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The Russo-Japanese War was fought during 1904–1905 between Tsarist Russia and Imperial Japan. The war broke out due to their conflicting interests in the Korean Peninsula and the north-eastern region of China, known then as Manchuria. Both saw the conflict as a zero-sum game in which compromise was a temporary solution. Japan’s objectives were the control of Korea, the seizure of southern Manchuria and the conclusion of the conflict with a peace agreement that would ensure its own long-term presence and interests in Korea and China. Russia’s objectives were the inverse of Japan’s and included the control of Manchuria, seizure of Korea and the expansion of its political and economic sphere to play a pivotal role in the entire region. Japan had far more limited resources and manpower, but it could mobilise its armed forces more quickly and gain the upper hand in the region, at least initially. As an island country, Japan had to control the seas from the outset and limit the duration of the war. The war lasted seventeen months but demonstrated that when strategic objectives are carefully defined and meticulously executed, as was the case with Japan, then the prima facie weaker party may win.
Although the early part of the century involved the Nationalist Party (KMT) campaigns – the Northern Expedition (1926-28) – to reunify China after the collapse of the Qing Dynasty, the history of China’s military strategy in the twentieth century is largely dominated by the activities of the Chinese Communist People’s Liberation Army (PLA). Embroiled in the first civil war with the Nationalists and avoiding annihilation during the latter’s five encirclement campaigns (1927–1937), the PLA under Mao Zedong’s leadership began to develop some of the core ideas of Communist Chinese military strategy – People’s War, and Active Defense. During the anti-Japanese War of Resistance, the Communists and the Nationalists arrived at a temporary truce to fight Japanese invaders (1937–1945). This period was largely marked by stalemate, but still involved millions of casualties, the use of guerrilla warfare, and the movement of millions of troops across China. Mao’s vision of military strategy unfolded with the resumption of the Communist–Nationalist civil war: guerrilla warfare; manoeuvre warfare; a hybrid of conventional and unconventional operations; conventional warfare; and then a war of annihilation, culminating in the Nationalist retreat to Taiwan.
The danger to democratic norms aside, this chapter demonstrates that state government is also a needless source of additional regulation, additional taxation, and inefficient duplication of functions – in short, a waste of taxpayer money and a pointless burden on the citizenry. Yet, many of the specific functions currently performed by state governments are essential. The abolition of state government would therefore require the redistribution of those necessary functions between the national government and the local governments. This chapter demonstrates that such a redistribution would be administratively workable. To show this, it formulates general criteria for deciding which functions should go where and offers illustrations of how those criteria might be applied to specific functions in practice.
Sleep is vital to our existence; it underpins a myriad of brain and bodily functions, and supports optimal functioning across a variety of different domains including cognitive functioning, emotional regulation, tissue repair and growth, and our immune system, among others. It is not surprising, therefore, that when sleep disturbance is experienced it can lead to impairments in performance and functioning. In addition, when sleep and circadian disruption are experienced regularly, such as in the context of insomnia, individuals can be at increased risk of developing a range of physical and mental health disorders including cardiovascular disease, depression, and anxiety. Such findings reinforce the need to address sleep disturbance and also highlight that it is not only sleep duration that is important but also timing and regularity of sleep–wake patterns.
Deep learning (DL) has become the most effective machine learning solution for addressing and accelerating complex problems in various fields, from computer vision and natural language processing to many more. Training well-generalized DL models requires large amounts of data which allows the model to learn the complexity of the task it is being trained to perform. Consequently, performance optimization of the deep-learning models is concentrated on complex architectures with a large number of tunable model parameters, in other words, model-centric techniques. To enable training such large models, significant effort has also gone into high-performance computing and big-data handling. However, adapting DL to tackle specialized domain-related data and problems in real-world settings presents unique challenges that model-centric techniques do not suffice to optimize. In this paper, we tackle the problem of developing DL models for seismic imaging using complex seismic data. We specifically address developing and deploying DL models for salt interpretation using seismic images. Most importantly, we discuss how looking beyond model-centric and leveraging data-centric strategies for optimization of DL model performance was crucial to significantly improve salt interpretation. This technique was also key in developing production quality, robust and generalized models.
We establish bounds for exponential sums twisted by generalized Möbius functions and their convolutions. As an application, we prove asymptotic formulas for certain weighted chromatic partitions by using the Hardy–Littlewood circle method. Lastly, we provide an explicit formula relating the contributions from the major arcs with a sum over the zeros of the Riemann zeta-function.
This chapter first outlines a traditional phonological approach to the description and classification of segments. It introduces the “phoneme,” a notion of structuralism (i.e., the contrastive and distinctive segments of individual languages that form minimal pairs). The approach is a functional one: Phonemes are not only characterized by the sum of their features but also by their concrete allophones. Different kinds of allophonies are introduced with different sounds of German. The second part proposes a system of distinctive features for Standard German. Except for the major class features and the binary feature [±back], consonants and vowels are accounted for by different features. The role of distinctive features in cross-classifying segments as well as in building natural classes is discussed in some detail. Features are represented in a non-linear feature geometry, illustrated in the chapter for individual segments, both simple and complex, and in phonological processes such as assimilation and feature deletion. The chapter also contains a non-exhaustive proposal of how the feature system of German is accounted for in OT.
Early encounters with patients provide a valuable opportunity to understand their presenting complaints and needs. In order to do this effectively, it is important to have a structured approach to evaluating their symptoms. Using a step-by-step approach, this chapter instructs you how to understand a patient’s initial presenting complaints and assess their needs in an initial assessment. This includes setting the scene with the patient, evaluating their insomnia using a structured sleep interview, and using observation to obtain helpful and pertinent clinical information in collaboration with your patient.
Moral injury is the profound psychological distress that can arise from exposure to extreme events that violate an individual’s moral or ethical code; for example, participating in, witnessing, or being subjected to behaviours that harm, betray or fail to help others. Given that the experience of moral transgression is inherent to moral injury-related post-traumatic stress disorder (PTSD), it is important to consider patients’ religious beliefs and formulate how these may interact with their distress. In this article we describe how to adapt cognitive therapy for PTSD (CT-PTSD) to treat patients presenting with moral injury-related PTSD, who identify as religious. Anonymised case examples are presented to illustrate how to adapt CT-PTSD to integrate patient’s religious beliefs and address moral conflicts and transgressions. Practical and reflective considerations are also discussed, including how a therapist’s personal beliefs may interact with how they position themselves in the work.
Key learning aims
(1) To understand the importance of patients’ religious beliefs in the context of moral injury-related distress.
(2) To understand how patients’ religious beliefs can be integrated into Ehlers and Clark’s (2000) model when working with moral injury-related PTSD.
(3) To offer practical adaptations for CT-PTSD to integrate patients’ religious beliefs and practices, including how to set up a consultation with a religious expert in therapy.
(4) To aid therapist reflection on how their personal beliefs interact with how they position themselves in therapeutic work with religious patients.
The chapter explores how Hume’s Essays were received in Germany during the eighteenth century, highlighting the cultural exchange and intellectual shifts of that time. Hume’s influence is analysed in the context of the growing interest in English books and culture in Germany during the eighteenth century, a trend known as ‘Anglophilia’. Hume’s political and economic writings were translated into German shortly after their original publication. His name was held in high regard and his writings were considered to be instructive. But the specifics of cameralism prevented his economic and political essays from having a major impact on German discourse. Nonetheless, new translations continued to appear. In the German reform debate of the late eighteenth century, Hume’s Essays were used to both support the status quo and to advocate for political change. In the early nineteenth century, an academic translation of Hume’s essay was published, acknowledging his contribution to the formation of political economy as a science. By exploring the reception of Hume’s Essays in eighteenth-century Germany, the chapter shows how translations not only played a big role in sharing knowledge during the Enlightenment but also reflected cultural differences.
Chapter 10, A world political problem (June 11 - June 16). This chapter recounts the endgame of the Austrian crisis, while instability spreads to Germany. Norman comes to realize that in reality there is not much the central banks can do, since the real issue is "a world political problem" going all the way back to the Versaille Peace Agreement of 1919, the German war reparations and the allied’s war debts. The International Creditors Committee negotiate in Vienna with the Credit Anstalt and the Austrian government and at the very last minute they succeed in getting guarantee for their deposits, while promising to leave them for at least two years. At the same time, on June 16, negotiations with French bankers over the Austrian bond loans fails, and the Bank of England singlehandedly steps in with a bridge credit to the government. Together, the loan and the standstill agreement stops the Austrian crisis, at least for a while.
Chapter 7 looks at the question of the spherical world picture and the lack of evidence for such an image of the heavens or of the world as a whole in cuneiform sources.
The regulation of electron heat transport in high-$\beta$, weakly collisional, magnetized plasma is investigated. A temperature gradient oriented along a mean magnetic field can induce a kinetic heat-flux-driven whistler instability (HWI), which back-reacts on the transport by scattering electrons and impeding their flow. Previous analytical and numerical studies have shown that the heat flux for the saturated HWI scales as $\beta _e^{-1}$. These numerical studies, however, had limited scale separation and consequently large fluctuation amplitudes, which calls into question their relevance at astrophysical scales. To this end, we perform a series of particle-in-cell simulations of the HWI across a range of $\beta _e$ and temperature-gradient length scales under two different physical set-ups. The saturated heat flux in all of our simulations follows the expected $\beta _e^{-1}$ scaling, supporting the robustness of the result. We also use our simulation results to develop and implement several methods to construct an effective collision operator for whistler turbulence. The results point to an issue with the standard quasi-linear explanation of HWI saturation, which is analogous to the well-known $90^{\circ }$ scattering problem in the cosmic-ray community. Despite this limitation, the methods developed here can serve as a blueprint for future work seeking to characterize the effective collisionality caused by kinetic instabilities.