The Young Leibniz and the Ontological Argument

2021 ◽  
Vol 10 (1) ◽  
pp. 47-73
Author(s):  
Osvaldo Ottaviani ◽  

Leibniz considered the Cartesian version of the ontological argument not as an inconsistent proof but only as an incomplete one: it requires a preliminary proof of possibility to show that the concept of ‘the most perfect being’ involves no contradiction. Leibniz raised this objection to Descartes’s proof already in 1676, then repeated it throughout his entire life. Before 1676, however, he suggested a more substantial objection to the Cartesian argument. I take into account a text written around 1671-72, in which Leibniz considers the Cartesian proof as a paralogism and a petition of principle. I argue that this criticism is modelled on Gassendi’s objections to the Cartesian proof, and that Leibniz’s early rejection of the ontological argument has to be understood in the general context of his early philosophy, which was inspired by nominalist authors, such as Hobbes and Gassendi. Then, I take into account the reconsideration of the ontological argument in a series of texts of 1678, showing how Leibniz implicitly replies to the kind of criticism to the argument he himself shared in his earlier works.

2020 ◽  
pp. 66-92 ◽  
Author(s):  
A. E. Abramov ◽  
A. D. Radygin ◽  
M. I. Chernova ◽  
R. M. Entov

This article analyzes the key patterns of the dividend policy and the problem of the “dividend puzzle” in the general context of the development of the stock market in Russia. The article consists of two parts.In the first part we summarize main research trends of dividend policy in modern economic theory (the classical Modigliani—Miller theory of dividend irrelevance, agent and signal hypotheses, the smoothing model, the catering theory, etc.). We emphasize the theoretical analysis of motivation of the largest Russian companies for profit allocation and dividend payout, based on a sample of 236 joint stock companies. Since 2012, a steady increase in dividend payments has been revealed in both private and state-owned enterprises (SOEs). The bulk of dividend payments from SOEs accounts for only 12 major companies. Along with an increase in the market value, dividends have become an important factor in the total return on shares. Under current conditions, the probability of paying dividends depends not only on the size of the company and indicators of its’ financial stability, but also on the presence of the state in the capital of companies. However, the relationship between the probability of paying dividends and state participation in the ownership structure is not universal and can be explained by specific factors that go beyond the classical dividend theories.In the second part we will analyze the patterns of stock market performance and dividend policy of the largest Russian companies, motivation for dividend payouts and special aspects of SOEs policy.


2018 ◽  
Vol 24 (2) ◽  
pp. 135-156
Author(s):  
Alice T. Ott

The first African converts of the Universities' Mission to Central Africa were five freed slaves, who had been given to the mission by the Sultan of Zanzibar in 1864. Their stories provide a microcosm of varying responses to mission Christianity by both clerical and lay Christians. One convert, Arthur Songolo, quickly rejected mission Christianity outright. Three converts embraced the UMCA's primary goal and were trained to serve as missionaries on the African mainland. One of them, subdeacon George Farajallah, died during the cholera epidemic of 1870, before he could be assigned to a mission post. Francis Mabruki served as a missionary, but ultimately left the UMCA, in part due to paternalism in the mission. John Swedi served faithfully his entire life as a deacon on the African mainland and in Zanzibar. Robert Feruzi appropriated the UMCA's goal for lay Christians. He was a reliable employee and consistent Christian throughout his secular career, which included participation in two of Henry Morton Stanley's African expeditions.


2017 ◽  
Vol 9 (1) ◽  
pp. 65-86
Author(s):  
Roslyn Weiss

In his critique of Anselm’s ontological argument for God’s existence, William Rowe introduces the concepts of “magico” and “magican”—defining “magicos” as magicians that do not exist, and “magicans” as magicians that do exist—to help diagnose what may have gone wrong in Anselm’s argument. As I made my way through Rowe’s intriguing article, I found myself waiting for “Godo”—and for “Godan.” I expected Rowe to invoke these counterparts to his “magico” and “magican”—a non-existing God to correspond to his non-existing magician, and an existing God to correspond to his existing magician—to complete his argument. Alas, like Vladimir and Estragon, I waited in vain: neither Godo—nor Godan—ever appeared. In what follows I shall argue that their inclusion in Rowe’s argument would have settled the matter against Anselm far more decisively than do Rowe’s forays into the murky waters of question-begging.


ORL ro ◽  
2016 ◽  
Vol 4 (1) ◽  
pp. 56-59
Author(s):  
Raluca Ioana Teleanu ◽  
Magdalena Sandu ◽  
Eugenia Roza

Melatonin  is a hormone produced by the pineal gland during the night, as a response to the light-darkness variation. The endogenous melatonin levels have a cyclic evolution throughout the entire life. Various roles have been cited such as the in utero developement of the fetus through its action on the placenta, neurons and glial cells, a major role in the regulation of the cyrcadian rhythm, antioxidative, antiinflammatory roles, as well as celullar and umoral immunity modulation. In the European Union, exogenous melatonin has been evaluated by the European Food Safety Authority (EFSA) for reducing sleep onset latency and the conclusion was that it has efficacy studies in this regard.  


2016 ◽  
pp. 15
Author(s):  
Mariana Giaretto ◽  
Victoria Naffa

ResumenEn este trabajo analizamos las relaciones entre tomas de tierras y Estado, en elAlto Valle de Río Negro en Argentina. En un contexto general de especulacióninmobiliaria, por la que se encarecen los precios de alquileres y terrenos, y depolíticas de vivienda selectivas y acotadas, los sectores populares acceden aun espacio en la ciudad mediante tomas de tierras. Frente a estos conflictos,el Estado, en sus diferentes niveles y poderes, despliega una forma deintervención basada en la criminalización de las luchas por tierra y vivienda.Al mismo tiempo, el poder ejecutivo nacional crea la Secretaría de Acceso alHábitat, para posibilitar la intervención política orientada a la regularizaciónde los asentamientos. Sin embargo, esta intervención tiende a reinscribir laproblemática habitacional en el campo político, para reducirla a un conflicto“entre partes”, eludiendo la responsabilidad estatal.Desde un enfoque metodológico cualitativo, seleccionamos como referenteempírico el caso del asentamiento de Villa Obrera en Fiske, Menuco (Gral.Roca), y las técnicas de recolección de datos se basan en fuentes secundarias,como expedientes judiciales y normativa, y en fuentes primarias como son losrelatos de los protagonistas mediante entrevistas individuales y colectivas.Palabras clave: tomas de tierras, Estado, criminalización de los conflictos.Conflicts caused by land occupation and modesof State intervention: analysis of an experience ofAlto Valle in Río Negro (Argentina)AbstractThis paper analyzes the relationship between State and land occupation,at Alto Valle in Río Negro, Argentina. In a general context of real estatespeculation, where rents and land prices are expensive, and a policy ofselective and limited housing, popular sectors can have access to a spacein the city through land occupation. In front of these conflicts, the Statein its different levels and powers, displays a form of intervention basedon the criminalization of struggles for land and housing. At the sametime, the national executive creates the Secretariat of Access to Habitat,oriented to allow political intervention for the regularization of settlements.However, this intervention tends to re-register the housing problems in thepolitical arena, reducing it to a conflict “between parties” and eluding theresponsibility of the State.From a qualitative methodological approach, we selected as empirical referencethe case of the settlement of Villa Obrera in Fiske, Menuco (GeneralRoca). The techniques of data collection are based on secondary sources, suchas policy and legal records, and primary sources as the stories of protagoniststhrough individual and collective interviews.Keywords: land occupation, State, criminalization of conflicts.Conflitos sobre ocupações de terras e modos deintervenção do estado: análise de uma experiênciado Alto Valle do Rio Preto (Argentina)ResumoEste trabalho analisa as relações entre a posse de terra e o Estado, no AltoValle do Rio Preto, na Argentina. Num contexto geral da especulaçãoimobiliária, por qual se encarecem os preços do aluguel e das terras, e depolíticas de habitação seletivas e limitadas, os setores populares acedem aum espaço na cidade através de ocupações de terras. Frente a estes conflitos,o Estado, em seus diferentes níveis e poderes, desenvolve uma forma deintervenção com base na criminalização das lutas pela terra e vivenda. Aomesmo tempo, o poder executivo nacional cria a Secretaria de Acesso àHabitat para possibilitar à intervenção política orientada a regularização dosassentamentos. No entanto, esta intervenção tende a registrar os problemasde habitação no campo político, para reduzi-la a um conflito “entre aspartes”, iludindo a responsabilidade do Estado.A partir de uma abordagem metodológica qualitativa, foi selecionado comoreferência empírica o caso do Assentamento de Villa Obrera em Fiske,Menuco (Gral. Roca), e as técnicas de recolecção de dados são baseados emfontes secundárias, como expedientes judiciais e normativos, e em fontes primárias como são as histórias dos protagonistas através de entrevistasindividuais e coletivas.Palavras-chave: tomada de terras, Estado, criminalização dos conflitos.


2016 ◽  
Vol 10 (2) ◽  
pp. 69-85 ◽  
Author(s):  
Sam MCFARLAND ◽  
Katarzyna HAMER

Raphael Lemkin is hardly known to a Polish audiences. One of the most honored Poles of theXX century, forever revered in the history of human rights, nominated six times for the Nobel PeacePrize, Lemkin sacrificed his entire life to make a real change in the world: the creation of the term“genocide” and making it a crime under international law. How long was his struggle to establishwhat we now take as obvious, what we now take for granted?This paper offers his short biography, showing his long road from realizing that the killing oneperson was considered a murder but that under international law in 1930s the killing a million wasnot. Through coining the term “genocide” in 1944, he helped make genocide a criminal charge atthe Nuremburg war crimes trials of Nazi leaders in late 1945, although there the crime of genocidedid not cover killing whole tribes when committed on inhabitants of the same country nor when notduring war. He next lobbied the new United Nations to adopt a resolution that genocide is a crimeunder international law, which it adopted on 11 December, 1946. Although not a U.N. delegate – hewas “Totally Unofficial,” the title of his autobiography – Lemkin then led the U.N. in creating theConvention for the Prevention and Punishment of the Crime of Genocide, adopted 9 December, 1948.Until his death in 1958, Lemkin lobbied tirelessly to get other U.N. states to ratify the Convention.His legacy is that, as of 2015, 147 U.N. states have done so, 46 still on hold. His tomb inscriptionreads simply, “Dr. Raphael Lemkin (1900–1959), Father of the Genocide Convention”. Without himthe world as we know it, would not be possible.


2019 ◽  
pp. 42-45 ◽  
Author(s):  
D.G. KOMKOV ◽  
R.M. KERTIEV ◽  
N.M. KERTIEVA

Приведены результаты исследований продолжительности и интенсивности использования коров голштинской породы с разным возрастом и живой массой при первом отеле, являющиеся показателями физиологической зрелости и готовности организма к последующему продуктивному периоду жизни. Наиболее продолжительный продуктивный период выявлен у коров с возрастом первого отела 2427 мес., средние значения которых составляют 3,33,4 отела. Указанные группы коров отличаются более высоким уровнем пожизненной продуктивности и интенсивностью использования на единицу времени всей жизни и продуктивного периода. Продуктивное долголетие коров имеет тенденцию к повышению с увеличением массы тела при первом отеле. Наиболее продолжительные сроки хозяйственного использования выявлены у животных с живой массой при первом отеле 450500 кг, продуктивный период которых на 115234 дня, или на 0,40,6 лактаций выше, чем в других анализируемых группах скота. Высокую пожизненную продуктивность (3135 тыс. кг) имеют животные с массой тела более 500 кг при первом отеле. Вместе с тем интенсивный раздой наиболее крупных первотелок с массой тела выше 550 кг сопровождается снижением продолжительности жизни и продуктивного периода использования коров.The article presents the results of studies on the duration and intensity of use of Holstein cows with different age and body weight at the first calving, which are an indicator of physiological maturity and readiness of the organism for the subsequent productive period of life. The longest productive period was revealed in cows with the first calving age of 2427 months, the average values of which are 3.33.4 calving. These groups of cows are distinguished by a higher level of lifelong production and the intensity of use per unit of time of their entire life and productive period. Productive longevity of cows tends to increase with an increase in body weight at the first calving. The longest periods of economic use were found in animals with a live weight at the first calving with in 450500 kg, in which the productive period is 115234 days or 0.40.6 lactations higher than in other analyzed groups of animals. High lifelong productivity (3135 thousand kg) have animals weighing more than 500 kg at the first calving. At the same time, intensive stripping of the largest heifers with a body weight above 550 kg is accompanied by a decrease in the lifespan and productive period of using cows.


2020 ◽  
Author(s):  
Akihiko Ozaki ◽  
Yosuke Onoue ◽  
Anju Murayama ◽  
Taishi Tahara ◽  
Yuki Senoo ◽  
...  

BACKGROUND Rural physician undersupply is a universal concern, leading to sudden physician absenteeism or unavailability on occasion. While media and social networking services may help mitigate these emergencies, information is lacking about their actual contribution in times of physician absenteeism. On December 30, 2016, the director and sole physician of Takano Hospital in Fukushima, Japan, died. The physician’s passing placed many hospitalized patients in danger. This sudden case of physician unavailability, named the Takano Hospital Crisis, provoked massive attention from the general public, in the media and on social media networks such as Twitter. OBJECTIVE The aim of this study was to analyze newspaper articles, tweets and Twitter accounts relating to Takano Hospital Crisis. METHODS Newspaper articles and tweets were searched for keywords associated with Takano Hospital Crisis and its former director between October 2016 and June 2017. We first evaluated the chronological change in the number of articles and tweets, and the number of characters and relevant keywords in the articles. Then tweets and influencers who were popular on the Twitter platform from December 30, 2016 to February 28, 2017, were categorized. RESULTS We assessed 151 newspaper articles and 67,006 tweets. The results show that number of newspaper articles and tweets steeply increased and then diminished within the first month of the incident. The median number of characters in newspapers articles was 436 and the most frequent keyword was medical doctor. There were 753 original tweets that were retweeted more than four times from December 30, 2016 to February 28, 2017. Of these, 245 (32.5%) expressed concern. Notable influencers were journalists, news media outlets, and healthcare professionals that helped with fund raising and providing clinical service in the hospital. CONCLUSIONS Twitter could temporarily function in cases of sudden physician absenteeism to attract volunteers and funding, however, this would not be a long-term solution. In a more general context, a long-term effort of supports from the hospitals themselves and the government will be required to manage the persistent state of physician absenteeism.


Author(s):  
Jacob Stegenga

There are three methodological challenges to measuring the effectiveness of medical interventions: the choice of good measuring instruments, the use of appropriate analytic measures, and the use of a reliable method of extrapolating measures from an experimental context to a more general context. In practice each of these challenges contributes to overestimating the effectiveness of medical interventions. These challenges suggest corrective principles. The instruments employed in clinical research should measure patient-relevant and disease-specific parameters. Effectiveness always should be measured and reported using absolute outcome measures (such as ‘risk difference’), and we should employ caution when interpreting relative outcome measures (such as ‘relative risk reduction’). Extrapolating from research settings to clinical settings should more rigorously take into account possible ways in which interventions can fail to be effective in a target population. Current regulatory standards for drug approval are insufficient to manage these problems of measurement.


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