national capacity
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Author(s):  
Zdzisław Śliwa ◽  
Eugeniusz Cieślak

The substantial deterioration of the security environment after Russian aggression against Ukraine and the illegal annexation of Crimea in 2014 was a catalyst for significant changes in the Nordic states’ approach to security and defence. Common perceptions of the Russian threat focused defence policies of the Nordic states around rebuilding total defence capabilities, which would combine military and civilian efforts. Besides these efforts to reinforce national capacity to defend against an armed attack, the Nordic states increased regional security and defence cooperation, along with cooperation with NATO, the EU and the United States. The article explores the developments in defence policies of the Nordic states that were a result of changes in the security environment caused by Russian aggression against Ukraine and the illegal annexation of Crimea in 2014. It tries to discuss differences in national threat assessment, and then compare and contrast unique national approaches to defence policies that were adopted by the Nordic states. The conclusion conceptualizes unique features of the Nordic approach to defence stemming from the common threat to their security.


2021 ◽  
Vol 5 ◽  
Author(s):  
Ngonidzashe Chirinda ◽  
Chrispen Murungweni ◽  
Addmore Waniwa ◽  
Justice Nyamangara ◽  
Aziza Tangi ◽  
...  

The Zimbabwean dairy industry is massively underperforming, as evidenced by a reduction in milk yield from 262 million liters in 1990 to <37 million liters in 2009 and a steady but slow increase to 82 million liters in 2021. The current demand for milk in Zimbabwe stands at 130 million liters, and there is a national capacity for processing 400 million liters per annum. This study used literature, stakeholder inputs and expert knowledge to provide a perspective on practical options to reduce the national milk deficit and, simultaneously, accelerate the transition to a sustainable dairy value chain in Zimbabwe. Following a discussion on the key barriers and constraints to developing the milk value chain, we explored opportunities to improve the performance of the underperforming smallholder and medium-scale dairy farmers. Specifically, we discussed innovative management, creative policy instruments and alternative technological options to maximize milk production in Zimbabwe. We also highlight the need for an inclusive and creatively organized dairy value chain to optimize stakeholder linkages and improve information flow and equity. Examples of crucial investments and incentive structures for upgrading the existing value chain and monitoring greenhouse gas emissions and carbon uptake are discussed. Furthermore, the socio-economic effects (i.e., profitability, women empowerment and employment creation), milk quality, safety and traceability issues linked to a better organized and performing dairy value chain are highlighted.


2021 ◽  
Vol 917 (1) ◽  
pp. 012041
Author(s):  
Sumardi ◽  
N K Kartikawati ◽  
Prastyono ◽  
A Nirsatmanto ◽  
A Rimbawanto

Abstract Melaleuca cajuput sub sp cajuput is an indigenous species in Indonesia which primarily used for the cajuput oil industry. The demand for cajuput oil is reported at around 3,500 tons/year, while the national capacity production is only around 600 tons years−1 due to lack of grower interest in planting and low productivity of the existing plantations. Following the success of the genetic improvement of cajuput in which oil yield and cineole content are improved, carried out by CFBTI, a program to increase oil production through developing plantations using genetically improved seeds was developed in six provinces. Five small-growers and one company were involved in the program covering 35 ha and 2000 ha of a plantation, respectively. This paper aims to report the progress of the program by focusing on the impact of the improved seed and people’s participation in developing cajuput plantations. The paper also discusses the projected impact for further development of the plantations, including government policy to support increased national production of cajuput oil as well as ensuring the market. The results showed that oil productivity varied among small-grower sites ranging from 93.75 to 171.6 kg ha−1 year−1, while for the company it could be increased to reach oil productivity of 175.5 kg ha−1 year−1 through innovative technology either in the plantation or in the distillation process. As compared to the previous system using ordinary un-improved seed, the oil productivity in the program increased around 62 – 116 %. The program also revealed that the cajuput industry could be managed effectively and efficiently while maintaining the sustainability and continuity of high oil production so that Indonesia will become self-sufficient in cajuput oil.


2021 ◽  
pp. 39-76
Author(s):  
Christine R. Martell ◽  
Tima T. Moldogaziev ◽  
Salvador Espinosa

This chapter tests the argument that information resolution is needed for subnational government capital markets by focusing on nationwide information resolution institutions and how they bear upon the activity and size of subnational government capital markets. It presents evidence how contractibility— information transparency, extent of disclosure, and regulatory quality—impact the size of subnational government debt. The analysis establishes that national capacity to resolve information problems in the credit system affect subnational borrowing, other fundamental institutions held constant. This analysis addresses the questions: What aspects of information resolution matter? How does information resolution affect the size of subnational government capital markets?


2021 ◽  
Vol 0 (0) ◽  
Author(s):  
Aaron James

Abstract Matias Risse and Gabriel Wollner’s On Trade Justice largely neglects the role of money and central banking in ‘trade fairness.’ This article rehearses why J. M. Keynes thought money and global central banking matters for national capacity, and suggests that this helps answer Risse and Wollner’s chief objection to Aaron James’s Fairness in Practice.


2021 ◽  
Vol 5 (2) ◽  
pp. 185
Author(s):  
Nabyla Humaira ◽  
Adwani Adwani ◽  
M. Yakub Aiyub Kadir

The concept of ‘complete and exclusive sovereignty as defined in international and national law remains poses challenges, especially concerning the effort of Indonesia in taking over the Flight Information Region (FIR) from the Singapore context. The management of FIR by Singapore over the Riau Islands of Indonesia was begun during the British colonial period over Malay territory, which partly became a sovereign state of Singapore in 1965. However, under the syndrome of post-colonialism Indonesia has legalized it through the 1995 bilateral agreement between Indonesia and Singapore. On the other hand, since independence, Indonesia has gradually initiated to take over the FIR until the peak time of the 2015 Presidential Instruction which explicitly orders to take over the FIR of Singapore at the latest in the next four years (2015-2019). However, until the end of 2020, there had been no significant progress. This paper critically investigates such failure within the evolving concept of ‘sovereignty through the Third World Approach to International Law (TWAIL) paradigm in terms of the global justice system. It is proved that the meaning of  ‘sovereignty in postcolonial states remains a political rhetoric as also known as ‘negative sovereignty’. Hence, this paper contributes to clarifying the meaning of sovereignty in the Indonesian context, so that a new awareness arises to increase the national capacity to take over FIR from Singapore, and hopefully, the ‘complete and exclusive’ meaning of sovereignty can be perceived in near future, for the maximum benefit of people in Indonesia.


Pirate Lands ◽  
2021 ◽  
pp. 98-118
Author(s):  
Ursula Daxecker ◽  
Brandon Prins

This chapter models and empirically tests the cross-national correlates of contemporary commerce raiding. The chapter theoretically examines how state capacity at the center influences the rate of pirate attacks in the territorial waters and Exclusive Economic Zones of states. But it also recognizes that several other conditions help drive ship attacks, including privation, target opportunity, armed conflict, and the labor supply. The empirical models control for these factors when assessing cross-national and over-time variation in maritime piracy. Using multiple measures of state capacity, the chapter shows that pirates gravitate toward states that are weak at the center. It also finds that countries with larger populations, longer coastlines, proximity to maritime choke points, and poor economic conditions witness more pirate attacks. The last section discusses how to move from national capacity in the analyses presented in this chapter to subnational capacity in the next two chapters.


Pirate Lands ◽  
2021 ◽  
pp. 47-74
Author(s):  
Ursula Daxecker ◽  
Brandon Prins

This chapter presents the theoretical argument. It argues that national capacity is important in establishing the equilibrium level of piracy acceptable to the state. In weak or failed states, national governments are either unable or unwilling to counter piracy effectively, while more capable states have sufficient capacity to counter pirates on land and in coastal waters. Yet despite the importance of overall capacity in creating permissive conditions for piracy, it is argued that local governance determines the incidence and organization of piracy. In particular, organized piracy needs access to infrastructure and markets, suggesting that areas with some economic governance will be most attractive to pirates. Furthermore, pirates look for weakly governed areas where opportunities for collusion are plentiful. These expectations should hold most strongly for more organized forms of maritime piracy, since spontaneous, short-term opportunistic attacks could still occur in weak or strong areas.


2021 ◽  
Vol 30 (3) ◽  
pp. 20-26
Author(s):  
Laura Janet Pizer Gueron ◽  
MaryAnn De Ruiter

Introduction: Literature about treatment of survivors of torture tends to focus on counseling and primary medical care. There are fewer published articles about the utilization of physiotherapy at treatment centers for survivors of torture and other forms of trauma. Methods: Lists were compiled of about 169 treatment centers receiving funding from the United National Voluntary Fund, 150 from the International Rehabilitation Council for Torture Victims, and another 40 treatment centers in the United States through the National Capacity Building Project. A survey about utilization of physiotherapy at treatment centers for survivors was created which included questions about the utilization of physiotherapy, treatment modalities provided by physiotherapists, other professionals working at the centers, perceived barriers to providing physiotherapy and interest in collaboration as a global physiotherapy community.  Surveys were emailed to centers in French, Spanish and/or English. Results: 87 responses were received, for a response rate of 43% (87 of 200 emails sent). Approximately 30% of centers report that their clients have no access to physiotherapy, with one third of the centers having physiotherapy on staff (in contrast with 85% of survey respondents having psychotherapy/counseling on staff, 73% having social work on staff and 55% primary medicine). About one third of responding torture treatment programs reported being able to refer to physiotherapists outside of their centers. Therapeutic exercise, manual therapy, massage, and group activities and exercises were the most commonly reported treatment modalities provided by physiotherapists. Lack of funds or resources and shortage of physiotherapy personnel were perceived as being the biggest challenges limiting clients’ access to physiotherapy. Twenty-nine of the respondents (33%) were physiotherapists, and of these, 90% reported being interested in collaborative activities with other physiotherapists working with survivor of torture.


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