An Allometric Analysis of the US Urban System: 1960 – 80

1989 ◽  
Vol 21 (4) ◽  
pp. 463-476 ◽  
Author(s):  
Y Lee

In this paper the relationship between urban population size and land area of urbanized areas of the USA in 1960, 1970, and 1980 is analyzed by means of the allometric growth law. The US urban system of each of the above time periods is disaggregated into seven population-size classes and nine geographic regions. A total of fifty-one equations are estimated. Although the statistical results of the allometric equations classified according to population are not satisfactory, the equations classified according to region are superior. Among the major findings for the US urban system are: the existence of the dynamic similarity model, the existence of negative allometry, the lack of support for the hypothesized relationship between the allometric coefficients and the changes in the population density profiles, and that continental USA is divided into regions of ‘negative allometric’ or ‘toward isometric’ and ‘stable’ or ‘unstable’ growth patterns.

2004 ◽  
Vol 34 (1) ◽  
pp. 21-38 ◽  
Author(s):  
KATHLEEN S. SHORT

Individuals and families may encounter difficulty making ends meet on many dimensions and there are a large number of measures designed to identify this group. In general, there is agreement that all of the approaches capture different pieces of the puzzle, while no single indicator can yield a complete picture. In an attempt to understand this multidimensional aspect of poverty, several measures are examined in this article: the official US poverty measure, a relative poverty measure, an experimental measure following recommendations of the US National Academy of Sciences, an index of material hardship, a measure of household debt, and responses to a question about inability to meet expenses. This study uses the 1996 panel of the Survey of Income and Program Participation (SIPP). The SIPP is a longitudinal survey that allows us to examine all of these various indicators for the same people over the period from 1996 to 1998. The study uses regression analysis to assess the relationship between and among the various indicators of economic hardship.


2015 ◽  
Vol 24 (1) ◽  
pp. 18-27 ◽  
Author(s):  
José I. Rojas-Méndez ◽  
Nicolas Papadopoulos ◽  
Mohammed Alwan

Purpose – The overall aim of the present study is to advance research by drawing from this body of work and applying the brand personality construct, which has so far been considered mostly in connection with commercial product brands, in the context of nation branding. More specifically, and also more importantly, the study aims to contribute to research both in nation branding, as well as, indirectly, in the broader domain of brand personality in general, by being one of the first to examine the relationship between individual personality (IP) and nation brand personality (NBP) traits. Design/methodology/approach – The study was conducted via a Web-based questionnaire in Arabic language to Saudi citizens living in Saudi Arabia. The study object was defined as the brand personality of the USA. To make possible the comparison between respondents’ personality and the US brand personality, the Big Five factors typology was used as a proxy (openness to experience, conscientiousness, extraversion, agreeableness and neuroticism). Findings – Results revealed a significant negative impact of the gaps between Saudi’s IP and the US brand personality (i.e. independent variables) upon their attitudes and intentions to behave toward the USA (dependent variables). Results also show that there are no moderating effects of previous visits paid to the USA and having relatives living there. Research limitations/implications – First, data were collected in only one country about perceptions of NBP traits of one other country. Thus, the results should not be generalized to other contexts until further research is done for a mix of both sample and target countries. This must include not only culturally dissimilar countries (as, in this case, Saudi views of the USA), but also countries that are classified as very close in their cultural distance index (i.e. view of the USA by Canadians or of Kuwaitis by Saudis). A second limitation is the proxy used to measure NBP. Future research may alternatively use an NBP scale developed explicitly for countries. Finally, the somewhat higher proportion of female respondents may be an issue to consider in future studies. In this study, the concern, if any, is largely ameliorated by the results, which showed virtually no significant differences between male and female average responses in relation to the Big Five (the only exception was observed with regards to conscientiousness, where males scored slightly lower than females). As was noted above, one may speculate as to potential reasons for the gender distribution in this study – but differences between samples and populations, not only in gender but in any sample characteristics, are quite common in research; therefore, any effort to achieve more balanced sample distributions will be well placed and received. Practical implications – These results should encourage nation brand marketers to closely consider the predominant personality of their target markets, as well as the perceived personality of their own countries (image) when developing international marketing strategies. Such strategic focus should start by deciding what messages to send to the target audience to create in their minds the intended country’s identity by using the appropriate personality traits in communication applications. As this paper has demonstrated, international audiences holding similar personality types, especially in agreeableness, extraversion and conscientiousness, would feel attracted to perform positively towards the country’s offerings (i.e. tourism, investment, job opportunities, immigration, etc.). Originality/value – In this first ever study to explore the relationship between an IP and NBP, a key finding is the confirmation of self-congruity theory.


2009 ◽  
Vol 33 (4) ◽  
pp. 609-632 ◽  
Author(s):  
Fiona Tregenna

Abstract Bank profitability in the USA was extremely high in the pre-crisis period, yet this did not prevent the current crisis. It has become clear that these profits were on shaky grounds and also that bank profits were not used to buttress banks’ capital bases. This paper analyses the effects of structure on profitability from 1994 to 2005. Bank-level panel data are used to test the effects of concentration, market power, bank size and operational efficiency on profitability. Efficiency is not found to be a strong determinant of profitability, suggesting that banks’ high profits during this period were not ‘earned’ through efficient performance. Robust evidence is found that concentration increases bank profitability. This holds even when the largest banks are excluded from the sample, suggesting that the relationship between concentration and profitability acts in a generalised structural way and that the higher profits arising from concentration are at the expense of the rest of the economy. The analysis points to various policy implications relevant to the current crisis, in particular in terms of the legitimacy of expectations of the restoration of pre-crisis profit rates and the need for much stronger regulation of the banking sector, especially in terms of the structure of the sector, pricing behaviour and use of profits.


2003 ◽  
Vol 25 (3) ◽  
pp. 28-31 ◽  
Author(s):  
Michael Duke ◽  
Wei Teng ◽  
Janie Simmons ◽  
Merrill Singer

The lives of Puerto Rican street drug users living on the US mainland are structured by addiction and violence. For some, drugs act as a palliative against the trauma of being exposed to extreme physical or emotional harm. For others, the effects of structural oppression, coupled with the cruel logic of addiction, situates violence just below the surface of lived experience (Singer 1996). This paper will explore the relationship between exposure to violence and drug using behaviors, as well as the degree to which violence becomes a byproduct of those behaviors. Drawing from life history interviews and survey data of drug users in Hartford, Connecticut, we will discuss the ways in which addiction, violent upbringings, and the ruthlessness of narco-capitalism-each operating within the context of Puerto Ricans' status as a colonized people vis a vis the USA-create an atmosphere in which violence becomes a near inevitable part of everyday life. We will also briefly address the complex ethical issues involved in studying violence.


2020 ◽  
Author(s):  
Suzanna Elmassah ◽  
Eslam A.Hassanein

Abstract Personal consumption expenditure has long been a key driver of the US economy, accounting for roughly two-thirds of GDP. Consumer confidence is a significant predictor of consumer expenditure especially in times of shocks. The US has experienced many shocks since 1978; the latest of which is the outbreak of coronavirus. COVID19 has spread from China to the whole world; the pandemic has had far-reaching consequences for global political, social, economic, and financial structures. Consumer confidence is one of the leading economic indicators that provides information on the current and future path of the economy, helps in stimulating economic activity, and predicts change in macroeconomic variables, especially during times of economic and political uncertainty. Our study investigates the relationship between consumption expenditure and consumer confidence in the USA. It analyzes the US consumer confidence response to 11 different shocks since 1978, focusing on COVID-19 shock. Our investigation uses Michigan's monthly Consumer Sentiment Index (CSI) and its five components from January 1978 to April 2020. The paper is unique in quantifying the potential variations in US consumer confidence due to COVID-19 under different scenarios; by providing a projection until August 2021. The goal is to estimate the time needed for recovery and provide guidance to policymakers on ways to restore consumer confidence to tame the impact of coronavirus on effective demand. Under the two more optimistic scenarios we predict that recovery will begin by January 2021. Under the third, less optimistic, scenario we predict that recovery will begin by April 2021.


Author(s):  
Chaitanya Ravi

The US–India nuclear deal, popularly known as the 123 Agreement, announced by George W. Bush and Manmohan Singh on 18 July 2005, was a defining moment in the relationship of the two countries, as also India’s relationship with the non-proliferation regime. The Bush administration’s implied recognition of India’s nuclear weapons, and its abrupt reversal of three decades of sanctions to restore Indian access to nuclear fuel, reactors, and dual-use technologies despite being a non-proliferation treaty non-signatory, led to contentious debates in both India and the USA. A Debate to Remember emphasizes the multifaceted debate in India over the nuclear deal using concepts from science and technology studies. It focuses on the intense contestation over the civil-military mix of India’s separation plan, the competition between the Iran–Pakistan–India pipeline and the nuclear deal, the role of retired nuclear scientists, and the issue of liability that has stalled the full implementation of the nuclear deal. The impact of domestic factors on issues ranging from the civil-military status of breeder reactors to the Indian insistence on no restriction on future nuclear testing in the 123 Agreement is also revealed in this book.


Author(s):  
Mohammad Makki ◽  
Andrew S. Ross

Abstract The diplomatic relationship between the USA and Iran has long been fraught and is characterised by various conflicts and the implementation of economic sanctions. It can be argued that the relationship became even more hostile after Donald Trump was elected president of the US. Trump’s sentiments towards Iran were made public through his behavior on Twitter, both before and after he took over the Presidency. These sentiments have been a mix of negative and sometimes positive views and opinions. This study uses a corpus of Trump’s tweets that explicitly mention ‘Iran’ as the basis of a linguistic analysis and applies to it the analytical framework of appraisal from Systemic Functional Linguistics. More specifically, this study focuses on how he established an Us vs. Them dichotomy. While the analysis shows that Iran has been generally portrayed negatively by Trump, there were several tweets where the Iranian government was appraised positively, too. More interestingly, in those tweets, he seemed to target Obama and democrats and represent them negatively while Iran was assessed in positive terms.


Author(s):  
Irina Onyusheva ◽  
Rungnapa Khamboocha ◽  
Nipaporn Muangmutcha

This paper analyzes the economic consequences of the trade war ongoing between the USA and China as applied to Thailand. The paper mainly focuses on the relationship between the global tariffs’ imposition during this US-China trade war as they directly hit several Thai export products as well as the US-China trade war impact on Thai business via dumping goods into Thailand and Thai products intermediately affected by the tariffs imposed on Chinese or US goods. Recently, it has been illustrated by many researchers and economists that trade wars, especially between those waged between such large economies have adverse economic effects on the global economy and international trade. This paper utilizes PESTEL and also causes and consequences analysis to explain the trends of the US or China exports of goods and services to Thailand, Thai intermediate inputs indirectly affected by the tariffs imposed on Chinese or US goods and dumping goods into Thailand as the latter could intensify domestic competition.


2021 ◽  
Vol 14 (4) ◽  
pp. 142
Author(s):  
Faisal Abbas ◽  
Imran Yousaf ◽  
Shoaib Ali ◽  
Wing-Keung Wong

This research intends to explore the relationship between capital buffer, nominator effect, denominator effect, and economic growth for large insured commercial banks of the USA. The study applied a two-step system Generalized Method of Moment (GMM) framework by taking the unique and comprehensive dataset over the period extending from 2002 to 2018. The research found a countercyclical relationship between a capital buffer and economic growth. In the case of well-capitalized banks, this relationship is more critical than adequately capitalized banks. In the case of low-liquid banks, counter-cyclicality is more significant than high-liquid banks. The results also suggest the pro-cyclical relationship between nominator, denominator, and economic growth. The results remain consistent and robust with the use of the tier-one capital buffer ratio. The findings have implications for regulators to incorporate the counter-cyclicality between the capital buffer and economic growth, while formulating the policies for capital requirements in the future.


2020 ◽  
Vol 14 (2) ◽  
pp. 451
Author(s):  
M Muttaqien

Iran adalah salah satu negara yang angka korban yang terpapar dan meninggal karena COVID-19 termasuk sangat tinggi. Paper ini membahas tentang bagaimana Iran di tengah sanksi Amerika Serikat berusaha menghadapi pandemi ini. Strategi Iran dalam mengatasi pandemi dideskripsikan dengan temuan bahwa negara ini telah menyusun tindakan  sistematis untuk menghadapi wabah dengan mengkombinasikan antara optimalisasi sistem kesehatan yang sudah ada dengan langkah-langkah ekstra-ordinary yang diinisiasi oleh Garda Revolusi Islam Iran. Dalam mengimplementasikan strategi tersebut ada beberapa problem dan tantangan yang harus diatasi yaitu ketidakdisiplinan warga, ketimpangan antara jumlah pasien dan infrastruktur layanan kesehatan, kesulitan menerapkan karantina wilayah, dan sanksi ekonomi AS. Iran juga menghadapi dilemma antara menjaga supaya ekonomi tetap stabil di satu sisi, dan kebijakan yang mengikuti protocol kesehatan demi keselamatan manusia dengan konsekuensi penurunan ekonomi. COVID-19 menjadikan masyarakat Iran bersatu untuk menghadapinya ditengah sanksi dan perseteruan dengan Amerika Serikat. Selain itu, wabah ini juga menyatukan dua negara yang selama ini menjadi rival utama AS yaitu Iran dan China.Kata-Kata Kunci: COVID-19, Iran, Sanksi, Domesstik, Internasional Iran is one of the worst affected countries due to COVID-19. This paper examines how Iran handles the COVID-19 pandemic while coping with imposed sanctions by The USA. Iran’s strategy to overcome the pandemic described in this paper as a systematic action by combining an optimized national health care system and an extra-ordinary action initiated by the Islamic Revolutionary Guard Corps. The strategy is not easy to implement because of the indisciplinary of the Iranian public; the gap between the number of patients and health infrastructures; difficulties in implementing zone quarantine; and economic sanctions conducted by the US. This research also found that Iran has faced a dilemma between maintaining economic stability on the one hand, and implementing health protocols strictly, which have consequences on economic declines. Domestically, this pandemic has united Iranian people in the situation that tension between the US and Iran is high, and internationally this pandemic has strengthened the relationship between Iran and China, the two countries which has a rivalry with the US. Keywords: COVID-19, Iran, Sanction, Domestic, International


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