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User engagement remains a challenge in digital mental health. This editorial reconsiders engagement as a process rather than an outcome, introducing a four-step model to define, measure and link engagement to outcomes. The approach promotes standardisation, interpretability and scalability, advancing the science and implementation of digital health interventions.
eSource – particularly EHR-to-EDC – is an emerging paradigm in clinical research that enables automated transfer of electronic health record (EHR) data into electronic data capture (EDC) systems, with the potential to reduce site burden, improve data quality and accelerate oncology clinical trial workflows. However, widespread implementation remains limited due to technical, regulatory and operational barriers. To address these challenges, the European Institute for Innovation through Health Data (i~HD) launched the eSource Scale-Up Task Force in 2024. This multi-stakeholder initiative brings together leading oncology centres and pharmaceutical sponsors to establish a consensus-driven roadmap for eSource adoption. Central to this effort are three foundational resources: readiness criteria for early adopters, a performance indicator framework for monitoring success and an operational playbook to guide implementation. This article provides a structured overview of the Task Force’s objectives, collaborative model and outputs, with specific attention to its focus on interoperability, regulatory alignment and real-world validation. While initially developed for oncology, the Task Force’s framework is applicable across therapeutic areas characterized by data-intensive workflows.
Authoritarian Survival and Leadership Succession in North Korea and Beyond examines how dictators manage elites to facilitate succession. Theoretically, it argues that personalistic incumbents facilitate the construction of a power base of elites from outside of their inner circle to help the successor govern once he comes to power. Then, once in office, successors consolidate power by initially relying on this power base to govern while marginalizing elites from their predecessor's inner circle before later targeting members of their own power base to further consolidate power. The Element presents evidence for these arguments from North Korea's two leadership transitions, leveraging original qualitative and quantitative evidence from inside North Korea. Comparative vignettes of succession in party-based China, Egypt's military regime, and monarchical Saudi Arabia demonstrate the theory's broader applicability. The Element contributes to research on comparative authoritarianism by highlighting how dictators use the non-institutional tool of elite management to facilitate succession.
Retrieval-augmented generation (RAG) adds a simple but powerful feature to chatbots, the ability to upload files just-in-time. Chatbots are trained on large quantities of public data. The ability to upload files just-in-time makes it possible to reduce hallucinations by filling in gaps in the knowledge base that go beyond the public training data such as private data and recent events. For example, in a customer service scenario, with RAG, we can upload your private bill and then the bot can discuss questions about your bill as opposed to generic FAQ questions about bills in general. This tutorial will show how to upload files and generate responses to prompts; see https://github.com/kwchurch/RAG for multiple solutions based on tools from OpenAI, LangChain, HuggingFace transformers and VecML.
Marine litter poses a complex challenge in Indonesia, necessitating a well-informed and coordinated strategy for effective mitigation. This study investigates the seasonality of plastic concentrations around Sulawesi Island in central Indonesia during monsoon-driven wet and dry seasons. By using open data and methodologies including the HYCOM and Parcels models, we simulated the dispersal of plastic waste over 3 months during both the southwest and northeast monsoons. Our research extended beyond data analysis, as we actively engaged with local communities, researchers and policymakers through a range of outreach initiatives, including the development of a web application to visualize model results. Our findings underscore the substantial influence of monsoon-driven currents on surface plastic concentrations, highlighting the seasonal variation in the risk to different regional seas. This study adds to the evidence provided by coarser resolution regional ocean modelling studies, emphasizing that seasonality is a key driver of plastic pollution within the Indonesian archipelago. Inclusive international collaboration and a community-oriented approach were integral to our project, and we recommend that future initiatives similarly engage researchers, local communities and decision-makers in marine litter modelling results. This study aims to support the application of model results in solutions to the marine litter problem.
OBJECTIVES/GOALS: Early diagnosis of congenital sensorineural hearing loss (SNHL) is of paramount importance in preventing speech and language impairment.Diffusion tensor imaging (DTI) MRI can identify brain microstructural changes that may potentially contribute towards prognosticating rehabilitation. METHODS/STUDY POPULATION: We retrospectively reviewed pediatric patients with SNHL who obtained DTI MRI between 2011 and 2019, identifying 16 pediatric patients (age <18 years) with at least moderate asymmetric/bilateral SNHL., and gender-matched controlswithout neurological, developmental, or MRI-based brain macrostructural abnormalities. The following brainstem regions and tracts of the auditory pathway were assessed: superior olivary nucleus (SON), inferior colliculus (IC), ipsilateral tracts between the inferior colliculus and superior olivary nucleus (IC-SON). Diffusion values for bilateral regions and tracts were generated, then averaged to calculate a mean value for fractional anisotropy (FA) and mean diffusivity (MD) for each subject. RESULTS/ANTICIPATED RESULTS: Significant differences were identified in FA values of the SON between the SNHL cohort and controls (0.377±0.056 vs 0.422±0.052; p=0.009). No other FA or MD values were significantly different. In children £5 years, MD was significantly decreased in the SNHL cohort compared to controls in the IC (0.918±0.051 vs 1.120±0.142; p<0.001). In children >5 years, there were no significant differences in MD (1.124±0.198 vs 0.997±0.103; p = 0.119). There were no significant differences in MD or FA in the white matter fibers of the IC-SON tract [applewebdata%3A//720AAF0C-C4CF-459C-A42A-6BAA56C4E4CA#_msocom_2]. DISCUSSION/SIGNIFICANCE: This is the first study to assess microstructural changes in brainstem auditory pathway regions among children with SNHL. Longitudinal studies are warranted to assess the predictive value of DTI imaging for long-term outcomes and prognosticating intervention.
Astrobiology is a scientific endeavour involving great uncertainties. This could justify intellectual risk-taking associated with research that significantly deviates from the mainstream, to explore new avenues. However, little is known regarding the effect of such maverick endeavours. To better understand the need for more or less risk in astrobiology, we investigate to what extent high-risk / high-impact research contributes to breakthrough results in the discipline. We gathered a sample of the most impactful astrobiology papers of the past 20 years and explored the degree of risk of the research projects behind these papers via contact with the corresponding authors. We carried out interviews to explore how attitudes towards risk have played out in their work, and to ascertain their opinions on risk-taking in astrobiology. We show the majority of the selected breakthrough results derive from endeavours considered medium- or high-risk, risk is significantly correlated with impact, and most of the discussed projects adopt exploratory approaches. Overall, the researchers display a distribution of attitudes towards risk from the more cautious to the more audacious, and are divided on the need for more risk-taking in astrobiology. Our findings ultimately support the explicit implementation of a risk-balanced portfolio in astrobiology.
Three polyphagous pest Liriomyza spp. (Diptera: Agromyzidae) have recently invaded Australia and are damaging horticultural crops. Parasitic wasps are recognized as effective natural enemies of leafmining species globally and are expected to become important biocontrol agents in Australia. However, the hymenopteran parasitoid complex of agromyzids in Australia is poorly known and its use hindered due to taxonomic challenges when based on morphological characters. Here, we identified 14 parasitoid species of leafminers based on molecular and morphological data. We linked DNA barcodes (5′ end cytochrome c oxidase subunit I (COI) sequences) to five adventive eulophid wasp species (Chrysocharis pubicornis (Zetterstedt), Diglyphus isaea (Walker), Hemiptarsenus varicornis (Girault), Neochrysocharis formosa (Westwood), and Neochrysocharis okazakii Kamijo) and two braconid species (Dacnusa areolaris (Nees) and Opius cinerariae Fischer). We also provide the first DNA barcodes (5′ end COI sequences) with linked morphological characters for seven wasp species, with three identified to species level (Closterocerus mirabilis Edwards & La Salle, Trigonogastrella parasitica (Girault), and Zagrammosoma latilineatum Ubaidillah) and four identified to genus (Aprostocetus sp., Asecodes sp., Opius sp. 1, and Opius sp. 2). Phylogenetic analyses suggest C. pubicornis, D. isaea, H. varicornis, and O. cinerariae are likely cryptic species complexes. Neochrysocharis formosa and Aprostocetus sp. specimens were infected with Rickettsia. Five other species (Cl. mirabilis, D. isaea, H. varicornis, Opius sp. 1, and Opius sp. 2) were infected with Wolbachia, while two endosymbionts (Rickettsia and Wolbachia) co-infected N. okazakii. These findings provide background information about the parasitoid fauna expected to help control the leafminers.
OBJECTIVES/GOALS: Diffusion MRI can identify microstructural brain changes and can provide insight into neural development and to potentially prognosticate speech and language outcomes in children with SNHL. The goal of our study was to investigate MRI-based microstructural changes along the brainstem regions of the auditory pathway in pediatric patients with SNHL. METHODS/STUDY POPULATION: We reviewed cohort of pediatric patients with SNHL who obtained MRI at 3T between 2011 and 2019. We identified 16 pediatric patients (age RESULTS/ANTICIPATED RESULTS: We identified significant differences in FA values of the SON between the SNHL cohort and controls (0.377 ± 0.056 vs 0.422 ± 0.052; p=0.009). No other FA or MD values were significantly different between the two groups. Among younger children (ï‚£5 years), MD was significantly decreased in the SNHL cohort compared to controls in the IC (0.918 ± 0.051 vs 1.120 ± 0.142; p5 years), there were no significant differences in MD (1.124 ± 0.198 vs 0.997 ± 0.103; p = 0.119). There were no significant differences in MD or FA in the white matter fibers of the IC-SON tract. DISCUSSION/SIGNIFICANCE: This study is the first to assess microstructural changes in brainstem auditory pathway regions among children with SNHL. Longitudinal studies are warranted to assess the predictive value of these MRI-based findings for long-term outcomes and the efficacy of intervention.
The course of the twentieth century saw radical change in the music of Oxford's churches, as elsewhere in the country. Liturgical developments, depopulation of the city centre, decline in religious belief, and greater choice of leisure activities are just some of the contributing factors. Compared with cathedrals and other choral foundations, where the choir and its music are a permanent, statutory part of the institution, music at parish level has always proved more fragile in nature. Oxford's churches demonstrate that the fortunes of choirs could vary wildly within a short time, and their very existence be threatened. A change of incumbent or organist might completely transform a situation for better or worse, while the relationship between choir and congregation was frequently a cause of tension.
Sources of information for the first half of the century are unsurprisingly sparse. Items such as choir registers or old music books are rare survivals. A fair number of instructive photographs, however, exist, partly in the local press. Only one church, St Margaret's in North Oxford, has a published history of its music, which offers a fascinating survey of the whole period, with all its ups and downs. Church records provide one essential resource, and minutes of both the Annual Parochial Meeting and the Parochial Church Council (PCC) contain occasional references to music. This may be a note of thanks to the choir and organist for their good work, although mention more commonly occurs when there is some change of personnel or a problem with the music. What is most difficult and usually impossible to establish for this period is the weekly ‘bread and butter’ activity: the extent of the role of music within services, the method of chanting, or the frequency of anthems and other choir music. For the second half of the musicians, sometimes going back to mid-century, provide invaluable additional evidence, and this chapter owes much to their contributions. Although the music in Anglican churches is a primary concern here, that of the Nonconformists, who were particularly active before World War II, and of the Roman Catholics, also calls for consideration, as does the state and fate of the city's many organs.
This paper derives from a LARR-sponsored forum at the LASA 2003 Congress held in Dallas in March 2003. Targeted at younger scholars, a panel of leading researchers whose early work was shaped by marginality and dependency thinking of the 1960s were invited to reflect cross-generationally about how paradigms analyzing poverty in Latin American cities have shifted from that time to the present. Specifically, each of the authors compares “marginality” as it was construed more than three decades ago with contemporary constructions of poverty and social organization arising from their more recent research. While there are important continuities, the authors concur that the so-called “new poverty” today is very different, being more structural, more segmented and, perhaps paradoxically, more exclusionary than before. Moreover, the shift from a largely patrimonialist and undemocratic state towards one that, while more democratic, is also slimmer and downsized, thereby shifting state intervention and welfare systems ever more to local level governments and to the quasi-private sector of nongovernmental organizations. If earlier marginality theory overemphasized the separation of the poor from the mainstream, today's new poverty is often embedded within structures of social exclusion that severely reduce opportunities for social mobility among the urban poor.
Latin American urban areas often comprise large low-income former shantytown areas that originated as illegal land captures and that have been consolidated through self-build over thirty years or more. Today most of the original households still live in their homes, often alongside adult children (and grandchildren). As part of the Latin American Housing Network study (www.lahn.utexas.org), this article reports on survey research for Mexico and describes the stability and nature of these shared arrangements and the considerable asset value now represented by these properties. Although these properties are often considered patrimonio para los hijos, many consolidator pioneers are aging, so that the issue of property inheritance has become salient, especially for second-generation adult children and their families. However, fewer than 10 percent of owners have wills, and most will die intestate, often having made verbal inheritance arrangements regarding their “estate.” This augurs the rise of a new round of informality of property holding that bears little relation to the national and state legal provisions that actually govern inheritance succession, whether through wills or via intestacy provisions. The article describes the various legal codes that prevail in Mexico relating to marriage and acquisition and assigning of property upon death, and it offers several case scenarios of interfamilial and intragenerational conflict, especially insofar as these relate to gender and social constructions of inheritance rights among the poor.
Although printing music from movable type was the predominant method employed for nearly two hundred years after Ottaviano Petrucci's pioneering work at the opening of the sixteenth century, occasional use of engraving did occur at intervals during this period, beginning in the 1530s with Francesco da Milano's Intabolatura da leuto (c.1535). The technique of engraving copper plates had been in use for reproducing works of art from the mid-fifteenth century and was soon extended to maps and the like, so there was nothing problematic in printing music by this method. The most immediate advantage was that any type of music could be accommodated, so it is not surprising that lute music and keyboard music were the two genres that first made use of it; although it was possible to print such music typographically, the result was rarely elegant. Parthenia (1612/13), described on the title-page as ‘the first musicke that ever was printed for the virginalls’ and engraved by William Hole, marked the appearance of engraved music in England. It was, however, only in the closing decades of the seventeenth century that engraved music came to the fore. One reason for its slow adoption was that copper plates were comparatively expensive, and the hardness of the metal also made it slow to engrave. While this was of minor consequence for single-plate works of art or maps, a music publication with several dozen pages was a different matter. According to Sir John Hawkins, Estienne Roger in Amsterdam around the end of the seventeenth century found that a softer amalgam of copper could make life easier for the engraver, but the real breakthrough came with the discovery about the same time that pewter offered a satisfactory alternative to copper: cheaper and more easily engraved, yet resilient enough to withstand the stresses of a rolling press. Thomas Cross and John Walsh the elder were among the first to adopt it in England, and while the former remained faithful to engraving everything by hand with a graver, the latter embraced an important second innovation, the use of a series of punches to provide the note heads, clefs, dynamic signs, and text, which eased much of the work. This gradually became general practice in the eighteenth century, and it then remained an essentially unchanged method at least of producing the master copy of a page of music until well into the second half of the twentieth century.
Few people would dispute the fact that Corbynism sought to bring about an ideological paradigm shift in British politics. In this respect, Corbynism represented a serious challenge to the neoliberal consensus that has developed in the UK since the 1980s. However, as this chapter will show, beyond this several ambiguities and disagreements remain over the type of ideology that Corbynism came to represent. What labels should we apply to best describe it? Did it represent something substantively new, or was it, as some commentators have suggested, merely harking back to an older style of Labour politics? Within this debate, Corbynism has been variously described as an instance of “left-populism”, as “socialism in the twenty-first century”, as “class-struggle social democracy”, as “Social Democracy in a New Left Garb”, as “democratic socialist”, as “reformism” but “transformative”, and, as “anti-modernizing” by some and a “concrete utopia” by others. Moreover, it has been denounced by some critics as being too radical in its aims and, by others, as not radical enough.
In our attempt here to unpack the character of Corbynite ideology, we begin by highlighting the multiple ways it has been interpreted by both its supporters and its opponents. In doing so, we tease out some key areas of disagreement between commentators. These include debates over the extent of its radicalism, how it relates to the wider family of left ideologies that emerged after the global financial crisis, whether it should be considered part of the contemporary “populist moment” (Mouffe 2018), and how this relates to its democratic socialism. We then use Freeden's (1996, 2003) popular understanding of ideologies to map the character of Corbynism. In doing so, we argue that, although it is possible to identify core elements of Corbynism as a political project, there remained a sufficient amount of ideological ambiguity to give it a “catch-all” appeal within the broad family of left politics. This “leftist catch-allism”, as we refer to it here, meant that Corbynism was able to mobilize a plurality of activists drawn from different leftist traditions. It also goes some way towards explaining the plurality of interpretations that have emerged within the existing literature.