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Search Results (194)

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Keywords = international public law

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17 pages, 431 KB  
Article
Institutional Resilience and Democratic Sustainability in Post-Transition Europe: Lessons from Romania and Central-Eastern Europe
by Cristian Pîrvulescu
World 2026, 7(1), 7; https://doi.org/10.3390/world7010007 - 9 Jan 2026
Viewed by 215
Abstract
This paper conceptualizes institutional resilience as a core condition of democratic sustainability in post-transition Europe. Building on neo-institutionalist approaches and recent scholarship on democratic resilience, we argue that democracies endure when three capacities align: policy coherence, procedural legitimacy, and civic/monitory participation. Using a [...] Read more.
This paper conceptualizes institutional resilience as a core condition of democratic sustainability in post-transition Europe. Building on neo-institutionalist approaches and recent scholarship on democratic resilience, we argue that democracies endure when three capacities align: policy coherence, procedural legitimacy, and civic/monitory participation. Using a comparative, theory-guided design, we analyze Romania, Poland, Hungary, and Slovakia (2007–2025), triangulating V-Dem/Eurostat indicators with documentary evidence (EU Rule of Law reports, CEPEJ) and interpretive analysis. Romania illustrates “reactive resilience” anchored in judicial independence and civic vigilance; Slovakia shows “restorative resilience” after corruption scandals; Poland exhibits “societal compensatory resilience,” where civic mobilization offsets institutional regression; Hungary demonstrates “instrumental resilience without democracy,” combining administrative capacity with normative decay. We integrate these findings into a three-dimensional model—institutional, normative, and communicative—showing how feedback loops convert crisis into learning. The paper concludes that sustainable democracy depends less on constitutional design alone and more on the institutionalization of learning: redundant veto points, impartial procedures that generate trust, and a monitory public sphere that sustains continuous accountability. For EU policy, the shift from conditionality to capacity (e.g., RRF) can foster endogenous resilience when supranational norms are domestically internalized rather than externally imposed. Full article
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16 pages, 408 KB  
Article
The Historical Transformation and Crisis of the Hyper-Stable Institutional Order of the Traditional Chinese “Saṅgha Forest” (叢林 Conglin) from the 10th to the First Half of the 20th Century
by Dawei Wang and Mingjun Jin
Religions 2026, 17(1), 66; https://doi.org/10.3390/rel17010066 - 7 Jan 2026
Viewed by 194
Abstract
Buddhism has long maintained a fine tradition of establishing and preserving a hyper-stable institutional order. Historically, the Vinaya served as the institutional literature for the monasteries, but it gradually evolved into a sacred symbol of the public identity of the monks and became [...] Read more.
Buddhism has long maintained a fine tradition of establishing and preserving a hyper-stable institutional order. Historically, the Vinaya served as the institutional literature for the monasteries, but it gradually evolved into a sacred symbol of the public identity of the monks and became an object of scholastic study. Subsequently, as part of the internal monastic system, the rules governing monks transferred from being overseen by the Three Monastic Supervisors 三綱制—comprising an Elder (Sthavira), an Administrator (Vihārasvāmin), and a Discipline Master (Karmadāna)—to the Conglin system, a major innovation of Chinese Buddhism. However, the Conglin system, with more than a thousand years of history, had not experienced any major reforms. At the same time, it has also become an institutional culture within Chinese Buddhism, imbued with sacred symbolic significance. The excessive concentration of power inherent in the Conglin system, along with the lack of oversight over certain office-holding monks, represents a notable flaw within this system. The social environment of the time compelled Chinese Buddhism to adjust and reform its internal institutional construction. Only by developing institutions that align with both the vinaya and secular law; while embodying the Buddhist ideals of equality and fairness, could Chinese Buddhism remain in harmony with its era. Full article
(This article belongs to the Special Issue The Evolution of Chinese Buddhist Knowledge Systems)
25 pages, 2047 KB  
Review
Pharmacogenetics in Attention-Deficit/Hyperactivity Disorder (ADHD)
by Ana Cabetas, Antonio del Bosque, María Sainz-Gil and Zoraida Verde
Future Pharmacol. 2026, 6(1), 5; https://doi.org/10.3390/futurepharmacol6010005 - 7 Jan 2026
Viewed by 311
Abstract
Background/Objectives: Attention-deficit/hyperactivity disorder (ADHD) is a highly heritable neurodevelopmental condition, and pharmacogenetic studies aim to clarify interindividual variability in treatment responses and adverse effects. Despite increasing research, the field remains fragmented. This review provides a bibliometric analysis of ADHD pharmacogenetics (2005–2025), identifying [...] Read more.
Background/Objectives: Attention-deficit/hyperactivity disorder (ADHD) is a highly heritable neurodevelopmental condition, and pharmacogenetic studies aim to clarify interindividual variability in treatment responses and adverse effects. Despite increasing research, the field remains fragmented. This review provides a bibliometric analysis of ADHD pharmacogenetics (2005–2025), identifying its intellectual foundations, thematic structure, and global distribution. Methods: A bibliometric search was conducted in Scopus and Web of Science, retrieving 711 documents published between 2005 and July 2025. Data were analyzed with the Bibliometrix R package and Biblioshiny interface, applying bibliometric mapping, Bradford’s Law, co-word analysis, and thematic mapping. Only peer-reviewed journal articles, books, and book chapters were included to ensure scientific rigor. Results: The dataset shows a modest annual growth rate but strong impact, with an average of 29.6 citations per article. Highly cited works converge into four domains: (i) clinical guidelines and pharmacological treatments; (ii) cognitive heterogeneity and subtypes; (iii) neurodevelopmental and genetic mechanisms; (iv) environmental and health-related influences. Geographically, the United States leads with 24.8% of publications, followed by Brazil, China, and European countries. Keyword analysis reveals two main clusters: a clinical–therapeutic pole (methylphenidate, atomoxetine, child) and a genetic–molecular pole (dopamine transporter, SNPs, genotype). Conclusions: ADHD pharmacogenetics shows consolidation with strong clinical and genetic cores but limited integration of comorbidity, adult populations, and non-stimulant treatments. Future research should prioritize multi-center cohorts, multi-omic designs, and stronger international collaboration to advance precision medicine in ADHD. Full article
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30 pages, 1801 KB  
Systematic Review
Systematic Review of Noise Pollution in Morocco: Regulatory Frameworks, Urban Impacts, and Policy Recommendations
by Mohamed El Malki, Ali Khettabi, Felipe A. P. de Figueiredo and Mohammed Serrar
Int. J. Environ. Res. Public Health 2026, 23(1), 73; https://doi.org/10.3390/ijerph23010073 - 4 Jan 2026
Viewed by 291
Abstract
Background: Driven by rapid urbanization, infrastructural development, socio-economic growth, and population increase, noise pollution has become a major public health and environmental policy challenge in Moroccan cities. However, current legislation and enforcement mechanisms remain insufficient to address rising exposure levels and associated health [...] Read more.
Background: Driven by rapid urbanization, infrastructural development, socio-economic growth, and population increase, noise pollution has become a major public health and environmental policy challenge in Moroccan cities. However, current legislation and enforcement mechanisms remain insufficient to address rising exposure levels and associated health risks. Methods: This systematic review followed PRISMA guidelines to examine urban noise levels, health implications, the regulatory frameworks, and policy actions related to noise pollution in Morocco. Various databases were systematically searched (Scopus, Web of Science, Google Scholar), along with reports from international organizations and government bodies for studies published between 2003 and 2025. Eligible documents included peer-reviewed publications and official reports directly addressing Moroccan noise pollution, legislation, urban impacts, or health outcomes. Results: Twenty-three Moroccan studies and additional regional, European, and legislative sources were included. Findings show that average noise levels in Moroccan urban centers generally exceed international safety thresholds and are associated with cardiovascular risks, sleep disturbances, and psychological stress. The regulatory framework suffers from weak enforcement, limited monitoring protocols, and an absence of noise mapping. Tangier, Béni Mellal, Témara, Marrakech, and Casablanca exhibit significant environmental inequalities, particularly in low-income districts. Conclusions: Morocco’s current noise-management system is inadequate to address the growing health and environmental impacts of urban noise. Urgent actions are needed, including a dedicated noise-control law, systematic monitoring, noise mapping, and integration of public-health considerations into environmental governance. Policy reforms must prioritize vulnerable populations and align with international best practices. Full article
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18 pages, 951 KB  
Article
Assessing the Performance and Evolution of China’s Quality Policies from a Value Co-Creation Perspective
by Jing Jiang, Hanting Zhou, Wenhe Chen, Longsheng Cheng and Suli Zheng
Sustainability 2026, 18(1), 323; https://doi.org/10.3390/su18010323 - 29 Dec 2025
Viewed by 301
Abstract
This study develops a value co-creation-oriented analytical framework to evaluate the performance and evolutionary dynamics of China’s national-level quality policies from 1979 to 2023. A comprehensive categorization and scoring system is established to measure policy intensity, coordination, and comprehensiveness. Policy texts are systematically [...] Read more.
This study develops a value co-creation-oriented analytical framework to evaluate the performance and evolutionary dynamics of China’s national-level quality policies from 1979 to 2023. A comprehensive categorization and scoring system is established to measure policy intensity, coordination, and comprehensiveness. Policy texts are systematically coded through content analysis, and indicator weights are determined using the Analytic Hierarchy Process (AHP). The resulting composite effect values are further analyzed through punctuated-equilibrium testing, breakpoint analysis, and a Vector Autoregression (VAR) model to estimate the temporal lag of policy implementation. Based on 10,962 policy documents retrieved from the Peking University Law Database, the results reveal clear evolutionary stages and cyclical upward trends in policy performance since the reform and opening-up, while the insufficient supply of demand-side policies remains a long-term structural weakness. The overall evolution path shows a transition from unilateral government provision centered on public value to dual government–market regulation driven by mixed commercial value, and finally toward pluralistic quality governance under value co-creation. Empirical evidence also indicates that quality policies act as short-term stimulus instruments that generate positive but sectorally differentiated effects across the three major industries. These findings highlight the need to expand policy coverage, enhance coordination and comprehensiveness, and rebalance the supply structure. Strengthening short-term stimulus effects while promoting inclusive, co-governed, and sustainable quality policy systems can further improve long-term effectiveness and provide useful insights for international discussions on value co-creation-based governance. Full article
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21 pages, 262 KB  
Review
Deconstructing Corruption: From (Un)Fixed Definitions to Evolving Perspectives
by Maria Samantha Orozco Menéndez
Laws 2025, 14(6), 88; https://doi.org/10.3390/laws14060088 - 19 Nov 2025
Viewed by 1381
Abstract
This piece examines the persistent conceptual and normative challenges surrounding corruption in international law. It revisits classical definitions and perceptions of corruption, highlighting their influence on contemporary understandings. It critiques the approach of key international instruments, which, despite extensive efforts to combat corruption, [...] Read more.
This piece examines the persistent conceptual and normative challenges surrounding corruption in international law. It revisits classical definitions and perceptions of corruption, highlighting their influence on contemporary understandings. It critiques the approach of key international instruments, which, despite extensive efforts to combat corruption, have refrained from providing a unified definition, opting instead for pragmatic frameworks that result practically on criminal types. The analysis interrogates the traditional classification of corruption into petty and grand forms, acknowledging the growing recognition of institutional corruption as a distinct and equally destructive category. The article also highlights the bias in existing frameworks that focus predominantly on public-sector misconduct, often overlooking harmful practices in the private sector that are closely linked to broader dynamics of institutional corruption. Finally, it engages with the dual characterization of corruption as both a criminal offence and a potential violation of human rights. It argues for a paradigm shift: international law should focus less on definitional debates and more on recognizing the tangible harms of corruption, enabling accountability and reparations for acts that undermine democratic institutions and violate human rights. Full article
(This article belongs to the Special Issue Building a Culture of Integrity: The Role of Anti-Corruption Laws)
32 pages, 2451 KB  
Article
Bibliometric Outlook on Economics and Business Research in Kazakhstan (2019–2023)
by Diana Amirbekova, Targyn Nauryz, Mariyam Taskinbayeva, Madina Bigabatova and Aasso Ziro
Publications 2025, 13(4), 58; https://doi.org/10.3390/publications13040058 - 18 Nov 2025
Viewed by 864
Abstract
This study examines the evolution of Kazakhstani research in the fields of economics and business research. We analyzed Scopus and Dimensions records for 2019–2023 following a PRISMA-like workflow with fully reproducible queries and time-stamped data extractions. We implemented both Bradford’s law of scattering [...] Read more.
This study examines the evolution of Kazakhstani research in the fields of economics and business research. We analyzed Scopus and Dimensions records for 2019–2023 following a PRISMA-like workflow with fully reproducible queries and time-stamped data extractions. We implemented both Bradford’s law of scattering and collaboration analysis. We report both journal-level (Scopus) and publication-level (Dimensions) results as complementary perspectives. Results show the applicability of Bradford’s law of scattering to research publications in Economics, Econometrics, and Finance, Business, Management, and Accounting, and Decision Sciences in Kazakhstan and globally. Collaboration analysis highlights strong regional ties and diversification. Authorship analysis reveals that 85.1% of publications have a Kazakhstan-affiliated first author. Publications were classified into three categories: Kazakhstan-Only (59.0%, N = 1585), International Collaboration with Kazakhstan-led authorship (31.5%, N = 845), and International Collaboration with Non-Kazakhstan-led authorship (9.5%, N = 255). International collaborations had 69–92% higher citation impact than domestic-only publications. The expansion of citing countries doubled in 2023 compared with 2019. Our contributions to bibliometric analysis and science policy are two-fold. First, we provide a comprehensive comparative analysis of publication patterns between Kazakhstani and global journals in economics and business-related fields, revealing specific areas requiring development. Second, we identify collaboration patterns, including citation analysis of studied fields. The analysis revealed strategies that can be applied in other emerging economies. Full article
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20 pages, 291 KB  
Article
Occupational Safety and Injury Risk in Professional Football: The Portuguese Framework in Comparative Perspective
by Miguel Gouveia, Micaela Pinho and Paulo Botelho Pires
Safety 2025, 11(4), 113; https://doi.org/10.3390/safety11040113 - 18 Nov 2025
Viewed by 1058
Abstract
Professional football players face considerable occupational hazards, with injuries posing serious challenges to player safety, club performance, and regulatory oversight. This descriptive study examines the multifaceted implications of Portugal’s Laws No. 48/2023, which formally recognises professional football as a high-risk occupation and strengthens [...] Read more.
Professional football players face considerable occupational hazards, with injuries posing serious challenges to player safety, club performance, and regulatory oversight. This descriptive study examines the multifaceted implications of Portugal’s Laws No. 48/2023, which formally recognises professional football as a high-risk occupation and strengthens the mandatory insurance regime through a major regulatory update. Adopting a qualitative approach, the analysis focuses on Portugal, where the professional football business model heavily relies on player commercialisation, and compares regulatory frameworks in Spain, Germany, England, Italy, France, and Brazil. Findings indicate that Portugal’s legal framework enhances player safety by ensuring comprehensive coverage and improved disability protections, yet also introduces financial pressures on clubs, particularly those with lower economic capacity. These pressures are exacerbated by limited market competition and high insurance concentration, increasing premium costs. Cross-country comparisons reveal persistent disparities in legal standards, insurance scope, and institutional coordination, which complicate risk allocation in an increasingly globalised football market. Notably, Portugal’s high-risk insurance model most closely aligns with France’s hybrid approach, in contrast to fully public schemes seen in countries like Germany and Italy. While complete harmonisation remains challenging, the study identifies key principles to guide policy reform and international cooperation. Overall, the findings advance understanding of occupational risk regulation in sport and offer practical insights for designing effective, equitable, and safety-oriented protection systems for professional athletes. Full article
10 pages, 240 KB  
Review
Personalized Damage Assessment in Aesthetic Surgery: Current Trends and the Italian Scenario
by Federico Amadei, Domenico Tripodi, Claudio Cannistrà, Felice Moccia, Marcello Molle, Mario Faenza and Giuseppe Basile
Healthcare 2025, 13(21), 2821; https://doi.org/10.3390/healthcare13212821 - 6 Nov 2025
Viewed by 807
Abstract
Introduction: Aesthetic surgery addresses subjective desires for morphological enhancement and differs from reconstructive surgery due to its elective, non-therapeutic nature. This distinction introduces complex medico-legal challenges, particularly concerning informed consent, patient expectations, and the legal evaluation of aesthetic damage. Materials and Methods [...] Read more.
Introduction: Aesthetic surgery addresses subjective desires for morphological enhancement and differs from reconstructive surgery due to its elective, non-therapeutic nature. This distinction introduces complex medico-legal challenges, particularly concerning informed consent, patient expectations, and the legal evaluation of aesthetic damage. Materials and Methods: A narrative review was conducted using national legislation, Italian and international clinical guidelines, peer-reviewed literature from PubMed, Scopus, and Web of Science, and Italian Supreme Court rulings. Eight commonly litigated aesthetic procedures were analyzed in terms of clinical indications, public reimbursement criteria, and medico-legal risk. Results: Findings revealed significant variability in medico-legal exposure among procedures. Fully elective interventions such as liposuction and breast augmentation carried the highest litigation risk. Common legal claims included inadequate informed consent, poor psychological assessment, and mismatched expectations. The review emphasizes the need for personalized consent processes and comprehensive preoperative evaluations. Discussion: Italian case law increasingly adopts a “mixed obligation” model for aesthetic surgery, requiring not only technical skill but also a prognostic and relational evaluation of the intervention. Informed consent must be detailed, individualized, and well-documented, as it holds greater legal weight than in therapeutic procedures. Predictive medico-legal tools such as psychological profiling and structured consent protocols are essential for risk mitigation. Conclusions: Modern aesthetic surgery requires a redefined approach to damage assessment that incorporates psychological, relational, and identity factors. In both clinical and surgical practice, an approach tailored to the patient’s psychological profile must be increasingly taken into consideration, both when proposing and carrying out treatments and in medical-legal assessments. A legally and ethically sound practice depends on transparency, documentation, and patient-centered care, especially in the absence of therapeutic indications. Full article
24 pages, 316 KB  
Review
Artificial Intelligence Standards in Conflict: Local Challenges and Global Ambitions
by Zeynep Orhan, Mehmet Orhan, Brady D. Lund, Nishith Reddy Mannuru, Ravi Varma Kumar Bevara and Brett Porter
Standards 2025, 5(4), 27; https://doi.org/10.3390/standards5040027 - 11 Oct 2025
Viewed by 2372
Abstract
This article examines the global efforts to govern and regulate Artificial Intelligence (AI) in response to its rapid development and growing influence across many parts of society. It explores how governance takes place at multiple levels, including international bodies, national governments, industries, companies, [...] Read more.
This article examines the global efforts to govern and regulate Artificial Intelligence (AI) in response to its rapid development and growing influence across many parts of society. It explores how governance takes place at multiple levels, including international bodies, national governments, industries, companies, and communities. The study draws on a wide range of official documents, policy reports, and international agreements to build a timeline of key regulatory and standardization milestones. It also analyzes the challenges of coordinating across different legal systems, economic priorities, and cultural views. The findings show that while some progress has been made through soft-law frameworks and regional partnerships, deep divisions remain. These include unclear responsibilities, uneven enforcement, and risks of regulatory gaps. The article argues that effective AI governance requires stronger international cooperation, fair and inclusive participation, and awareness of power imbalances that shape policy decisions. Competing global and commercial interests can create obstacles to building systems that prioritize the public good. The conclusion highlights that future governance models must be flexible enough to adapt to fast-changing technologies, yet consistent enough to protect rights and promote trust. Addressing these tensions is critical for building a more just and accountable future of AI. Full article
27 pages, 829 KB  
Review
Psychiatric Risk Governance Across Jurisdictions: A Comparative Analysis of Involuntary Treatment, Community Treatment Orders, and Forensic Mental Health Services
by Matteo Lippi, Laura Leondina Campanozzi, Giuseppe D’Andrea, Donato Morena, Francesca Orsini, Felice Marco Damato, Giuseppe Fanelli, Yasin Hasan Balcioglu, Howard Ryland, Thomas Fovet, Birgit Völlm, Javier Vicente-Alba, Charles L. Scott, Paola Frati, Vittoradolfo Tambone and Raffaella Rinaldi
Healthcare 2025, 13(18), 2363; https://doi.org/10.3390/healthcare13182363 - 20 Sep 2025
Cited by 1 | Viewed by 2543
Abstract
Background: This article presents an international comparative review of involuntary psychiatric care, Community Treatment Orders (CTOs), and forensic mental health services, with operational implications for Italy. Italy has a community-based model inspired by the “Basaglia Law” (Law No. 180/1978), emphasizing deinstitutionalization and [...] Read more.
Background: This article presents an international comparative review of involuntary psychiatric care, Community Treatment Orders (CTOs), and forensic mental health services, with operational implications for Italy. Italy has a community-based model inspired by the “Basaglia Law” (Law No. 180/1978), emphasizing deinstitutionalization and continuity of care. Nevertheless, risk governance gaps persist for high-complexity patients, imposing a disproportionate legal and clinical burden on mental health professionals. This group includes individuals who refuse treatment despite meeting criteria for compulsory admission, patients at elevated risk with substantial management complexity, and offenders with a current or suspected psychiatric disorder. Methods: We conducted a comparative legal and policy review across seven jurisdictions (Italy, England and Wales (UK), France, Germany, Spain, the United States, and Canada) to map frameworks for involuntary treatment, forensic services, CTOs (or equivalents), and community-based risk management. We also extracted procedural safeguards, duration and renewal limits, and interfaces with forensic services. Results: CTOs are available in five of the seven jurisdictions (England and Wales, France, Spain, the United States, and Canada) but are absent in Italy and Germany. We propose a three-pillar framework: (1) enforceable outpatient measures, including CTOs; (2) Forensic Psychiatry Units within Local Health Authorities; and (3) oversight boards with judicial, clinical, and social representatives. These components aim to redistribute responsibility, ensure continuity of care, and provide proportional oversight within a least restrictive, graduated system. Conclusions: When narrowly targeted, time limited, and paired with robust safeguards and service-quality standards, CTOs can support adherence and continuity for patients who repeatedly disengage from care. For Italy, integrating this instrument within the three-pillar framework and under independent oversight could strengthen patient rights and public safety, reduce revolving-door admissions, and improve outcomes. Full article
(This article belongs to the Section Healthcare Quality, Patient Safety, and Self-care Management)
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16 pages, 260 KB  
Article
The Effectiveness of International Law on Public Health Inequities Within Ethnicity
by Ogechi Joy Anwukah
Genealogy 2025, 9(3), 94; https://doi.org/10.3390/genealogy9030094 - 9 Sep 2025
Viewed by 1356
Abstract
Ethnicity-based public health inequities continue worldwide, reflecting established failures in law, governance, and social justice. International legal instruments, including the International Covenant on Economic, Social and Cultural Rights (ICESCR), the Convention on the Elimination of All Forms of Racial Discrimination (CERD), and the [...] Read more.
Ethnicity-based public health inequities continue worldwide, reflecting established failures in law, governance, and social justice. International legal instruments, including the International Covenant on Economic, Social and Cultural Rights (ICESCR), the Convention on the Elimination of All Forms of Racial Discrimination (CERD), and the United Nations Declaration on the Rights of Indigenous Peoples (UNDRIP), obligate states to provide equitable access to healthcare and address structural components of inequality. This article critically evaluates the effectiveness of these frameworks in advancing health equity, adopting a black-letter legal approach integrated with the social determinants of health models to assess whether ratified commitments have translated into quantifiable changes for marginalized ethnic populations. Case studies from Canada, Australia, and the United States—high-capacity health systems with entrenched inequities—portray the gap between normative commitments and practical implementation. Findings demonstrate that while international law has shaped discourse, promoted civil society advocacy, and influenced select policy reforms, weak enforcement, reliance on voluntary compliance, and insufficient accountability mechanisms curb its capability to generate consistent outcome-based change. Recommendations include establishing a framework convention on global health equity, strengthening the WHO’s mandate on racial justice, improving ethnic-disaggregated data reporting, and ingraining affected communities in policymaking. Normative strength is apparent, but operational impact remains dependent on an enforceable framework and sustained political will. Full article
28 pages, 3460 KB  
Article
Contributing to Responsible Tuna Management in the Indian Ocean: Updating Catch Reporting for the Sea of Oman and the Arabian Sea
by Dario Pinello, Ahmed Esmaeil Alsayed Alhashmi, Nicola Ferri, Duncan Leadbitter, Mohamed Hasan Ali Al Marzooqi, Mohamed Abdulla Ahmed Almusallami, Sultan Rashed Al Ali, Shamsa Mohamed Al Hameli, Franklin Francis and Shaikha Salem Al Dhaheri
Sustainability 2025, 17(17), 7889; https://doi.org/10.3390/su17177889 - 2 Sep 2025
Cited by 1 | Viewed by 1469
Abstract
The United Arab Emirates (UAE) has a long history and tradition in fishing, yet its role in regional tuna management remains yet to be fully defined. This is the case specifically of tuna species, such as yellowfin, which are highly migratory and require [...] Read more.
The United Arab Emirates (UAE) has a long history and tradition in fishing, yet its role in regional tuna management remains yet to be fully defined. This is the case specifically of tuna species, such as yellowfin, which are highly migratory and require coordinated efforts in the context of a corresponding international governance framework, particularly in ecologically important areas like the Northern Indian Ocean and the Sea of Oman. Data collection and species identification present significant complexities for these species, yet accuracy is crucial for effective conservation and fair allocation of management shares. Although UAE fisheries are partly within the area of competence of the Indian Ocean Tuna Commission (IOTC), the country has only recently begun to give consideration to the process toward participating in this Regional Fisheries Management Organisation (RFMO) which, in turn, would provide for the relevant governance framework for the species examined in this paper. This paper explores the factors behind these developments and assesses their implications for regional tuna management. Based on scientific sampling, we developed estimates of past landing volumes and propose mechanisms for ensuring data collection instrumental to an informed participation by the UAE in the regional tuna management framework under the IOTC. Finally, we explored the implications that this development would have under public international law, departing from the traditional principle “ex facto oritur ius” (Latin: the law arises from facts), which embodies the notion that certain legal consequences attach to particular developments. With regard to the specific developments being addressed by this paper, there could be certain legal consequences for UAE; following the reconstruction of landings and the enhancement of international datasets, we postulate that there would be legal ground for UAE to exercise historical fishing rights and seek a potential allocation of quotas within the framework of IOTC. Full article
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18 pages, 1104 KB  
Article
Empowering Rural Women Agripreneurs Through Financial Inclusion: Lessons from South Africa for the G20 Development Agenda
by Sive Zintle Mbangiswano, Elona Ndlovu and Zamagebe Siphokazi Vuthela
Adm. Sci. 2025, 15(9), 340; https://doi.org/10.3390/admsci15090340 - 30 Aug 2025
Viewed by 1597
Abstract
In the Eastern Cape Province of South Africa, rural women agripreneurs encounter ongoing structural challenges in accessing formal finance, securing land rights, and gaining leadership roles, despite their vital contribution to agriculture and food security. This research combines a thematic review of secondary [...] Read more.
In the Eastern Cape Province of South Africa, rural women agripreneurs encounter ongoing structural challenges in accessing formal finance, securing land rights, and gaining leadership roles, despite their vital contribution to agriculture and food security. This research combines a thematic review of secondary sources from 2018 to 2024 with an embedded case study based on primary qualitative data with women involved in the Citrus Growers Association–Grower Development Company (CGA–GDC) public–private partnership. This dual approach connects local, real-world entrepreneurial experiences with global financial inclusion initiatives, especially the G20 Women’s Empowerment Principles and the G20 Development Agenda. The findings highlight a consistent gap between policy and practice: while frameworks at both national and international levels advocate for women’s financial inclusion, actual implementation in rural agribusiness often neglects gender differences. Women’s engagement is limited by insecure land rights, restricted access to formal credit, male-controlled cooperative management, and insufficient gender-specific data monitoring. Drawing comparative insights from Kenya, India, and West Africa, the study proposes seven interconnected policy suggestions, such as establishing gender-disaggregated data systems, expanding women-led cooperatives, reforming land tenure laws, including entrepreneurial financial literacy in capacity-building programmes, and utilising gender-sensitive digital finance solutions. By connecting grassroots empirical evidence with global policy discussions, this study aims to contribute to academic debates and practical efforts to develop gender-responsive financial ecosystems, thereby boosting women’s economic independence, entrepreneurial activity, and rural progress in South Africa and similar contexts in the Global South. Full article
(This article belongs to the Section Gender, Race and Diversity in Organizations)
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10 pages, 646 KB  
Article
Perceived Public Stigma Toward Psychological Help: Psychometric Validation of the Stigma Scale for Receiving Psychological Help Among Chinese Law Students
by Tingting Wang, Qi Lu Huang and Wei Li
Behav. Sci. 2025, 15(8), 1084; https://doi.org/10.3390/bs15081084 - 10 Aug 2025
Cited by 1 | Viewed by 2435
Abstract
Public stigma toward psychological help-seeking is a critical barrier to mental health service utilization, particularly among university students in culturally conservative and academically demanding disciplines such as law. In China, where Confucian values emphasize social conformity and face preservation, law students may internalize [...] Read more.
Public stigma toward psychological help-seeking is a critical barrier to mental health service utilization, particularly among university students in culturally conservative and academically demanding disciplines such as law. In China, where Confucian values emphasize social conformity and face preservation, law students may internalize societal narratives that associate mental illness with personal weakness, deterring them from accessing psychological services. This study translated and examined the psychometric properties of the Stigma Scale for Receiving Psychological Help (SSRPH) among Chinese law students. A total of 1257 undergraduate law students from five universities in China participated in the study. Exploratory factor analysis (EFA) was conducted on a randomly selected subsample (n = 628) to examine the scale’s factor structure, followed by confirmatory factor analysis (CFA) on a second subsample (n = 629). Results supported a unidimensional factor structure with strong internal consistency (α = 0.82). CFA yielded a good model fit (CFI = 0.97, TLI = 0.95). Significant negative correlations with help-seeking attitudes (r = −0.37, p < 0.001) supported discriminant validity. While further validation is warranted, the Chinese SSRPH appears suitable for assessing perceived public stigma in legal education contexts and may inform future research and program design in stigma reduction and mental health promotion. Full article
(This article belongs to the Section Social Psychology)
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