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S2 Open Access 2019
The Spanish Influenza Pandemic: a lesson from history 100 years after 1918

M. Martini, V. Gazzaniga, Nicola Luigi Bragazzi et al.

Summary In Europe in 1918, influenza spread through Spain, France, Great Britain and Italy, causing havoc with military operations during the First World War. The influenza pandemic of 1918 killed more than 50 million people worldwide. In addition, its socioeconomic consequences were huge. “Spanish flu”, as the infection was dubbed, hit different age-groups, displaying a so-called “W-trend”, typically with two spikes in children and the elderly. However, healthy young adults were also affected. In order to avoid alarming the public, several local health authorities refused to reveal the numbers of people affected and deaths. Consequently, it was very difficult to assess the impact of the disease at the time. Although official communications issued by health authorities worldwide expressed certainty about the etiology of the infection, in laboratories it was not always possible to isolate the famous Pfeiffer’s bacillus, which was, at that time, deemed to be the cause of influenza. The first official preventive actions were implemented in August 1918; these included the obligatory notification of suspected cases and the surveillance of communities such as day-schools, boarding schools and barracks. Identifying suspected cases through surveillance, and voluntary and/or mandatory quarantine or isolation, enabled the spread of Spanish flu to be curbed. At that time, these public health measures were the only effective weapons against the disease, as no vaccines or antivirals were available. Virological and bacteriological analysis of preserved samples from infected soldiers and other young people who died during the pandemic period is a major step toward a better understanding of this pandemic and of how to prepare for future pandemics.

206 sitasi en History, Medicine
DOAJ Open Access 2024
Drivers of wood‐inhabiting fungal diversity in European and Oriental beech forests

Giorgi Mamadashvili, Antoine Brin, Maksym Chumak et al.

Abstract The hyperdiverse wood‐inhabiting fungi play a crucial role in the global carbon cycle, but often are threatened by deadwood removal, particularly in temperate forests dominated by European beech (Fagus sylvatica) and Oriental beech (Fagus orientalis). To study the impact of abiotic drivers, deadwood factors, forest management and biogeographical patterns in forests of both beech species on fungal composition and diversity, we collected 215 deadwood‐drilling samples in 18 forests from France to Armenia and identified fungi by meta‐barcoding. In our analyses, we distinguished the patterns driven by rare, common, and dominant species using Hill numbers. Despite a broad overlap in species, the fungal composition with focus on rare species was determined by Fagus species, deadwood type, deadwood diameter, precipitation, temperature, and management status in decreasing order. Shifting the focus on common and dominant species, only Fagus species, both climate variables and deadwood type remained. The richness of species within the deadwood objects increased significantly only with decay stage. Gamma diversity in European beech forests was higher than in Oriental beech forests. We revealed the highest gamma diversity for old‐growth forests of European beech when focusing on dominant species. Our results implicate that deadwood retention efforts, focusing on dominant fungi species, critical for the decay process, should be distributed across precipitation and temperature gradients and both Fagus species. Strategies focusing on rare species should additionally focus on different diameters and on the conservation of old‐growth forests.

DOAJ Open Access 2024
1874-1875 : la naissance d’une conscience patrimoniale de la mode en France

Maude Bass-Krueger

The first exhibition about the history of costume, the “Musée historique du costume” was inaugurated in France in 1874. One year later, the historian and archaeologist Jules Quicherat (1814-1882) published the first popular book about French dress history, l'Histoire du costume en France depuis les temps reculés jusqu'à nos jours (Hachette, 1875). The exhibition and the book were immensely popular. This article seeks to understand the nascent interest in the material culture of fashion that they both revealed. A closer examination of how the organizers chose to display the objects in the “Musée historique du costume”, as well as the way they instructed the visitor to see what was in the exhibition, reveals the very first institutional framework for public interaction with historical fashion objects. The analysis of the Histoire du costume, and in particular a careful examination of the method used by Quicherat, shows how Quicherat succeeded in integrating fashion objects as sources into a larger historic narrative.

S2 Open Access 2021
Urogenital Schistosomiasis—History, Pathogenesis, and Bladder Cancer

L. Santos, Júlio Santos, M. Gouveia et al.

Schistosomiasis is the most important helminthiasis worldwide in terms of morbidity and mortality. Most of the infections occurs in Africa, which about two thirds are caused by Schistosoma haematobium. The infection with S. haematobium is considered carcinogenic leading to squamous cell carcinoma (SCC) and urothelial carcinoma of the urinary bladder. Additionally, it is responsible for female genital schistosomiasis leading to infertility and higher risk of human immunodeficiency virus (HIV) transmission. Remarkably, a recent outbreak in Corsica (France) drew attention to its potential re-mergence in Southern Europe. Thus far, little is known related to host-parasite interactions that trigger carcinogenesis. However, recent studies have opened new avenues to understand mechanisms on how the parasite infection can lead cancer and other associated pathologies. Here, we present a historical perspective of schistosomiasis, and review the infection-associated pathologies and studies on host–parasite interactions that unveil tentative mechanisms underlying schistosomiasis-associated carcinogenesis.

70 sitasi en Medicine
DOAJ Open Access 2023
Fiscal Mechanism for Stimulating Domestic Production in Some BRICS and European Countries

Vladimir V. Olkhovik, Roman S. Afanasev, Edvardas Juchnevicius et al.

The issue of stimulating domestic production is multifaceted and has a long history of study. At present, it is particularly relevant due to the introduction of restrictive measures, including the termination of supplies of a number of foreign goods to the Russian Federation. As one of the possible measures to increase the production of goods by Russian companies and entrepreneurs, the authors consider a new incentive mechanism of redistribution of value added tax (VAT) received by the federal budget, which implies the direction of the amounts of social grants taking into account the economic activity of the region associated with the production of value added on its territory. The purpose of the article is to justify a new methodology that includes a financial mechanism for redistributing the amounts of VAT in the form of grants to producers, aimed at creating effective budgetary incentives for regions to organize their own production of goods. For this purpose, the experience of VAT distribution in two BRICS countries — Brazil and China — is considered. In addition, the article summarizes effective measures of Germany, France, Greece, Austria and Norway to optimize calculation and payment of VAT, which resulted in economic growth. Discussion. One notable approach proposed by the authors to create a new incentive mechanism for redistribution of VAT revenues to the federal budget. This mechanism involves the allocation of social grants depending on the economic activity of the regions, particularly related to the production of valueadded goods on their territory. This approach represents a departure from traditional fiscal policies aimed at aligning incentives with local production. Results. This research represents a significant contribution to the ongoing debate on stimulating domestic production. By advocating a new mechanism of VAT redistribution and drawing on international experiences, the study seeks to address the challenges posed by restrictive measures and promote economic growth in the Russian Federation.

DOAJ Open Access 2022
Im/migration: Family Strategies and Access to Rights

Catherine Delcroix, Josiane Le Gall, Elise Pape

Objectives: The aim of this issue of the journal is to study the way in which "making a family" influences access to rights and the integration of migrant families in Europe (France, Germany), North America (Quebec) and Djibouti, from Yemen, Syria, Tunisia, Mozambique or Brazil. Similarly, and reciprocally, he is interested in the impact of law on family experiences in a migratory context.Methodology: The ethnographic observation approach, through the cross-referenced collection of life stories and the reconstruction of the life contexts of these migrants (while respecting their words and their anonymity) makes it possible to discover, sometimes in a counter-intuitive way, the effects of the policies on their lives.Results: It often happens that within the same migrant family the legal status of its members is different, and therefore their rights to be regularised or not. As a result, these families - and more broadly, entire groups of migrants - have to carry out important work in terms of information for access to residence rights, work, access to schooling for their children, health, nationality, etc. Nothing is guaranteed a priori.Conclusion: We can imagine how much migration will continue in the face of climate change and political unrest throughout history. It is likely that a policy evaluation approach, or lack thereof, by those affected, will be increasingly necessary in the future.Contribution: This thematic issue of the journal Enfances Familles Générations highlights, from a historical and comparative approach, the impact of the legitimacy of being part of the national community to which these men and women have migrated (Destremau, 2022).

Ethnology. Social and cultural anthropology, The family. Marriage. Woman
DOAJ Open Access 2022
L’archéologie préventive appliquée à l’architecture civile de Metz

Sitâ André, Ivan Ferraresso

Metz was a laboratory for archaeology applied to buildings, a result of heritage emergencies since the mid-nineteenth century, and then thanks to the implementation and coordination of skills made available by the Regional Service of Archaeology (SRA). In the 1980s and 1990s, the city remained an almost unheard-of model for the archaeology of buildings in France. Since 2002, studies carried out by Inrap on buildings for civilian use have, thanks to reliable data, fed research on the architecture of medieval houses of Metz; from the great patrician construction groups to an isolated infilled beam socket, the scale of observation of remains is multiple. Archaeology applied to domestic architecture is also a history of conservation, reuse and reemployment. It is a thought process of latent continuities in know-how, manufacturing methods and modes, urban use and their effects on today’s city. By in situ study and preservation, discoveries are rehabilitated in a dimension that has become timeless, but that is always cultural and, in the future, will undoubtedly be environmental. Knowledge acquired via archaeology must also be reused locally, by creating and filling a data bank and designing a map of technical solutions for the players involved in renovation.

DOAJ Open Access 2022
Relations between the Parsis of India and the East India Company (1601-1858)

Jaleh Tajaldini

1- Abstract The arrival of Britain in India under the cover of the East India Company at the beginning of the 17th century led to the country’s gaining access to the legendary financial resources in the subcontinent. However, with the British presence in India, the Zoroastrian community of this country, known as the Parsis, also underwent a significant economic transformation. Evidence of the increase in the wealth of the Parsis after the establishment of the British East India Company in the subcontinent is that in the 19th and 20th centuries, with the capital possessed, they set up numerous and large factories in India. Were there any special relations in the economic and professional field between the Parsis of India and the company? This is the question that the present study seeks to answer. In this study, using related historical sources, including works about the Parsis of India as well as compilations about the beginning and implementation of the British East India Company, the reasons for the positive perception of the company leaders of the Parsis are examined using a descriptive-analytical approach. Then, by reviewing the professional life of the Parsis, in two important ports of Surat and Bombay, which were the main points of contact with the company’s employees, examples of the Parsis services to the British East India Company and the privileges donated to the Persis leaders by the British are recounted and analyzed. The results show that the Parsis cooperation with the British government representatives in India was not limited to economic fields and that the British also had the assistance of the Zoroastrian community in the political arena. 2- Introduction The followers of Zoroastrianism have been known in India from past times as “Farsi” or “Parsi”. In fact, since the annexation of the western parts of India to the Achaemenid Empire, Iranians travelled to these areas. Also, Iranian Zoroastrians, especially their clerics, travelled to India before Islam to propagate this religion for business. But the issue of their migration to India after Islam is mainly based on a poetic story called "Qeṣṣe-ye Sanjān" composed in 1008 AH (1600 AD). The narrator of the story events has been a trusted Zoroastrian priest to Bahman Keyqubad, the story’s composer. Based on this source, after the Arab invasion of Khurasan during the conquest of Iran, the Zoroastrians of a village called Sanjan in north-eastern Iran took refuge in the nearby mountains and spent a hundred years there. Then, they travelled to the island of Hormuz and lived there for fifteen years. "Dib" on the southern shores of the Indus was their next destination, where they remained for nineteen years. Then, they moved to Gujarat and settled in an area that was reminiscent of the former land of Sanjan, where they also spent five hundred years. Therefore, this group of immigrants left India in the middle of the second century AH. The question is, how did the narrator get these exact time intervals? The editor of Qesse in the introduction of the book indicates the existence of sufficient references to prove the truth of this story. One of the documents he presents is the narration of Baladhuri in "Futuh al-Buldan" in which the people of Kerman fled from the Arab army. But this narration is not applicable to the story of Sanjan. The narration of Baladhuri indicates the escape of a number of people of Kerman in the first half of the first century AH from the Arab army and their departure to Hormuz and the conflict with the Arabs on this island. Baladhuri's words in this regard end with this report: many people of Kerman fled by sea. The existence of many ambiguities in the story caused its rejection by some contemporary Zoroastrian scholars. However, the story says the adventure of the Parsis refugees in which they asked the Hindu ruler of the region to stay in Gujarat, and he agreed to live there under certain conditions. Among his conditions was: In the language, domination, and clothing of women, the Hindu customs should be considered, and also the means of war should be avoided. Accordingly, the Parsis accorded themselves perfectly to the culture and customs of the environment; this point was probably one of the reasons for the British approach toward them. Karaka writes in this regard: “It is a characteristic of the Persis that they have behaved appropriately to other peoples, even though their beliefs and customs are different, and they have adjusted themselves to the conditions, although the conditions were not according to their desire”. Jonathan Duncan, the British ruler of Mumbai at the beginning of the 19th century, criticized Muslims in a conversation with Abdul Latif Shushtari, comparing them to the Parsis, who easily adapted themselves to the custom and culture of the superior people: “What is the reason that wherever the monarchy of the Muslim exists or a sect of Muslims resides, their work is on the harshness ... unlike other religions which are smooth and gentle?" On the events of 986 AH / 1587 AD, Badayuni, the historian of the court of Jalaluddin Akbar has reported the presence of Zoroastrians from the city of Navsari in the Gujarat region in the court of this ruler and writes that this powerful ruler ordered that the fire always be kept lit in a certain place. The report shows that in the late 16th century, the city of Navsari near Surat was the main settlement of Zoroastrians in India and since the agricultural conditions of the region met their job and economic needs, they had not migrated to Surat. Although the Parsis lived in this port before the arrival of the Europeans, the increase in their number was closely related to the arrival of European companies in this city. The endeavour of European countries to penetrate east by sea led the Portuguese Vasco da Gama to become the first European sailor to set foot on Indian soil. Nehru reminds us that this first step was taken after the end of the Muslim rule over Andalusia in 1492 AD. Perhaps from the view of the new Iberian rulers, this move was revenge to conquer the East and spread Christianity in the face of the spread of Islam in Spain. Wasn't that the Portuguese paid special attention to the spread of Christianity in the East, and their violence of the Muslim merchants whom they called the Moors (Spanish Muslims) was unexampled? It is said that the intensity of the Portuguese violence was due to the superiority of the Muslims in trade, while part of it must be attributed to their dissatisfaction with the long Muslim rule in southwestern Europe. From the Europeans’ point of view, the port of Surat, in the south of Gujarat and on the bank of the navigable Tapi or Tapti River, about 30 km far from the Arabian Sea, was suitable for their ships to travel to India. The knowledge of European capitalists of the geographical location of Surat, which was connected with the Far East countries on the one hand and with the Iranian and Arab ports, on the other hand, encouraged them to build several factories in this port from the second decade of the 17th century. Also, the relative proximity of Surat to Deccan and Gujarat, the centers of cotton cultivation and production in India made the Europeans eager to build factories there. Then, the Portuguese, the Dutch, the French, and the British came to this port and each established a trading company in their own name. The location of Surat made this port the most commercially productive one in the 16th, 17th, and 18th centuries and was distinguished among Indian ports. This supremacy continued until the rise of Mumbai in the commercial arena, and then Surat was ignored.  Although the British East India Company arrival in Surat after Portugal managed to repel the enemy with military force, the French financial bankruptcy in Surat automatically led to their removal from the port. The company, which ostensibly bore the name of the company and was in fact the British government with shareholders (mainly military personnel), after a while, took over the country's political destiny in addition to monopolizing India's trade. In this study, the reasons and methods of the East India Company's use of the Parsi society of India, as one of the tools to increase their influence in this land, as well as the type of cooperation of the Parsis with the British and its results for them are discussed. So far, no specific research has been done on this topic; however, numerous works related to the history of the Parsis, as well as writings related to the emergence and decline of the East India Company, contain scattered materials on the subject of this study. The manuscript of “Waqaye-i Hind” by Abdul Latif Shushtari at the beginning of the 19th century, which deals with the events in India, especially the island of Mumbai, has useful and relevant information in this regard. Shushtari, who was on behalf of the company, overseeing the affairs of Iranian businessmen in Mumbai, met daily with the island's Parsi leaders and recorded valuable notes of their relations with the company's leaders. The History of the Parsis, a work from the second half of the 19th century, also contains useful information on the subject of this article, due to the proximity of the author's era to the period of intimate relations between the Persians and the British. An article with the title Pyarsis and the British also contains notes on the relations between the Parsis and the East India Company which Hinnells published in 1978 in the journal of Kama Institute.  3- Materials and Methods  have been the main sources of the author for writing this descriptive-analytical article. 4- Discussion of Results and Conclusions The British East India Company made its way to India later than Portugal, the Netherlands, and France in the early 17th century, but soon overtook European rivals and pursued its capitalist goals singly. In the meantime, the British needed the help of the natives of India to achieve their goals. People with abilities in business, sea voyages, knowledge of local products and facilities, knowledge of local leaders and celebrities, skills in intermediary in transactions and linguistics were among the characteristics of Parsis. On the other hand, the Zoroastrian community of India was eager to cooperate with the East India Company in order to be more successful in business, obtain various goods, and receive support during business trips. Although Parsis did not gain a high position in the company and even export goods directly to Europe, and the company's leaders viewed them as instrumental and a means of profit, in order to continue their cooperation, they were constantly provided with business opportunities and more income. The British acquisition of advanced technology in the textile industry, their progress in land and sea transportation, and entry into Asian markets, relying on the military in the 19th century, also had a positive impact on Parsis business. Their cooperation with the British for more than three centuries provided them with more wealth than they had imagined. The wealth they accumulated in the 18th century and the first half of the 19th century through various means, especially trade, was invested in the industry from the second half of this century. In the second half of the 19th century and the first half of the 20th century, they held half of the managerial and regulatory positions of Mumbai factories. They owned India's first steel plant. Some of them violated some of the moral limitations of Zoroastrianism and followed the British way of life to earn more money. At this time, Britain was their homeland. But the Parsis’ dependence on British capitalists also caused them some harm. In the late 19th century, the center of India's foreign trade was moved from the west of India, the center of Parsis’ gathering and life, to the east by the heads of companies; thus Parsis’ role in trade diminished. Opium exports from India to China also declined. New industries entered the world of Indian industry in 1900, and Parsis paid less attention to these industries due to the continued focus on cotton and fabric production. Together, these factors halted the economic growth of Parsis in the second half of the 20th century compared to the previous century. The Parsis’ close and intimate relations with the British also caused them cultural damages such as the loss of religious identity which has been considered and protested by some followers of this religion.

History (General) and history of Europe, History of Asia
DOAJ Open Access 2021
Risk of lung cancer among women in relation to lifetime history of tobacco smoking: a population-based case-control study in France (the WELCA study)

Jennifer Rusmaully, Nastassia Tvardik, Diane Martin et al.

Abstract Background This study aims to provide new insights on the role of smoking patterns and cigarette dependence in female lung cancer, and to examine differences by histological subtype. Methods We conducted a population-based case-control study in the great Paris area among women including 716 incident cases diagnosed between 2014 and 2017 and 757 age-matched controls. Detailed data on smoking history was collected during in-person interviews to assess intensity and duration of tobacco smoking, time since cessation, smoking habits (depth of smoke inhalation, use of filter, type of tobacco, and type of cigarettes) and Fagerström test for cigarette dependence. The comprehensive smoking index (CSI), a score modelling the combined effects of intensity, duration and time since quitting smoking was determined for each subject. Multivariable logistic regression models were fitted to calculate odds ratios (ORs) and their confidence intervals (95%CI) of lung cancer associated with smoking variables. Results Lung cancer risk increased linearly with intensity and duration of tobacco smoking while it decreased with time since cessation, to reach the risk in never-smokers after 20 years of abstinence. The combined effect of intensity and duration of tobacco smoking was more than multiplicative (p-interaction 0.012). The OR in the highest vs the lowest quartile of CSI was 12.64 (95%CI 8.50; 18.80) (p-trend < 0.001). The risk of small cell or squamous cell carcinomas increased with the CSI more sharply than the risk of adenocarcinomas. Deep smoke inhalation, dark vs blond tobacco, conventional vs light cigarettes, and unfiltered vs filtered cigarettes, as well as having mixed smoking habits, were found to be independent risk factors. Having high cigarette addiction behaviours also increased the risk after adjusting for CSI. Conclusion This study provides additional insights on the effects of tobacco smoking patterns on lung cancer risk among women.

Neoplasms. Tumors. Oncology. Including cancer and carcinogens
DOAJ Open Access 2021
Le globe synoptique et son vernis craquelé : une histoire matérielle de la production et de l’usage des globes terrestres de Coronelli

Martin Vailly

This paper explores the history of Vincenzo Coronelli’s globes, highlighting the material, social and spatial determinants of their making. My study suggests various ways of writing a complex history of these objects by looking at globes as media in a milieu de savoir, that of the geographically curious in the France of Louis XIV. The environment affects the making and use of globes: their owners had to protect the globes from the outrages of time, exhibit them in order to ease their use and decipher their surface by referring to globe manuals. The study of these operations reveals the role of both human and non-human actors, often overlooked by the history of cartography.

History of education
DOAJ Open Access 2021
Forest History—New Perspectives for an Old Discipline

Bernhard Muigg, Bernhard Muigg, Willy Tegel et al.

The scientific field of forest history studies the development of woodlands and their interrelationship with past human societies. During the last decades, the subject has experienced a constant decrease of importance, reflected in the loss of representation in most universities. After 200 years of existence, an insufficient theoretical basis and the prevalence of bibliographical and institutional studies on post-medieval periods have isolated the field and hindered interdisciplinary exchange. Here we present possible new perspectives, proposing wider methodological, chronological, thematic, and geographical areas of focus. This paper summarizes the development of the field over time and recommends content enhancement, providing a specific example of application from Roman France. Furthermore, we introduce a topical definition of forest history. Following the lead of other fields of the humanities and environmental sciences focussing on the past, forest history has to adapt to using other available archives in addition to historical written sources. In particular, historical and archeological timber as well as pollen are essential sources for the study of past forests. Research into forest history can substantially add to our understanding of relevant issues like societal responses to climate change and resource scarcity in the past and contribute to future scenarios of sustainability.

Evolution, Ecology
DOAJ Open Access 2021
The Plankton Lifeform Extraction Tool: a digital tool to increase the discoverability and usability of plankton time-series data

C. Ostle, K. Paxman, C. A. Graves et al.

<p>Plankton form the base of the marine food web and are sensitive indicators of environmental change. Plankton time series are therefore an essential part of monitoring progress towards global biodiversity goals, such as the Convention on Biological Diversity Aichi Targets, and for informing ecosystem-based policy, such as the EU Marine Strategy Framework Directive. Multiple plankton monitoring programmes exist in Europe, but differences in sampling and analysis methods prevent the integration of their data, constraining their utility over large spatio-temporal scales. The Plankton Lifeform Extraction Tool brings together disparate European plankton datasets into a central database from which it extracts abundance time series of plankton functional<span id="page5618"/> groups, called “lifeforms”, according to shared biological traits. This tool has been designed to make complex plankton datasets accessible and meaningful for policy, public interest, and scientific discovery. It allows examination of large-scale shifts in lifeform abundance or distribution (for example, holoplankton being partially replaced by meroplankton), providing clues to how the marine environment is changing. The lifeform method enables datasets with different plankton sampling and taxonomic analysis methodologies to be used together to provide insights into the response to multiple stressors and robust policy evidence for decision making. Lifeform time series generated with the Plankton Lifeform Extraction Tool currently inform plankton and food web indicators for the UK's Marine Strategy, the EU's Marine Strategy Framework Directive, and for the Convention for the Protection of the Marine Environment of the North-East Atlantic (OSPAR) biodiversity assessments. The Plankton Lifeform Extraction Tool currently integrates 155 000 samples, containing over 44 million plankton records, from nine different plankton datasets within UK and European seas, collected between 1924 and 2017. Additional datasets can be added, and time series can be updated. The Plankton Lifeform Extraction Tool is hosted by The Archive for Marine Species and Habitats Data (DASSH) at <span class="uri">https://www.dassh.ac.uk/lifeforms/</span> (last access: 22 November 2021, Ostle et al., 2021). The lifeform outputs are linked to specific, DOI-ed, versions of the Plankton Lifeform Traits Master List and each underlying dataset.</p>

Environmental sciences, Geology
DOAJ Open Access 2019
Holocaust Impiety in 21st Century Graphic Novels: Younger Generations ‘No Longer Obliged to Perpetuate Sorrow’

Lola Serraf

At a time where so few survivors remain alive and the extermination of European Jews is leaving the field of direct human experience, the evolving collective memory of the event is reflected in popular culture. There has recently been a rise in the number of graphic novels written on the subject of the Shoah, particularly in France, Germany, and North America. These works, written by second or even third-generation survivors nearly 80 years after the genocide, approach the event from perspectives that not only further Art Spiegelman&#8217;s path in that they challenge the so-called limits of Holocaust representations, but also open up new discussions on transgenerational trauma. Focusing on two graphic novels, Michel Kichka&#8217;s <i>Deuxi&#232;me g&#233;n&#233;ration: Ce que je n&#8217;ai pas dit &#224; mon p&#232;re</i> (2012) and J&#233;r&#233;mie Dres&#8217; <i>Nous n&#8217;irons pas &#224; Auschwitz</i> (2011), my aim here is to examine the new aspects of trauma that these texts present, more specifically the reluctance to deal with one&#8217;s past, the struggle to bear the weight of the &#8216;sacred&#8217; memory of Auschwitz, and in some cases the lack of interest of the youth in the Shoah. Both these autobiographical texts narrate the story of men who end up making the conscious decision never to go to Auschwitz after finding out about their ancestors&#8217; history, asserting their desire to not solely be defined by their family tragedy. These issues, which fit in with what Matthew Boswell and Joost Krijnen define as &#8216;Holocaust impiety&#8217;, mark a break with graphic novels from the 1970s and 1980s which, as Gillian Rose writes, &#8216;mystified&#8217; the event as &#8216;something we dare not understand&#8217;.

Social Sciences
DOAJ Open Access 2019
Prospective associations of psychosocial work exposures with mortality in France: STRESSJEM study protocol

Allison Milner, Anthony D LaMontagne, Isabelle Niedhammer et al.

Introduction Although evidence has been provided on the associations between psychosocial work exposures and morbidity outcomes in the literature, knowledge appears much more sparse on mortality outcomes. The objective of STRESSJEM is to explore the prospective associations between psychosocial work exposures and mortality outcomes among the national French working population. In this paper, we describe the study protocol, study population, data sources, method for exposure assessment, data analysis and future plans.Methods and analysis Data sources will include: the data from the national SUMER survey from DARES on the evaluation of psychosocial work exposures and the data from the COSMOP programme from Santé publique France linking job history (DADS data from INSEE) and mortality according to causes of death (data from the national death registry, INSERM-CépiDc). A sample of 1 511 456 individuals will form the studied prospective cohort for which data are available on both job history and mortality over the period 1976–2002. Psychosocial work exposures will be imputed via a job-exposure matrix using three job title variables that are available in both the SUMER and COSMOP data sets. Our objectives will be to study the associations between various psychosocial work exposures and mortality outcomes. Psychosocial work exposures will include the job strain model factors as well as other psychosocial work factors. Various measures of exposure over time will be used. All-cause and cause-specific mortality will be studied.Ethics and dissemination Both the SUMER survey and the COSMOP programme have been approved by French ethics committees. Dissemination of the study results will include a series of international peer-reviewed papers and at least one paper in French. The results will be presented in national and international conferences. This project will offer a unique opportunity to explore mortality outcomes in association with psychosocial work exposures in a large national representative sample of the working population.

DOAJ Open Access 2017
Energy and the city

Francesco Martinico

<p>Spatial planning should have a key role in creating urban environments that support less energy-intense lifestyles. A wise consideration of energy in urban land use policies should play an important role considering that, in spite of having a land occupation of 2% and accommodating 50% of the world population, cities produce 80% of GHG emissions and consume 80 % of the world’s resources.</p><p>In the building industry, the green economy is already part of the designers’ approach. This has already produced several energy efficient buildings that also feature high architectural quality. Now is the turn of cities to take the same direction in developing the capacity of formulating sounded urban policies. This will contribute to develop adequate new tools for achieving the energy efficiency goal.</p><p>Climate change concern, the dominating environmental paradigm, is permeating the political scenario worldwide, producing a plethora of formal documents. The most recent one is the COP21 agreed in Paris in December 2015, after the failure of the Copenhagen summit in 2009, and formally signed in April 2016 in New York. The challenge for land use planning now is to translate these general commitments into actions that modify planning practices at all levels, from cities to regions.</p><p>In this field, the current situation is extremely varied. EU has issued several documents focussed mainly at building level but also sustainable transports are considered a key issue. However, a further step is needed in order to increase the level of integration among all land use approaches, including the idea of green infrastructure as a key component of any human settlement. (European Commission, 2013). </p><p>The relationship between urbanisation and climate change has become key worldwide but looking at it from a Mediterranean perspective arises some specificities, considering also the political strain that this part of the world is facing. Both Southern Europe and Middle East and North Africa (MENA) countries will face stronger heat waves in the near future (Fischer and Schär, 2001). Their cities, often poorly planned for decades, will be considerably affected by these temperature upsurges.</p><p>A further complexity arises from the fact that the energy approach in land use plans is not direct. Including energy considerations in urban and regional planning is hardly a technological issue. On the contrary, it requires a deep change in the mind-set of urban planners that have to think at the whole city structure wearing the new “energy glasses”.</p><p>It is possible to trace the energy issue in land use planning back to its history. Spatial planning has a long lasting tradition in defining the shape of urban fabric and the layout of buildings, taking into account the role of the sun and the wind. This tradition has evolved from the seminal experiences of modernist planning to the new sustainable districts, recently developed in several countries like Germany, the Netherlands, France and Sweden,  including the ones described by Peter Hall (2014) in his last book.</p><p>But Mediterranean countries have an even longer tradition in building cities and houses that were capable of facing hot temperatures, without any of the electric appliances that are consuming now a considerable share of energy. As part of this long-established tradition, it is worth remembering the inspiring contribution of the Egyptian architect Hassan Fathy. Looking back at the city history is not a mere exercise based on nostalgia. Making greener Mediterranean cities, as they were up to a recent past, is a complex task but it will become unavoidable in order to guarantee forms of sustainable cooling.</p><p>This is especially true in those cities that have grown considerably in the second half of the 20<sup>th</sup> century, according to high-density models.</p><p>Urban planning has been also concerned with defining the proper mix of land uses, taking into account the key role of transports. Compact and walkable cites, rich of activities, are naturally energy efficient. The lesson taught by Jane Jacobs in her seminal book <em>Death and Life of Great American Cities</em> remains relevant also assuming the energy approach. More recently, emerging planning themes are including the containment and retrofitting of urban sprawl by integrating transport and land use planning. Applying Transit Oriented Development (Tod) principles can induce a change in mobility choices of inhabitants of this unsustainable form of urban settlement, by giving them more mobility opportunities.</p><p>Land use planning will also play a relevant role in accommodating new forms of distributed sustainable energy production in the urban fabric. The recent 2015 Snapshot of Global Photovoltaic Markets, by the International Energy Agency, confirms that economic incentives, like feed-in tariffs, are not enough to guarantee a stable diffusion of this type of energy production. After the phasing out of this incentives there diffusion of PV, reduces considerably. This is case of Italy that installed only 300 MW of PV systems in 2014, compared to 9,3 GW in 2011, 3,6 GW in 2012 and 1,6 GW in 2013. Integrating energy production in the city as part of urban design will increase the opportunity of making sustainable energy production an inherent feature of the city design, including energy production devices in the city realm and using them for retrofitting poor quality buildings.</p><p>In addition, planning tools have to incorporate incentives aimed at favouring higher energy standards, both for new and existing buildings. The costs of these actions should be covered by planning normative tools. Several techniques, like the Carbon Offset Fund in Great Britain, have been tested but there is a great need of new research in this field, at national and local level, since these tools are not easy to implement without taking into account site-specific norms and approaches. In addition, the exclusive use of the market leverage risks to confine these tools to wealthy communities, excluding the poor ones.</p><p>These new attitudes require not only new planning tools but also a great capacity of devising urban policies capable of involving communities with different cultural backgrounds and planning traditions. A wise mixture of tradition and innovation is central to innovate the urban planning discipline in the direction of sustainability.  A lot of <em>mental energy</em> has to be devoted to the difficult but stimulating objective of improving the energy awareness of our cities.</p>

Renewable energy sources

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