importance of older adults ageing in their own homes, the role of public financing in mitigating unmet and under-met home care needs remains under-explored. This study addresses this gap by examining the impact of public financing on home care adequacy among English adults aged over 50, utilizing data from waves 6–9 (2013–2019) of the English Longitudinal Study of Ageing. Longitudinal fixed effects and pooled cross-sectional modelling are used to explore the impact of public financing of home care on the unmet and under-met needs of older people. Findings show that individuals with greater limitations in activities of daily living (ADLs) and instrumental activities of daily living (IADLs), as well as those experiencing cognitive decline, are more likely to receive home care. Importantly, while receipt of publicly financed care is associated with a reduction in unmet needs, it does not necessarily translate to fully met needs, resulting in under-met need and highlighting a crucial distinction between access to and adequacy of care. Comparatively, transitioning from use of publicly financed home care to exclusively informal care is linked with lower odds of reporting under-met needs, suggesting variance in the quality of care provided across funding types. This study not only enriches the existing literature by describing the specific impact of different home care financing mechanisms (publicly financed care versus other types of care) on the unmet and under-met needs of older adults but also underscores the need for policies that ensure care adequacy, not just accessibility.
The 2007 adoption of the United Nations Declaration on the Rights of Indigenous Peoples (UNDRIP) marked a critical juncture in the area of Indigenous rights. As a nonbinding agreement, its adoption is at the discretion of each state, resulting in significant state-level variation. Importantly, within-state variations remain underexplored. These differences are potentially significant in federal, decentralized countries such as Canada. This article examines why some provinces and territories lead in implementing the key principles embedded in UNDRIP, whereas others have dragged their feet. We collected 230 Canadian regulations introduced at the subnational level between 2007 and 2023, and assessed the impact of three key variables (i.e. political ideology, resource politics and issue voting). We found that none of these variables explained within-state variations on their own. To further explore the role of these variables, we subsequently compared two provinces at different stages of the UNDRIP implementation spectrum (Québec and British Columbia).
There is strong evidence that children are particularly vulnerable to the persuasiveness of marketing, and that their exposure to marketing of unhealthy food products influences their preference for and consumption of these products(1). In New Zealand (NZ), marketing is self-regulated by the industry-led Advertising Standards Authority (ASA). The ASA has two relevant codes, the Children’s Advertising and Food and Beverage Advertising Codes; however, product packaging is omitted. We investigated child-appealing marketing techniques displayed on packaged food products in NZ. We also assessed the potential impacts of different nutrient profiling systems to inform future policy design to restrict child-appealing marketing on food products in NZ. This research was conducted using the 2023 Nutritrack dataset, which contains data collected via photographs of packaged food products available in major NZ supermarkets. We focused on product categories that were shown to have a high prevalence of child-appealing marketing in a similar Australian study(2): confectionery, snack foods, cereal bars and breakfast cereals (n=2015 products). The images of products within these selected categories were assessed and coded using the “Child-appealing packaging” criteria developed by Mulligan et al.(3). Mann-Whitney U tests were used to assess differences in nutrient composition between products with and without child-appealing packaging, using information extracted from Nutrient Information Panels. In addition, the Food Standards Australia New Zealand Nutrient Profiling Scoring Criterion (NPSC) and the World Health Organization Nutrient Profiling Model for the Western Pacific Region (WHO WPRO) were applied to all food products identified as appealing to children to determine which products would be ineligible to be marketed to children under these two potential policy options. Overall, 724 (35.9%) of the 2015 products examined had child-appealing packaging. Snack foods had the highest proportion of products with child-appealing packaging (44.5%), followed by confectionery (39.3%), cereal bars (23.3%) and breakfast cereals (22%). The most common type of child-appealing marketing technique used was “child-appealing visual/graphical design of package” which featured on 513 food items. Overall, compared with products without child-appealing packaging, the median content of energy, protein, total fat, and saturated fat was lower, and the median content of sugar and sodium was higher in products with child-appealing packaging (all p<0.05). Of the 724 products that were found to have child-appealing packaging, 566 (78.2%) would be considered ineligible to be marketed to children when assessed using the NPSC and 706 (97.5%) would be ineligible using the WHO WPRO.Our research shows that a considerable number of food products available in New Zealand supermarkets are using marketing techniques on their packaging that appeal to children. If policies were introduced to reduce the use of child-appealing marketing on food packaging, the WHO WPRO would provide the highest level of protection for children.
The fields of archaeology and museology are working to encourage and enforce research methodologies and policies that center reciprocity and respect among archaeologists, institutions, and Native Nations. This shift in approach is grounded in part by the inclusion of the Duty of Care clause in the revised NAGPRA regulations and partly by a revised awareness of ethical standards. Policy-level changes around research access are the most impactful but can also be the most challenging to initiate. In this article, we address shifts in both institutional research policies and researchers’ approaches and practices that actively incorporate Native perspectives. The framework presented was developed as a complement to the Indigenous Collections Care Guide and is grounded in case studies from three institutions that have changed their research policies. The resulting prompts, tips, examples, and challenges are provided for both researchers and institutions to evaluate research and access practices and how they intersect with Native perspectives. Seeking input and consent from Native Nations adds challenging layers to research, but the depth, quality, and impact of the research and the strengthening of relationships and trust with the communities significantly outweigh the extra time and effort.
The Making Care Primary (MCP) model represents a sharp shift in Medicare’s approach to primary care, yet its current design risks duplicating failures from prior alternative payment models. Our editorial suggests refinements to address these gaps. To prevent early provider dropout from MCP’s rigid track-based system, we propose a sliding-scale infrastructure payment model that adjusts based on practice needs rather than abrupt phase-outs. Given MCP’s reliance on community-based organisations (CBOs) for social determinants of health interventions, we also advocate for direct, outcomes-based contracts between providers and CBOs, ensuring accountability for patient outcomes rather than passive referrals. We recommend that MCP enforce data-sharing mandates for commercial insurers and Medicaid agencies, drawing from Washington State’s successful Multi-Payer Collaborative, to avoid payer disengagement that plagued previous multi-payer models. To expand beyond conventional quality measures, we propose integrating patient-centred outcomes from the International Consortium for Health Outcomes Measurement, making sure MCP captures meaningful clinical impact. Finally, we propose programme adjustments frequently at two- to three-year intervals to refine risk adjustment methodologies. These approaches could enhance MCP’s sustainability, preventing the financial instability and misaligned incentives that undermined past value-based care initiatives.
The Intergovernmental Negotiating Committee (INC) on plastic pollution are United Nations member states who will convene for the second part of the fifth session of the Intergovernmental Negotiating Committee in Geneva (INC5.2) 5-14 August, 2025 to negotiate a global plastics treaty. The Scientists’ Coalition for an Effective Plastics Treaty (‘The Scientists’ Coalition’) is an international network of independent scientific and technical experts who have been contributing robust science to treaty negotiators since INC1 in 2022. The Scientists’ Coalition established a series of working groups following INC5.1 in Busan, Korea 25 November – 1 December 2024. Each working group has produced science-based responses to the selected articles of ‘the Chair’s text’ (the latest version of the draft global plastics treaty text). This Letter to the Editor summarises those responses.
Plastics and climate change are inseparable issues, both materially and geopolitically. Plastics are derived almost entirely from fossil fuels and have an enormous greenhouse gas footprint. Aligning with the Paris Agreement requires rapid, dramatic decreases in plastic production, contravening the industry’s plans to continue expanding production. The oil, gas and petrochemical industry wields substantial power in both the climate and plastics treaty negotiations and has used that power to stymie progress in both. Rather than repeat the failures of the climate negotiations, plastics negotiators should seek to create a “plastics club” for ambitious action.
As negotiations on the Global Plastics Treaty progress, the extent to which reuse is embedded in the Treaty will serve as an indicator of its ambition to transform plastic systems rather than merely manage their waste outputs. Reuse is one of the most powerful yet underutilised interventions to achieve circularity, and is essential for reducing plastic production, lowering emissions and disrupting the dominance of single-use models. However, the current Treaty text reflects only limited and ambiguous references to reuse, often coupled with recycling, raising concerns that this cornerstone of circularity is at risk of being sidelined. This article argues that the Treaty’s effectiveness, both as a regulatory instrument and as a tool for transformation, will depend on whether it embeds the enabling conditions required to make reuse viable at scale. Drawing on recent research by the Global Plastics Policy Centre, we explore two core areas where progress is urgently needed: first, the limitations of setting numerical reuse targets without the underlying systems, infrastructure and regulatory clarity needed to implement them; and second, the persistent structural and regulatory barriers that prevent reuse systems from scaling. Without system-wide enablers, the Treaty risks repeating the common policy pattern of prioritising headline commitments over operational feasibility. Numerical targets, while politically attractive and symbolically important, do not create the conditions needed for sustained reuse uptake. Effective systems require regulatory mandates alongside design standards, infrastructure investment and mechanisms for tracking performance and ensuring compliance. At the global level, structural barriers include divergent regulations, inconsistent standards, a lack of harmonised definitions and metrics and financing systems that favour single use. Extended producer responsibility schemes, still skewed towards recycling, have not adequately incentivised reuse. The Treaty presents an opportunity to address these barriers through common standards and policy signals that support reuse as the default. To realise reuse as a transformative pillar of circularity, the Treaty must go beyond aspiration and commit to building the conditions under which reuse can thrive, which would shift plastics governance towards systems that value durability, more equitable responsibility and reform.
Here we examine interactions between centralised and devolved employment policy and welfare in Scotland, Wales and England, taking a qualitative approach to gain a street-level perspective. This paper’s twin aims are to challenge the privileging of methodological nationalism in the study of welfare regimes and to offer a substate alternative through a street-level perspective. In the context of prevailing trends towards activation measures and mixed economies of welfare across Western Europe, the UK’s work first approach and categorisation as a Liberal welfare regime of minimal provision is complexified using a devolved policy context.
Our findings on cross-jurisdictional interactions show devolved employment programmes in Scotland and Wales actively reshaping welfare delivery in ways that resist the UK’s historically centralised approach. We contribute to a growing body of literature on substate welfare regimes with significant implications for the privileging of methodological nationalism in the study of work and welfare.
The present chapter presents an overview of the recent applications of experimental methods to jurisprudential issues in international law as well as potential future developments of the field. We discuss how experimental methods can helpfully contribute to the understanding of the different moments of international law: the making of new rules, the interpretation of these rules, and, finally, their application in practice. We also present three main topics that constitute the studies of rule application in practice, namely, the mechanisms behind human judgment, policymaking, and, finally, the decision taking itself. We identify some future potential lines of development based on the example of the current disagreements over the definition of an international crime of “ecocide” and discuss some potential limitations of the experimental approach.
How do we persuade historians and history students to adjust from their familiarity with longer forms of writing to embark on a policy brief exercise? On the one hand, the need for humanities scholars to engage with policy-makers is arguably more acute than ever, given the gravity of policy choices we face; however, on the other hand, some will understandably resist what they see as the dangers of humanities becoming instruments of centers of policy-making power. We find, in a case study of historians and history students in Australia, that there is considerable willingness to tackle the task of a policy-brief, and willingness to engage with policy-making more broadly. Students who have taken on the task of writing policy briefs have said that it hurts, but they have also found it to be a rewarding and worthwhile exercise. Established scholars have done similarly, arguing that the time is ripe for more humanities scholars to take up the challenge.
Recognizing the increased demand for public health law skills within the public health workforce, ChangeLab Solutions, in collaboration with the Centers for Disease Control and Prevention, conducted a pilot program to increase knowledge of law among public health students. In partnership with a team of curriculum consultants, ChangeLab Solutions developed and piloted a curriculum across eight public health programs that consisted of six modules which focused on defining public health law and explaining its role in shaping health outcomes and inequities. Faculty members that piloted the modules found students had an increased knowledge of public health law concepts after completing the modules. Faculty members also experienced several barriers that might hinder effective delivery of the curriculum. Integration of public health law concepts into public health coursework within SPPH is one method of increasing students’ preparedness and capacity to use legal tools in addressing health outcomes and inequities.
As surrogacy grows, many states and countries are enacting or considering relevant regulations, while others oppose it. Ethical, legal and policy questions arise: how to balance the rights of various kinds of parents (e.g., heterosexual and same-sex couples and single individuals) against the rights and well-being of surrogates. Concerns include risks of exploitation, autonomy, benefits of enabling prospective parents to create loving families, and mitigating possible harms through regulations. Though a few instances of abuse have been reported in developing countries, these do not appear to have occurred in developed countries, where robust regulations exist. The limited data available on surrogates in general (i.e., including traditional and non-commercial surrogacy) do not suggest exploitation or trafficking. In 2021, New York State enacted robust regulations allowing commercial surrogacy. Subsequent competing bills have sought to loosen or enhance certain restrictions. These regulations may be a model for commercial surrogacy regulations elsewhere, but certain ethical, legal and policy questions remain (e.g., where to draw the line to prevent trafficking). Additional data and exploration of these challenges are crucial