978 resultados para Unilateral distalization


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PURPOSE: To evaluate the relative benefits and to identify any adverse effects of surgical interventions for limbal stem cell deficiency (LSCD).

DESIGN: Systematic literature review.

METHODS: We searched the following electronic databases from January 1, 1989 through September 30, 2006: MEDLINE, EMBASE, Science citation index, BIOSIS, and the Cochrane Library. In addition, reference lists were scanned to identify any additional reports. The quality of published reports was assessed using standard methods. The main outcome measure was improvement in vision of at least two Snellen lines of best-corrected visual acuity (BCVA). Data on adverse outcomes also were collected.

RESULTS: Twenty-six studies met the inclusion criteria. There were no randomized controlled studies. All 26 studies were either prospective or retrospective case series. For bilateral severe LSCD, keratolimbal allograft was the most common intervention with systemic immunosuppression. Other interventions included eccentric penetrating keratolimbal allografts and cultivated autologous oral mucosal epithelial grafts. An improvement in BCVA of two lines or more was reported in 31% to 67% of eyes. For unilateral severe LSCD, the most common surgical intervention was contralateral conjunctival limbal autograft, with 35% to 88% of eyes gaining an improvement in BCVA of two lines or more. The only study evaluating partial LSCD showed an improvement in BCVA of two lines or more in 39% of eyes.

CONCLUSIONS: Studies to date have not provided strong evidence to guide clinical practice on which surgery is most beneficial to treat various types of LSCD. Standardized data collection in a multicenter LSCD register is suggested.

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Lipoxins, which are endogenously produced lipid mediators, promote the resolution of inflammation, and may inhibit fibrosis, suggesting a possible role in modulating renal disease. Here, lipoxin A4 (LXA4) attenuated TGF-ß1-induced expression of fibronectin, N-cadherin, thrombospondin, and the notch ligand jagged-1 in cultured human proximal tubular epithelial (HK-2) cells through a mechanism involving upregulation of the microRNA let-7c. Conversely, TGF-ß1 suppressed expression of let-7c. In cells pretreated with LXA4, upregulation of let-7c persisted despite subsequent stimulation with TGF-ß1. In the unilateral ureteral obstruction model of renal fibrosis, let-7c upregulation was induced by administering an LXA4 analog. Bioinformatic analysis suggested that targets of let-7c include several members of the TGF-ß1 signaling pathway, including the TGF-ß receptor type 1. Consistent with this, LXA4-induced upregulation of let-7c inhibited both the expression of TGF-ß receptor type 1 and the response to TGF-ß1. Overexpression of let-7c mimicked the antifibrotic effects of LXA4 in renal epithelia; conversely, anti-miR directed against let-7c attenuated the effects of LXA4. Finally, we observed that several let-7c target genes were upregulated in fibrotic human renal biopsies compared with controls. In conclusion, these results suggest that LXA4-mediated upregulation of let-7c suppresses TGF-ß1-induced fibrosis and that expression of let-7c targets is dysregulated in human renal fibrosis.

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Cross education is the process whereby training of one limb gives rise to enhancements in the performance of the opposite, untrained limb. Despite interest in this phenomenon having been sustained for more than a century, a comprehensive explanation of the mediating neural mechanisms remains elusive. With new evidence emerging that cross education may have therapeutic utility, the need to provide a principled evidential basis upon which to design interventions becomes ever more pressing. Generally, mechanistic accounts of cross education align with one of two explanatory frameworks. Models of the 'cross activation' variety encapsulate the observation that unilateral execution of a movement task gives rise to bilateral increases in corticospinal excitability. The related conjecture is that such distributed activity, when present during unilateral practice, leads to simultaneous adaptations in neural circuits that project to the muscles of the untrained limb, thus facilitating subsequent performance of the task. Alternatively, 'bilateral access' models entail that motor engrams formed during unilateral practise, may subsequently be utilised bilaterally - that is, by the neural circuitry that constitutes the control centres for movements of both limbs. At present there is a paucity of direct evidence that allows the corresponding neural processes to be delineated, or their relative contributions in different task contexts to be ascertained. In the current review we seek to synthesise and assimilate the fragmentary information that is available, including consideration of knowledge that has emerged as a result of technological advances in structural and functional brain imaging. An emphasis upon task dependency is maintained throughout, the conviction being that the neural mechanisms that mediate cross education may only be understood in this context. © 2013 Ruddy and Carson.

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Purpose: To determine relationship between the magnitude of intraocular pressure (IOP) during a fixed-duration episode of acute elevation and the loss of retinal function and structure 4 weeks later in rats.

Methods: Unilateral elevation of IOP (105 minutes) was achieved manometrically in adult Brown Norway rats (9 groups; n = 4 to 8 each, 10–100 mm Hg and sham control). Full-field ERGs were recorded simultaneously from treated and control eyes 4 weeks after IOP elevation. Scotopic ERG stimuli were white flashes (26.04 to 2.72 log cd.s.m^-2). Photopic ERGs were recorded (1.22 to 2.72 log cd.s.m22) after 15 min of light adaptation (150 cd/m2). Relative amplitude (treated/control, %) of ERG components versus IOP was described with a cummulative normal function. Retinal ganglion cell (RGC) layer density was determined post mortem by histology.

Results: All ERG components failed to recover completely normal amplitudes by 4 weeks after the insult if IOP was 70 mmHg or greater during the episode. There was no ERG recovery at all if IOP was 100 mmHg. Outer retinal (photoreceptor) function demonstrated the least sensitivity to prior acute IOP elevation. ERG components reflecting inner retinal function were correlated with post mortem RGC layer density.

Conclusions: Retinal function recovers after IOP normalization, such that it requires a level of acute IOP elevation approximately 10 mmHg higher to cause a pattern of permanent dysfunction similar to that observed during the acute event. There is a ‘threshold’ for permanent retinal functional loss in the rat at an IOP between 60 and 70 mmHg if sustained for 105 minutes or more.

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The fate of missing persons is a central issue in post-conflict societies facing truth recovery and human rights dilemmas. Despite widespread public sympathy towards relatives, societies emerging from conflict often defer the recovery of missing for decades. More paradoxically, in post-1974 Cyprus, the official authorities delayed unilateral exhumations of victims buried within cemeteries in their own jurisdiction. Analysis of official post-1974 discourse reveals a Greek-Cypriot consensus to emphasise the issue as one of Turkish aggression, thus downplaying in-group responsibilities and the legacy of intra-communal violence. We compare the experience of Cyprus with other post-conflict societies such as Spain, Northern Ireland, and Mozambique and explore the linkages between institutions and beliefs about transitional justice. We argue that elite consensus initiates and facilitates the transition to democracy but often leads to the institutionalization of groups opposing truth recovery even for in-group members.

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While transnational antitrust enforcement is becoming only more common, the access to foreign-based evidence remains a considerable practical challenge. This article appraises considerations and concerns surrounding confidentiality, and looks into ways of their possible accommodation. It further identifies and critically evaluates the existing mechanisms allowing for inter-agency confidential information/ evidence sharing in competition law enforcement. The article outlines the shortcomings of the current framework and points to novel unilateral approaches. In the latter regard the focus is devoted to Australia, where the competition agency is empowered to share confidential information with foreign counterparts, also without any underlying bilateral agreement and on a non-reciprocal basis. This solution shows that a pragmatic and workable approach to inter-agency evidence sharing can be achieved.

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The chromosomal speciation hypothesis suggests that irregularities in synapsis, recombination, and segregation in heterozygotes for chromosome rearrangements may restrict gene flow between karyotypically distinct populations and promote speciation. Ctenomys talarum is a South American subterranean rodent inhabiting the coastal regions of Argentina, whose populations polymorphic for Robertsonian and tandem translocations seem to have a very restricted gene flow. To test if chromosomal differences are involved in isolation among its populations, we examined chromosome pairing, recombination, and meiotic silencing of unsynapsed chromatin in male meiosis of simple and complex translocation heterozygotes using immunolocalization of the MLH1 marking mature recombination nodules and phosphorylated histone γH2A.X marking unrepaired double-strand breaks. We observed small asynaptic areas labeled by γH2A.X in pericentromeric regions of the chromosomes involved in the trivalents and quadrivalents. We also observed a decrease of recombination frequency and a distalization of the crossover distribution in the heterozygotes and metacentric homozygotes compared to acrocentric homozygotes. We suggest that the asynapsis of the pericentromeric regions are unlikely to induce germ cell death and decrease fertility of the heterozygotes; however, suppressed recombination in pericentromeric areas of the multivalents may reduce gene flow between chromosomally different populations of the Talas tuco-tuco.

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Comparative research on violent conflict in the Basque Country and Ireland has yielded a sizable body of published academic work. Less well explored is the relationship between conflict transformation and cross-border cooperation in that specific comparative context. This paper provides a comparative examination of Third (not for profit) sector cross-border cooperation as conflict transformation in the Basque (France/Spain) and Irish (UK/Ireland) border regions. To what extent does cross-border cooperation contribute to peacebuilding in the two last violent ethnonationalist conflicts in Western Europe? The comparison is based on the premise that the EU played a different role in both cases. In the Irish case, the EU contributed to the institutionalization of a peace process that included cross-border cooperation between third sector organizations among the policy instruments contributing to conflict transformation. In the Basque case, the unilateral renunciation of violence by ETA (Euskadi eta Askatasuna) in 2010 did not generate the consistent involvement of the EU in a comparable institutional peace process. However, some third sector organizations used EU instruments for cross-border economic, social and cultural cooperation between France and Spain in order to reinforce their cross-border networks, which indirectly impacted on conflict transformation. The effectiveness of this cross-border cooperation for conflict transformation is assessed comparatively. To what extent does this increase in cross-border cooperation “from below” connect to wider institutional and social processes of conflict transformation in Ireland and the Basque Country? Crucially, does the strengthening of cross-border relations on shared issues mollify or sharpen existing identity cleavages? Also considered is the sustainability of such cooperation in these regions in light of the less favourable post-2004 EU funding environment, and the post-2008 economic and political turmoil affecting the relevant EU member states, especially Ireland and Spain.

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Purpose: The recently completed Chinese "Million Cataract Surgeries Program" (MCSP) is among the largest such campaigns ever, providing 1.05 million operations. We report MCSP outcomes for the first time, in Jiangxi, the province with the greatest program output. Methods: Ten county hospitals participating in MCSP were selected in Jiangxi (range of gross domestic product per capita US$743-2998). Each hospital sought to enroll 75 consecutive MCSP patients aged ≥50 years. Data recorded included type of cataract procedure, bilateral uncorrected visual acuity (UCVA) and best-corrected visual acuity (BCVA), and refractive error pre- and ≥50 days postoperatively. Results: Among 715 patients (mean age 72.3±9.1 years, 55.5% female), preoperative UCVA was <3/60 (legally blind) bilaterally in 13.3% and unilaterally in the operated eye in 50.9%. No subjects had UCVA >6/18 preoperatively. Small incision cataract surgery was performed in 92.3% patients. Among 662 patients (92.6%) completing follow-up was ≥ 40 days after surgery, BCVA was ≥6/18 in 80.1%, UCVA was ≥6/18 in 57.1% and UCVA was <3/60 in 2.1%. Older age (p<0.001), female sex (p=0.04), worse refractive error (p=0.02) and presence of intra- (p=0.002) and postoperative surgical complications (p<0.001), were independently associated with worse postoperative UCVA. Based on these results, the MCSP cured an estimated 124,950 cases (13.3%×[100-2.1%]×1.05 million) of bilateral and 502,500 (50.9%×[100-2.1%]×1.05 million) of unilateral blindness. Conclusions: Due to relatively good outcomes and the large number of surgeries performed on blind persons, the sight-restoring impact of the MCSP was probably substantial. © Informa Healthcare USA, Inc.

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PURPOSE:

To report determinants of outcomes and follow-up in a large Mexican pediatric cataract project.

SETTING:

Hospital Luis Sanchez Bulnes, Mexico City, Mexico.

METHODS:

Data were collected prospectively from a pediatric cataract surgery program at the Hospital Luis Sanchez Bulnes, implemented by Helen Keller International. Preoperative data included age, sex, baseline visual acuity, type of cataract, laterality, and presence of conditions such as amblyopia. Surgical data included vitrectomy, capsulotomy, complications, and use of intraocular lenses (IOLs). Postoperative data included final visual acuity, refraction, number of follow-up visits, and program support for follow-up.

RESULTS:

Of 574 eyes of 415 children (mean age 7.1 years +/- 4.7 [SD]), IOLs were placed in 416 (87%). At least 1 follow-up was attended by 408 patients (98.3%) (mean total follow-up 3.5 +/- 1.8 months); 40% of eyes achieved a final visual acuity of 6/18 or better. Children living farther from the hospital had fewer postoperative visits (P = .04), while children receiving program support had more visits (P = .001). Factors predictive of better acuity included receiving an IOL during surgery (P = .04) and provision of postoperative spectacles (P = .001). Predictive of worse acuity were amblyopia (P = .003), postoperative complications (P = .0001), unilateral surgery (P = .0075), and female sex (P = .045).

CONCLUSIONS:

The results underscore the importance of surgical training in reducing complications, early intervention before amblyopia (observed in 40% of patients) can develop, and vigorous treatment if amblyopia is present. The positive impact of program support on follow-up is encouraging, although direct financial support may pose a problem for sustainability. More work is needed to understand reasons for worse outcomes in girls.

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Cross education is the process whereby training of one limb gives rise to increases in the subsequent performance of its opposite counterpart. The execution of many unilateral tasks is associated with increased excitability of corticospinal projections from primary motor cortex (M1) to the opposite limb. It has been proposed that these effects are causally related. Our aim was to establish whether changes in corticospinal excitability arising from prior training of the opposite limb determine levels of interlimb transfer.

We used three vision conditions shown previously to modulate the excitability of corticospinal projections to the inactive (right) limb during wrist flexion movements performed by the training (left) limb. These were: mirrored visual feedback of the training limb; no visual feedback of either limb; and visual feedback of the inactive limb. Training comprised 300 discrete, ballistic wrist flexion movements executed as rapidly as possible. Performance of the right limb on the same task was assessed prior to, at the mid point of, and following left limb training.

There was no evidence that variations in the excitability of corticospinal projections (assessed by transcranial magnetic stimulation (TMS)) to the inactive limb were associated with, or predictive of, the extent of interlimb transfer that was expressed. There were however associations between alterations in muscle activation dynamics observed for the untrained limb, and the degree of positive transfer that arose from training of the opposite limb.

The results suggest that the acute adaptations that mediate the bilateral performance gains realised through unilateral practice of this ballistic wrist flexion task are mediated by neural elements other than those within M1 that are recruited at rest by single-pulse TMS.

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PURPOSE: Glaucoma patients are still at risk of becoming blind. It is of clinical significance to determine the risk of blindness and its causes to prevent its occurrence. This systematic review estimates the number of treated glaucoma patients with end-of-life visual impairment (VI) and blindness and the factors that are associated with this.

METHODS: A systematic literature search in relevant databases was conducted in August 2014 on end-of-life VI. A total of 2574 articles were identified, of which 5 on end-of-life VI. Several data items were extracted from the reports and presented in tables.

RESULTS: All studies had a retrospective design. A considerable number of glaucoma patients were found to be blind at the end of their life; with up to 24% unilateral and 10% bilateral blindness. The following factors were associated with blindness: (1) baseline severity of visual field loss: advanced stage of glaucoma or substantial visual field loss at the initial visit; (2) factors influencing progression: fluctuation of intraocular pressure (IOP) during treatment, presence of pseudoexfoliation, poor patient compliance, higher IOP; (3) longer time period: longer duration of disease and older age at death because of a longer life expectancy; and (4) coexistence of other ocular pathology.

CONCLUSIONS: Further prevention of blindness in glaucoma patients is needed. To reach this goal, it is important to address the risk factors for blindness identified in this review, especially those that can be modified, such as advanced disease at diagnosis, high and fluctuating IOP, and poor compliance.

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OBJECTIVE: Assess efficacy and acceptability of reduced intensity constraint-induced movement therapy (CIMT) in children with cerebral palsy (CP).

METHODS: Single-subject research design and semi-structured interviews. Children (9-11y) with hemiplegia underwent five baseline assessments followed by two weeks CIMT. Six further assessments were performed during treatment and follow-up phases. The primary outcome was the Melbourne Assessment of Unilateral Upper Limb Function (MUUL). Quantitative data were analysed using standard single-subject methods and qualitative data by thematic analysis.

RESULTS: Four of the seven participants demonstrated statistically significant improvements in MUUL (3-11%, p < .05). Two participants achieved significant improvements in active range of motion but strength and tone remained largely unchanged. Qualitative interviews highlighted limitations of the restraint, importance of family involvement, and coordination of treatment with education.

CONCLUSIONS: Reduced intensity CIMT may be effective for some children in this population; however it is not suitable for all children with hemiplegia.

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Au cours des dernières décennies, la recherche scientifique, toutes disciplines confondues, s’est particulièrement intéressée aux phénomènes et questionnements identitaires, notamment en ce qui concerne les groupes et les mouvements minoritaires ou marginaux, mais également en ce qui concerne la question des identités nationales dont se délectent à leur tour politiciens et médias. Véritable reflet d’un des enjeux majeurs de nos sociétés contemporaines, cet intérêt des chercheurs pour les phénomènes identitaires a particulièrement porté sur l’étude des processus de construction et d’affirmation des identités individuelles et collectives, c’est-à-dire sur les modes et les modalités à partir desquels les identités se construisent, se structurent et sont affirmées dans un rapport comparatif, compétitif et dialogique entre le Soi et l’Autre. Si notre compréhension des phénomènes identitaires s’est considérablement précisée et nuancée depuis la publication dans les années 1950, voire antérieurement, des études fondamentales et fondatrices, il n’en demeure pas moins que le concept d’identité, peu importe les multiples terminologies qu’il peut prendre selon les disciplines, pose actuellement de nombreux problèmes et s’avère abondamment galvaudé par certaines recherches récentes qui en font usage sans nécessairement le définir, voire pire, le maîtriser, comme un champ d’études à la mode qu’il convient d’investir afin d’alimenter un lectorat avide de ces questions et problèmes identitaires. Il est vrai que les travaux scientifiques sur les identités paraissent à un rythme soutenu, voire insoutenable tant cette production est abondante et diversifiée. Tour à tour, les identités ethniques, nationales, provinciales, régionales, politiques, culturelles, religieuses, de genre, des groupes ou mouvements minoritaires et marginaux, pour ne nommer que certains des principaux champs d’investigation, ont été interrogées. Loin de se limiter aux sociétés, aux individus et aux collectivités modernes, les identités du passé, toutes périodes confondues, ont également été revisitées à la lumière des outils d’interprétation développés, entre autres, par la sociologie, par l’anthropologie culturelle et par la psychologie sociale. Bien évidemment, les spécialistes de l’Antiquité n’ont pas échappé à cette tendance, partant à leur tour à la conquête de l’identité (ou des identités) grecque(s), romaine(s), barbare(s), judéenne(s) et chrétienne(s). Leur intérêt s’est également porté sur les identités propres aux diverses catégories ou collectivités sociales, politiques, juridiques, religieuses et professionnelles. Toutefois, aborder la question des identités dans l’Antiquité oblige à délaisser les définitions et compréhensions modernes au profit d’un tout autre mode raisonnement identitaire et d’appartenance propre aux sociétés et collectivités anciennes en prenant en considération les dimensions « – emic » et « – etic » que requiert l’utilisation de cette notion afin d’en avoir recours comme une catégorie d’analyse adéquate pour cette période particulière, une approche double et complémentaire trop souvent négligée par une majorité de recherches dont les résultats aboutissent inévitablement à une compréhension anachronique et « distorsionnée » des réalités anciennes, ce qui est d’autant plus le cas en histoire des religions et des communautés socioreligieuses de l’Antiquité en raison de nombreux présupposés idéologiques et théologiques qui dominent encore tout un pan de l’historiographie actuelle. Bien que le concept même d’identité n’existe pas dans l’Antiquité, le terme « identitas » renvoyant à une tout autre réalité, cela ne signifie pas pour autant que les Anciens n’avaient aucune conscience de leur(s) identité(s) et qu’il est impossible pour nous modernes d’étudier les phénomènes et les discours identitaires antiques. Toutefois, cela impose d’aborder ces phénomènes avec une très grande prudence et beaucoup de nuances en évitant les généralisations hâtives et en circonscrivant bien les contextes d’énonciation dans lesquels ces identités se sont construites et ont été affirmées, car, déterminées par les appartenances, la définition de ces identités s’est constamment élaborée et réélaborée sur un rapport Soi / Autre, inclusion / exclusion et a reposé sur des stratégies discursives qui ont varié selon les époques, les lieux, les auteurs et les contextes d’énonciation. L’enjeu principal est alors de comprendre les stratégies et les mécanismes mis en œuvre par les auteurs anciens dans les processus discursifs de construction identitaire de leur groupe d’appartenance. Produit d’une rhétorique, l’étude des identités anciennes oblige donc de distinguer, ce qui est certes complexe, discours et réalités sociales, du moins cela oblige, encore une fois, à une extrême prudence et beaucoup de nuances afin de ne pas confondre discours et réalités. Si les discours ont effectivement pour effet d’ériger des frontières identitaires fixes et imperméables entre les différents groupes et collectivités, l’étude de la réalité vécue par les acteurs sociaux montre que ces frontières étaient plutôt fluides et perméables. Pour étudier la question des identités dans l’Antiquité, plusieurs postes d’observation peuvent êtres sollicités en s’intéressant, notamment, à la formation des identités, à l’identité en auto-définition, à l’identité dans le miroir de l’Autre, à l’impact des interactions entre le Soi et l’Autre sur les définitions identitaires, aux frontières identitaires et à leurs transgresseurs, aux marqueurs identitaires, etc. Ces différentes approches, notamment lorsqu’elles sont combinées les unes aux autres, contribuent à mettre en évidence la complexité des processus de construction des identités dans l’Antiquité dont on reconnaît désormais le caractère fluide, dynamique et discursif, malgré les idéologies de stabilité sur lesquelles elles se sont élaborées et polémiquées. Loin de susciter de vains débats, les études sur les identités dans l’Antiquité permettent d’aborder sous un angle novateur certains acquis de la recherche et de leur apporter de riches nuances. Cependant, interpréter les phénomènes identitaires anciens à partir de paradigmes, de terminologies et de catégories erronés ou anachroniques a également pour conséquence indéniable de parvenir à une relecture « distorsionnée », si ce n’est orientée, du passé, en lui imposant des catégories de définition et d’auto-définition identitaires qui n’existaient pas dans l’Antiquité. C’est pourquoi il importe également, lorsqu’on tente d’aborder ces phénomènes identitaires, de réfléchir sur les paradigmes, les terminologies et les catégories qui sont invoqués par en parler et ne pas hésiter à les remettre en question en refusant d’adhérer, de manière consciente ou inconsciente, à un quelconque modèle préétabli. S’inscrivant dans ce courant réflexif majeur de l’historiographique actuelle sur l’étude des phénomènes de construction identitaire dans l’Antiquité, notre recherche s’intéresse plus particulièrement aux processus de construction de discours d’appartenance dans la littérature judéenne et chrétienne aux Ier et IIe siècles. Sans avoir cherché à circonscrire une définition unique et unilatérale des identités judéennes et chrétiennes de cette période – définition qui s’avère, selon nous, plus utopique que réaliste en raison de la pluralité des mouvements qui composent le « judaïsme » et le « christianisme » anciens et des auteurs qui ont tenté, par leurs discours, de définir et présenter ces identités – ou tenter d’établir une liste de critères à respecter pour délimiter ce qu’est l’identité judéenne ou chrétienne – et, par conséquent, ceux qui peuvent ou non se réclamer d’être Judéens ou chrétiens –, la perspective que nous adoptons dans cette recherche est plutôt de réfléchir à la manière dont il convient d’aborder les identités anciennes et les processus de construction identitaire dans l’Antiquité. Notre réflexion se veut donc d’abord et avant tout une réflexion méthodologique, épistémologique, terminologique et historiographique des questions et phénomènes identitaires dans l’Antiquité, notamment en ce qui concerne les identités judéennes et chrétiennes des Ier et IIe siècles qui sont abordées à partir de divers postes d’observation et dans une perspective socio-historique qui adopte une démarche « – emic » et « – etic ». Notre recherche est divisée en trois parties. La première sera consacrée aux discussions d’ordre « – etic », c’est-à-dire aux réflexions et aux remarques méthodologiques, épistémologiques, terminologiques et historiographies sur l’approche des phénomènes identitaires et de l’identité chrétienne dans l’Antiquité. Le chapitre I présentera des remarques historiographiques sur les travaux récents en histoire du « christianisme » ancien. Dans le chapitre II, nous discuterons des concepts modernes d’« identité », de « race » et d’« ethnie ». Le chapitre III présentera quelques réflexions épistémologiques et méthodologiques sur l’application des théories et concepts modernes aux réalités antiques dans l’approche des phénomènes identitaires. Finalement, le chapitre IV reviendra sur les différents paradigmes interprétatifs qui ont été utilisés dans le débat moderne sur la question du Parting of the Ways. La deuxième partie sera consacrée à la présentation des cadres contextuels du « judaïsme » et du « christianisme » anciens. Le chapitre V dressera un portrait général de la pluralité qui caractérise le « judaïsme » ancien à la période romaine (Ier – IIe siècles) et des principaux marqueurs identitaires des communautés judéennes de cette époque. Dans le chapitre VI, il sera question de l’origine et de l’expansion du « judaïsme chrétien » dans l’Empire romain (Ier – IIe siècles) de même que de la pluralité des courants chrétiens. La troisième partie abordera la dimension « – emic » de notre recherche en s’intéressant aux processus discursifs de construction de l’identité chrétienne à partir de différents postes d’observation. Le chapitre VII analysera la présentation que l’auteur des Actes des apôtres fait des conditions d’entrée et des premières règles de vie dans la communauté chrétienne. Le chapitre VIII s’intéressera aux enjeux liés à la perception et à la représentation du Soi et de l’Autre en tentant de comprendre comment le mouvement chrétien a tenté de s’auto-définir et comment il a été défini par l’Altérité. Finalement, le chapitre IX analysera la manière dont les auteurs chrétiens se sont approprié le terme « γένος » et comment ils l’ont redéfini sur la base de critères cultuels ou religieux afin de présenter l’originalité distinctive du mouvement chrétien.

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Congressional dominance theory holds that not only can the US Congress control the executive, it does. The terrorist attacks on New York and Washington on 11 September 2001 and the Bush administration's ensuing global 'war on terror' suggest a different result. Bush's response to 9/11 signalled not only new directions in US foreign and domestic policy but a new stage in the aggrandisement of presidential power in the United States and a further step in the marginalisation of the Congress. Informed by a constitutional doctrine unknown to the framers of the US Constitution, the Bush administration pursued a presidentialist or 'ultra-separationist' governing strategy that was disrespectful to the legislature's intended role in the separated system. Using its unilateral powers, in public and in secret, claiming 'inherent' authority from the Constitution, and exploiting the public's fear of a further terrorist attack and of endangering the lives of US troops abroad, the administration skilfully drove its legislation through the Congress. Occasionally, the Congress was able to extract concessions - notably in the immediate aftermath of 9/11, when partisan control of the government was split - but more typically, for most of the period, the Congress acquiesced to administration demands, albeit with the consolation of minor concessions. The administration not only dominated the lawmaking process, it also cowed legislators into legitimating often highly controversial (and sometimes illegal) administration-determined definitions of counter-terrorism and national security policy. Certainly, the Congress undertook a considerable amount of oversight during the period of the 'war on terror'; lawmakers also complained. But the effects on policy were marginal. This finding held true for periods of Democratic as well as Republican majorities.