Friday, May 10, 2019

Revolutionaries in societies that used 1/4 as much energy as we do thought communism right around the corner; let's get the abundance that matters (everyone be free to pursue learning, play, sport, amusement, companionship, & travel)



We cannot legislate and spend our way out of catastrophic global warming. Jasper Bernes. Commune, Spring 2019. https://communemag.com/between-the-devil-and-the-green-new-deal/

Check also Not only is animal-source food wrong, plant-source food is wrong too... Let's transition to house flies, funghi, mealworm beetles and algae:

Tzachor, A., Richards, C.E. & Holt, L. Future foods for risk-resilient diets. Nat Food (2021). May 13 2021. https://www.bipartisanalliance.com/2021/05/not-only-is-animal-source-food-wrong.html


From space, the Bayan Obo mine in China, where 70 percent of the world’s rare earth minerals are extracted and refined, almost looks like a painting. The paisleys of the radioactive tailings ponds, miles long, concentrate the hidden colors of the earth: mineral aquamarines and ochres of the sort a painter might employ to flatter the rulers of a dying empire.

To meet the demands of the Green New Deal, which proposes to convert the US economy to zero emissions, renewable power by 2030, there will be a lot more of these mines gouged into the crust of the earth. That’s because nearly every renewable energy source depends upon non-renewable and frequently hard-to-access minerals: solar panels use indium, turbines use neodymium, batteries use lithium, and all require kilotons of steel, tin, silver, and copper. The renewable-energy supply chain is a complicated hopscotch around the periodic table and around the world. To make a high-capacity solar panel, one might need copper (atomic number 29) from Chile, indium (49) from Australia, gallium (31) from China, and selenium (34) from Germany. Many of the most efficient, direct-drive wind turbines require a couple pounds of the rare-earth metal neodymium, and there’s 140 pounds of lithium in each Tesla.

[...]

It’s not clear we can even get enough of this stuff out of the ground, however, given the timeframe. Zero-emissions 2030 would mean mines producing now, not in five or ten years. The race to bring new supply online is likely to be ugly, in more ways than one, as slipshod producers scramble to cash in on the price bonanza, cutting every corner and setting up mines that are dangerous, unhealthy, and not particularly green. Mines require a massive outlay of investment up front, and they typically feature low return on investment, except during the sort of commodity boom we can expect a Green New Deal to produce. It can be a decade or more before the sources are developed, and another decade before they turn a profit.

Nor is it clear how much the fruits of these mines will help us decarbonize, if energy use keeps climbing. Just because a United States encrusted in solar panels releases no greenhouse gases, that doesn’t mean its technologies are carbon neutral. It takes energy to get those minerals out of the ground, energy to shape them into batteries and photovoltaic solar panels and giant rotors for windmills, energy to dispose of them when they wear out. Mines are worked, primarily, by gas-burning vehicles. The container ships that cross the world’s seas bearing the good freight of renewables burn so much fuel they are responsible for 3 percent of planetary emissions. Electric, plug-in motors for construction equipment and container ships are barely in the prototype stage. And what kind of massive battery would you need to get a container ship across the Pacific? Maybe a small nuclear reactor would be best?

Counting emissions within national boundaries, in other words, is like counting calories but only during breakfast and lunch. If going clean in the US makes other places more dirty, then you’ve got to add that to the ledger. The carbon sums are sure to be lower than they would be otherwise, but the reductions might not be as robust as thought, especially if producers desperate to cash in on the renewable jackpot do things as cheaply and quickly as possible, which for now means fossil fuels. On the other side, environmental remediation is costly in every way. Want to clean up those tailings ponds, bury the waste deep underground, keep the water table from being poisoned? You’re going to need motors and you’re probably going to burn oil.

Consolidating scientific opinion, the most recent Intergovernmental Panel on Climate Change report projects that biofuels are going to be used in these cases—for construction, for industry, and for transport, wherever motors can’t be easily electrified. Biofuels put carbon into the air, but it’s carbon that was already absorbed by growing plants, so the net emissions are zero. The problem is that growing biofuels requires land otherwise devoted to crops, or carbon-absorbing wilderness. They are among the least dense of power sources. You would need a dozen acres to fill the tank of a single intercontinental jet. Emissions are only the most prominent aspect of a broader ecological crisis. Human habitation, pasture and industry, branching through the remaining wilderness in the most profligate and destructive manner, has sent shockwaves through the plant and animal kingdoms. The mass die-off of insects, with populations decreasing by four-fifths in some areas, is one part of this. The insect world is very poorly understood, but scientists suspect these die-offs and extinction events are only partially attributable to climate change, with human land use and pesticides a major culprit. Of the two billion tons of animal mass on the planet, insects account for half. Pull the pillars of the insect world away, and the food chains collapse.

To replace current US energy consumption with renewables, you’d need to devote at least 25-50 percent of the US landmass to solar, wind, and biofuels, according to the estimates made by Vaclav Smil, the grand doyen of energy studies. Is there room for that and expanding human habitation? For that and pasture for a massive meat and dairy industry? For that and the forest we’d need to take carbon out of the air? Not if capitalism keeps doing the thing which it can’t not keep doing—grow. The law of capitalism is the law of more—more energy, more stuff, more materials. It introduces efficiencies only to more effectively despoil the planet. There is no solution to the climate crisis which leaves capitalism’s compulsions to growth intact. And this is what the Green New Deal, a term coined by that oily neoliberal, Thomas Friedman, doesn’t address. It thinks you can keep capitalism, keep growth, but remove the deleterious consequences. The death villages are here to tell you that you can’t. No roses will bloom on that bush.

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Miners in Chile, China, and Zambia will be digging in the earth for more than just the makings of fifty million solar panels and windmills, however, since the Green New Deal also proposes to rebuild the power grid in a more efficient form, to upgrade all buildings to the highest environmental standards, and lastly, to develop a low-carbon transportation infrastructure, based on electric vehicles and high-speed rail. This would involve, needless to say, a monumental deployment of carbon-intensive materials like concrete and steel. Trillions of dollars of raw materials would need to flow into the United States to be shaped into train tracks and electric cars. Schools and hospitals, too, since alongside these green initiatives, the GND proposes universal health care and free education, not to mention a living-wage jobs guarantee.

Nothing new in politics is ever truly and completely new, and so it’s as unsurprising that the Green New Deal hearkens back to the 1930s as it is that France’s gilet jaunes revive the corpse of the French Revolution and make it dance a jig below the Arc de Triomphe. We understand the present and future through the past. As Marx notes in The Eighteenth Brumaire, people “make their own history, but they do not make it as they please; they do not make it under self-selected circumstances, but under circumstances existing already, given and transmitted from the past.” In order to make new forms of class struggle intelligible, their partisans look to the past, “borrowing from them names, battle slogans, and costumes in order to present this new scene in world history in time-honored disguise and borrowed language.” The “new” of the Green New Deal must therefore express itself in language decidedly old, appealing to great-grandpa’s vanished workerism and the graphic style of WPA posters.

This costume-play can be progressive rather than regressive, insofar as it consists of “glorifying the new struggles, not of parodying the old; of magnifying the given task in the imagination, not recoiling from its solution in reality; of finding once more the spirit of revolution, not making its ghost walk again.” [...]

We would do well to keep these words in mind over the next decades, to avoid recoiling from real solutions and insisting on fantastic ones. The project of the Green New Deal is really nothing like the New Deal of the 1930s, except in the most superficial ways. The New Deal was a response to an immediate economic emergency, the Great Depression, and not a future climate catastrophe: its main goal was to restore growth to an economy that had shrunk by 50 percent and in which one out of every four people was unemployed. The goal of the New Deal was to get capitalism to do what it already wanted to do: put people to work, exploit them, and then sell them the products of their own labor. The state was necessary as a catalyst and a mediator, setting the right balance between profit and wages, chiefly by strengthening the hand of labor and weakening that of business. Aside from the fact that it involves capital outlays that are much larger, the Green New Deal has a more difficult ambition: rather than get capitalism to do what it wants to do, it has to get it to pursue a path that is certainly bad for the owners of capital in the long run.

Whereas the New Deal needed only to restore growth, the Green New Deal has to generate growth and reduce emissions. The problem is that growth and emissions are, by almost every measure, profoundly correlated. The Green New Deal thus risks becoming a sort of Sisyphean reform, rolling the rock of emissions reductions up the hill each day only to have a growing, energy-hungry economy knock it back down to the bottom each night.

Advocates of green growth promise an “absolute decoupling” of emissions and growth, where each additional unit of energy adds no CO2 to the atmosphere. Even if such a thing were technologically possible, even if it were possible to generate zero- or low-emissions energy not only adequate to but in excess of current demand, such decoupling would require far greater power over the behavior of capitalists than the New Deal ever mustered.

FDR and his coalition in Congress exerted modest control over corporations through a process of “countervailing power,” in the words of John Kenneth Galbraith, tilting the playing field to disempower capitalists relative to workers and consumers, and making new investment more appealing. The state did undertake direct investment—building roads, bridges, power stations, parks, and museums—but did so not in order to supplant private investment but to create “forever a yardstick against extortion,” in FDR’s high-toned phrasing. Government power plants would, for example, disclose the true (lower) price of electricity, barring energy monopolies from price gouging.

Green New Dealers flag this aspect of the New Deal, since it’s ostensibly so close to what they propose. The Tennessee Valley Authority, a public power company still in operation eighty years later, is the most famous of these projects. Public infrastructure, clean energy, economic development—the TVA brought together many of the elements essential to the Green New Deal. Building dams and hydroelectric power stations along the Tennessee River, it provided clean, cheap electricity to one of the most economically depressed regions of the country. The hydroelectric plants were, in turn, linked up to factories producing nitrates, an energy-intensive raw material needed for both fertilizer and explosives. Wages and crop yields rose, power costs fell. The TVA brought cheap energy, cheap fertilizer, and good jobs to a place previous known for malaria, poor soil quality, incomes less than half the national average, and alarmingly high unemployment.

The problem with this scenario as a framework for the Green New Deal is that renewables are not massively cheaper than fossil fuels. The state cannot blaze the trail to cheap, renewable energy, satisfying consumers with lower costs and producers with acceptable profits. Many once thought that the depletion of oil and coal reserves would save us, raising the price of fossil fuels above that of renewables and forcing the switch as a matter of economic necessity. Unfortunately, that messianic price point has drifted farther into the future as new drilling technologies, introduced in the last decade, have made it possible to frack oil from shale and to recover reserves from fields previously thought exhausted. The price of oil has stayed stubbornly low, and the US is, suddenly, producing more of it than anyone else. The doomsday scenarios of “peak oil” are now a turn-of-the-millennium curiosity, like Y2K or Al Gore. Sorry, wrong apocalypse.

Some will tell you that renewables can compete with fossil fuels on the open market. Wind and hydroelectric and geothermal have, it’s true, become cheaper as sources of electricity, in some cases cheaper than coal and natural gas. But they’re still not cheap enough. That’s because, in order to bankrupt the fossil capitalists, renewables will need to do more than edge out fossil fuels by a penny or two per kilowatt-hour. There are trillions of dollars sunk into fossil energy infrastructure and the owners of those investments will invariably choose to recoup some of that investment rather than none of it. To send the value of those assets to zero and force energy capitalists to invest in new factories, renewables need to be not only cheaper but massively cheaper, impossibly cheaper. At least this is the conclusion reached by a group of engineers Google convened to study the problem. Existing technologies are never going to be cheap enough to bankrupt coal-fired power plants: we’d need stuff that is currently science-fiction like cold fusion. This is not only because of the problem of sunk costs, but because electricity from solar and wind is not “dispatchable” on demand. It is only available when and where the sun is shining and the wind is blowing. If you want it on demand, you’re going to have to store it (or transport it thousands of miles) and that’s going to raise the price.

Most will tell you that the answer to this problem is taxation of dirty energy or an outright ban, alongside subsidy of the clean. A carbon tax, judiciously applied, can tip the scales in favor of renewables until they are able to beat fossil energy outright. New fossil sources and infrastructure can be prohibited and revenue from the taxes can be used to pay for research into new technology, efficiency improvements, and subsidies for consumers. But now one is talking about something other than a New Deal, blazing the way to a more highly productive capitalism in which profits and wages can rise together. There are 1.5 trillion barrels of proven oil reserves on the planet, according to some calculations—around $50 trillion worth if we assume a very low average cost per barrel of thirty-five dollars. This is value that oil companies have already accounted for in their mathematical imaginings. If carbon taxes or bans reduce that number tenfold, fossil capitalists will do everything they can to avoid, subvert, and repeal them. The problem of sunk costs again applies. If you slaughter the value of those reserves, you might, perversely, bring down the cost of fossil fuels, encouraging more consumption and more emissions, as oil producers scramble to sell their excess supply in countries without a carbon tax. For reference, there is about $300 trillion of total wealth on the planet, most of it in the hands of the owning class. The global Gross Domestic Product, the value of all the goods and services produced in a year, is around $80 trillion. If you propose to wipe out $50 trillion, one-sixth of the wealth on the planet, equal to two-thirds of global GDP, you should expect the owners of that wealth to fight you with everything they have, which is more or less everything.

[...]

If you tax oil, capital will sell it elsewhere. If you increase demand for raw materials, capital will bid up the prices of commodities, and rush materials to market in the most wasteful, energy-intensive way. If you require millions of square miles for solar panels, wind farms, and biofuel crops, capital will bid up the price of real estate. If you slap tariffs on necessary imports, capital will leave for better markets. If you try to set a maximum price that doesn’t allow profit, capital will simply stop investing. Lop off one head of the hydra, face another. Invest trillions of dollars into infrastructure in the US and you’ll have to confront the staggeringly wasteful, slow, and unproductive construction industry, where laying a mile of subway can be twenty times as expensive and take four times as long. You’ll have to confront the earthen monsters of Bechtel and Fluor Corp., habituated to feeding at the government trough and billing fifty dollar screws. If this doesn’t chasten you, consider the world-historical inefficiency of the US military, the planet’s biggest oil consumer and, unsurprisingly, also the planet’s main oil cop. The Pentagon is an accounting black hole, into which the wealth of the nation is ploughed and from which no light emerges. Its balance sheet is a blank.

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I suspect many advocates of the Green New Deal know all this. They don’t really think it will happen as promised, and they know that, if it does happen, it won’t work. This is probably why there’s so little concrete detail being offered. Discussion so far has largely revolved around the question of budgeting, with the advocates of Modern Monetary Theory arguing that there is no upper bound on government spending for a country like the US, and tax-and-spend leftists firing back with all sorts of counter-scenarios. The MMT advocates are technically correct, but they discount the power that owners of US debt have to determine the value of the dollar, and therefore prices and profits. Meanwhile, critics of the Green New Deal confine their discussion to the least problematic aspects. Don’t get me wrong, budget items on the order of tens of trillions of dollars are a big deal. But securing the bag is hardly the biggest problem. Implementation is where it really dies, and few advocates have much to say about such details.

The Green New Deal proposes to decarbonize most of the economy in ten years—great, but no one is talking about how. This is because, for many, its value is primarily rhetorical; it’s about shifting the discussion, gathering political will, and underscoring the urgency of the climate crisis. It’s more big mood more than grand plan. Many socialists will recognize that mitigation of climate change within a system of production for profit is impossible, but they think a project like the Green New Deal is what Leon Trotsky called a “transitional program,” hinged upon a “transitional demand.” Unlike the minimal demand, which capitalism can easily meet, and the maximal demand which it clearly can’t, the transitional demand is something that capitalism could potentially meet if it were a rational and humane system, but in actuality can’t. By agitating around this transitional demand, socialists expose capitalism as an extraordinarily wasteful and destructive coordinator of human activity, incapable of delivering on its own potential and, in this case, responsible for an unimaginable number of future deaths. So exposed, one might then safely proceed to do away with capitalism. Faced with the resistance of the capitalist class and an entrenched government bureaucracy, officials elected around a Green New Deal could safely, with the support of the masses, move to expropriate the capitalist class and reorganize the state along socialist lines. Or so the story goes.

I’ve always despised the transitional program concept. I think, for starters, that it’s condescending, presuming that the “masses” need to be told one thing in order, eventually, to be convinced of another. I also think it’s dangerous, with the potential to profoundly backfire. Revolutions do begin, often, where reforms fail. But the problem is that the transitional demand encourages you to build institutions and organizations around one set of goals with the hope that you can rapidly convert them to another when the time comes. But institutions are tremendously inertial structures. If you build a party and other institutions around the idea of solving climate change within capitalism, do not be surprised when some large fraction of that party resists your attempt to convert it into a revolutionary organ. The history of socialist and communist parties is reason for caution. Even after the Second International betrayed its members by sending them to slaughter each other in the First World War, and even after a huge fraction split to form revolutionary organizations in the wake of the Russian Revolution, many members of the party and its network of unions continued to support it, out of habit and because it had built a thick network of cultural and social structures to which they were bound by a million and one ties. Beware that, in pursuit of the transitional program, you do not build up the forces of your future enemy.

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Let’s instead say what we know to be true. The pathway to climate stabilization below two degrees Celsius offered by the Green New Deal is illusory. Indeed, at present the only solutions possible within the framework of capitalism are ghastly, risky forms of geo-engineering, chemically poisoning either the ocean or the sky to absorb carbon or limit sunlight, preserving capitalism and its host, humanity, at the cost of the sky (now weatherless) or the ocean (now lifeless). Unlike emissions reductions, such projects will not require international collaboration. Any country could begin geo-engineering right now. What’s to stop China or the US from deciding to dump sulfur into the sky, if things get hot enough and bad enough?

The problem with the Green New Deal is that it promises to change everything while keeping everything the same. It promises to switch out the energetic basis of modern society as if one were changing the battery in a car. You still buy a new iPhone every two years, but zero emissions. The world of the Green New Deal is this world but better—this world but with zero emissions, universal health care, and free college. The appeal is obvious but the combination impossible. We can’t remain in this world. To preserve the ecological niche in which we and our cohort of species have lived for the last eleven thousand years, we will have to completely reorganize society, changing where and how and most importantly why we live. Given current technology, there is no possibility to continue using more energy per person, more land per person, more more per person. This need not mean a gray world of grim austerity, though that’s what’s coming if inequality and dispossession continue. An emancipated society, in which no one can force another into work for reasons of property, could offer joy, meaning, freedom, satisfaction, and even a sort of abundance. We can easily have enough of what matters—conserving energy and other resources for food, shelter, and medicine. As is obvious to anyone who spends a good thirty seconds really looking, half of what surrounds us in capitalism is needless waste. Beyond our foundational needs, the most important abundance is an abundance of time, and time is, thankfully, carbon-zero, and even perhaps carbon-negative. If revolutionaries in societies that used one-fourth as much energy as we do thought communism right around the corner, then there’s no need to shackle ourselves to the gruesome imperatives of growth. A society in which everyone is free to pursue learning, play, sport, amusement, companionship, and travel, in this we see the abundance that matters.

Perhaps breakthrough decarbonizing or zero-emissions technologies are almost here. One would be a fool to discount the possibility. But waiting for lightning to strike is not a politics. It’s been almost seventy years since the last paradigm-shifting technology was invented—transistors, nuclear power, genomics, all date from the middle of the twentieth century. Illusions of perspective and the endless stream of apps notwithstanding, the pace of technological change has slowed rather than accelerated. In any case, if capitalism suddenly finds it within its means to mitigate climate change, we can shift to talking about one of the other ten reasons why we should end it.

We cannot keep things the same and change everything. We need a revolution, a break with capital and its killing compulsions, though what that looks like in the twenty-first century is very much an open question. A revolution that had as its aim the flourishing of all human life would certainly mean immediate decarbonization, a rapid decrease in energy use for those in the industrialized global north, no more cement, very little steel, almost no air travel, walkable human settlements, passive heating and cooling, a total transformation of agriculture, and a diminishment of animal pasture by an order of magnitude at least. All of this is possible, but not if we continue to shovel one half of all the wealth produced on the planet into the maw of capital, not if we continue to sacrifice some fraction of each generation by sending them into the pits, not if we continue to allow those whose only aim is profit to decide how we live.

Thursday, May 9, 2019

Landmark study by Côté S, House J, Willer R (2015) said that higher income individuals are less generous than poorer individuals if they reside in a US state with comparatively large economic inequality; not reproducible

No evidence that economic inequality moderates the effect of income on generosity. Stefan C. Schmukle, Martin Korndörfer, and Boris Egloff. Proceedings of the National Academy of Sciences. April 29, 2019. https://doi.org/10.1073/pnas.1807942116

Significance: Are the rich less generous than the poor? Results of studies on this topic have been inconsistent. Recent research that has received widespread academic and media attention has provided evidence that higher income individuals are less generous than poorer individuals only if they reside in a US state with comparatively large economic inequality. However, in large representative datasets from the United States (study 1), Germany (study 2), and 30 countries (study 3), we did not find any evidence for such an effect. Instead, our results suggest that the rich are not less generous than the poor, even when economic inequality is large. This result has implications for contemporary debates on what increasing inequality in resource distributions means for modern societies.

Abstract: A landmark study published in PNAS [Côté S, House J, Willer R (2015) Proc Natl Acad Sci USA 112:15838–15843] showed that higher income individuals are less generous than poorer individuals only if they reside in a US state with comparatively large economic inequality. This finding might serve to reconcile inconsistent findings on the effect of social class on generosity by highlighting the moderating role of economic inequality. On the basis of the importance of replicating a major finding before readily accepting it as evidence, we analyzed the effect of the interaction between income and inequality on generosity in three large representative datasets. We analyzed the donating behavior of 27,714 US households (study 1), the generosity of 1,334 German individuals in an economic game (study 2), and volunteering to participate in charitable activities in 30,985 participants from 30 countries (study 3). We found no evidence for the postulated moderation effect in any study. This result is especially remarkable because (i) our samples were very large, leading to high power to detect effects that exist, and (ii) the cross-country analysis employed in study 3 led to much greater variability in economic inequality. These findings indicate that the moderation effect might be rather specific and cannot be easily generalized. Consequently, economic inequality might not be a plausible explanation for the heterogeneous results on the effect of social class on prosociality.

Keywords: social classincomeeconomic inequalityprosocial behaviorgenerosity

Not all instances of gender inequality are equally concerning: An emphasis on women's underrepresentation in STEM has not been matched by a similar concern about men's underrepresentation in Healthcare, Early Education, etc

Do people care if men don't care about caring? The asymmetry in support for changing gender roles. Katharina Block et al. Journal of Experimental Social Psychology, Volume 83, July 2019, Pages 112-131. https://doi.org/10.1016/j.jesp.2019.03.013

Highlights
•    Gender imbalances are perceived differently for male- vs. female-dominant careers.
•    Stronger support for social change when women (vs. men) are underrepresented.
•    External barriers are thought to constrain gender balance in male-dominated jobs.
•    Motivation is thought to constrain gender balance in female-dominated jobs.
•    Asymmetrical support for change is predicted by gender distribution, not salary.

Abstract: Not all instances of gender inequality are equally concerning. An emphasis on women's underrepresentation in Science, Technology, Engineering, and Math roles (STEM) has not been matched by a similar concern about men's underrepresentation in Healthcare, Early Education, and Domestic roles (HEED). The current research investigates whether and why people perceive gender imbalances in male-dominated careers (STEM and leadership) as more problematic than gender imbalances in female-dominated, caregiving careers (HEED). Results from four studies (total N = 754) document a tendency to more strongly support the inclusion of women in male-dominated careers, compared to the inclusion of men in female-dominated careers. This asymmetry in support for social action towards change is predicted by beliefs about what the ideal gender representation should be and the perceived causes of gender imbalances in each career type. Notably, gender representation in careers (and not salary) is the key factor underlying discrepant support for change (Study 4).

Less problems for baby in spring birth causes an average marginal willingness to pay for a spring birth to be $877; this implies a willingness to trade‐off 560 grams of birth weight to get a spring birth

The Demand for Season of Birth. Damian Clarke, Sonia Oreffice. Climent Quintana‐Domeque. Journal of Applied Econometrics, May 2 2019. https://doi.org/10.1002/jae.2711

Summary: We study the determinants of season of birth for married women aged 20‐45 in the US, using birth certificate and Census data. We also elicit the willingness to pay for season of birth through discrete choice experiments implemented on the Amazon Mechanical Turk platform. We document that the probability of a spring first birth is significantly related to mother's age, education, race, ethnicity, smoking status during pregnancy, receiving WIC food benefits during pregnancy, pre‐pregnancy obesity and the mother working in “education, training, and library” occupations, whereas among unmarried women without a father acknowledged on their child's birth certificate, all our findings are muted. A summer first birth does not depend on socioeconomic characteristics, although it is the most common birth season in the US. Among married women aged 20‐45, we estimate the average marginal willingness to pay (WTP) for a spring birth to be 877 USD. This implies a willingness to trade‐off 560 grams of birth weight to achieve a spring birth. Finally, we estimate that an increase of 1,000 USD in the predicted marginal WTP for a spring birth is associated with a 15 pp increase in the probability of obtaining an actual spring birth.

Keywords: quarter of birth, fertility timing, willingness to pay, discrete choice experiments.

1 Introduction

While the relevance of season of birth has been acknowledged at least since Huntington’s 1938 book “Season of Birth: Its Relation to Human Abilities”, it was not until recently that season of birth became prominent in biology, economics and social sciences more generally.There is now a well-established literature illustrating a variety of aspects that are significantly correlated with season of birth, including birth weight, education, earnings, height, life expectancy, schizophrenia, etc. Although understanding the channels through which season of birth affects these outcomes still represents a scientific challenge, in the US winter months are associated with lower birth weight, education, and earnings, while spring and summer are found to be “good” seasons (e.g., Buckles and Hungerman, 2013; Currie and Schwandt, 2013).

Using birth certificate and Census data we provide new evidence on season of birth patterns and correlates with demographic and socioeconomic characteristics among married women, which are absent among unmarried women with no paternity acknowledgement ontheir child’s birth certificate, or among those using assisted reproductive technology (ART)procedures. We argue that these can be explained by season of birth being a choice variablesubject to economic and biological constraints, when women do plan fertility timing. Theplausibility of a demand for season of birth is also documented by the positive averagemarginal willingness to pay for season of birth and spring in particular, which we estimateusing discrete choice experiments in the Amazon Mechanical Turk platform.Plots of first birth prevalence and influenza activity by quarter presented in Figure 1aare consistent with married women choosing a spring birth because their child will be born the farthest from the influenza peak within a year, or summer because there are fewer germsat birth and in the last stage of pregnancy. On the contrary, among unmarried motherswith no paternity acknowledgement, fall (Quarter 4) births are more prevalent, while spring(Quarter 2) births are less prevalent, in spite of facing the same influenza activity as marriedmothers. Moreover, Figure 1b shows that working in particular occupations is correlated with a higher spring birth and lower fall birth prevalence. Thus, influenza and the winterdisease environment are not sufficient to fully explain the observed birth seasonality.

Using US Vital Statistics data on all first singleton births to married women aged 20-45,we show that the prevalence of spring births is related to mother’s age in a humped-shapedfashion, positively related to education and being white, and negatively related to beingHispanic, smoking and receiving food benefits during pregnancy, conditional on gestationweek, state and year fixed effects. However, maternal socioeconomic characteristics do notcorrelate with the probability of having a baby in summer, despite summer being the mostcommon birth season in the US. When focusing on the placebo group of unmarried motherswith no paternity acknowledgement on their child’s birth certificate, our seasonal patternsare muted, consistent with the idea that the children of unmarried women with no stablepartner or long-term relationship are less likely to be planned, and thus it is less likelythat their season of birth is chosen (Almond and Rossin-Slater, 2013; Rossin-Slater, 2017). Indeed, in the US, unmarried women are reported to be more than twice as likely to haveunwanted pregnancies than married women (Finer and Zolna, 2016; Mosher et al., 2012).

We then examine the interaction of a first singleton child’s season of birth with his orher mother’s occupation using data from the American Community Survey. Our findingsreveal that in professions allowing more flexibility in taking time off work and those thathave summer breaks (e.g., among teachers), married mothers are additionally more likely tochoose spring births butnotsummer births, and this holds conditional on age, education,race, ethnicity and state and year fixed effects. This is consistent with the evidence inFigure 1b.

Inspired by Buckles and Hungerman (2013), who recognize that a thorough investigationof preferences for birth timing is an open and fertile challenge for future work, we devisedand ran a series of discrete choice experiments in the Amazon Mechanical Turk marketplace in September 2016 and May 2018, to elicit the willingness to pay for season of birth in two different quarters of the year.1We estimate the average marginal willingness to payfor a spring birth to be 620 USD. We also find that the average marginal willingness to pay (WTP) is larger (about 877 USD) among married mothers aged 20-45, our main groupof analysis in the birth certificate and Census data, whereas among respondents who donot intend to have children the average marginal WTP is much smaller (about 455 USD)and not statistically different from zero, which provides an interesting placebo. Exploringheterogeneity by number of children, we find that our estimate is driven by married mothersaged 20-45 with two or more children (1,100 USD).Using a mixed logit to allow for preference heterogeneity among married mothers aged20-45 in the M-Turk data, we estimate the marginal WTP for spring births for each marriedmother aged 20-45. We then predict the estimated marginal WTP for spring births using maternal characteristics in the same M-Turk data. Assuming transportability from M-Turk to birth certificate data, we use the estimated coefficients on the maternal characteristics to predict the marginal WTP for each married mother aged 20-45 in the latter data. We then investigate the relationship between predicted marginal WTP and spring births in the birthcertificate data. We find that a 1,000 USD increase in the predicted marginal WTP for aspring birth is associated with an increase in the actual probability of giving birth in springof about 15 pp. This finding suggests that average elicited M-Turk responses do correlatewith actual behavior.Our estimated seasonality gaps, between−0.5 pp (Hispanic vs. non-Hispanic) and 0.9pp (received food benefits during pregnancy) in the birth certificate data, and 5 pp by occupation in the Census data, are sizable. Buckles and Hungerman (2013) report a 1 pp difference in teenage mothers and a 2 pp difference in unmarried or non-white mothers between January births and May births, and they interpret these gaps as “strikingly large”compared to the estimated effects of welfare benefits on non-marital childbearing (Rosen-zweig, 1999) or unemployment on fertility (Dehejia and Lleras-Muney, 2004).

1 We thank an anonymous referee for the suggestion to run an additional survey in a different season.

Sexual Orientation Trajectories: Theory supports multidimensional continuums; substantial changes were common until late 20s & sexual orientation development continues throughout emerging adulthood

Sexual Orientation Trajectories Based on Sexual Attractions, Partners, and Identity: A Longitudinal Investigation From Adolescence Through Young Adulthood Using a U.S. Representative Sample. Christine E. Kaestle. The Journal of Sex Research, Apr 28 2019. https://doi.org/10.1080/00224499.2019.1577351

Abstract: Defining sexual minority status longitudinally over critical developmental periods is essential for understanding the roots of health disparities. Theory supports multidimensional continuums, but current research often examines single measures of sexual activity, sexual attractions, or self-labeled identity separately. Here, a new typology of longitudinal latent classes describes dynamic multidimensional processes continuing from late adolescence (ages 16 to 18) through the late 20s. Using Add Health data (N = 6,864), longitudinal latent class analysis (LLCA), a person-centered approach, showed significant differences between the orientation experiences of males and females (invariance tests led to stratification by sex). The male LLCA model predicted four classes: straight males (87.4%), minimal sexual expression males (6.5%), mostly straight and bi males (3.8%), and emerging gay males (2.4%). The female LLCA model predicted five classes: straight females (73.8%), minimal sexual expression females (7%), mostly straight discontinuous females (10.2%), emerging bi females (7.5%), and emerging lesbian females (1.5%). Some classes represent generally consistent indicators across dimensions over time, while other classes describe more emerging or discontinuous trajectories. Substantial changes were common not only from late adolescence to the early 20s but also from the early 20s to the late 20s, indicating that sexual orientation development continues throughout emerging adulthood.

The most critical barrier to addressing health and well-being disparities for sexual minority groups is the lack of consensus and quality in gathering, operationalizing, and analyzing data about this heterogeneous community. This is especially important for critical developmental periods, such as adolescence and young adulthood, when sexual orientation is often in the process of being established and many disparities begin to emerge ...As discussed in the sections that follow, sexual orientation paradigms that are unidimensional, that are not on a continuum, that are static, or that assume identical male and female experiences may create limitations in research among sexual minority young people.

Popular version: https://www.eurekalert.org/pub_releases/2019-05/tfg-sct050219.php

Body odor perception moderates mate choice, provides a source of comfort in existing relationships, may signal the breakdown, identify a healthy mate, enhance sexual experiences, relationship security & ensure empathic responsivity

The role of body odors and olfactory ability in the initiation, maintenance and breakdown of romantic relationships – A review. Mehmet K. Mahmut, Ilona Croy. Physiology & Behavior, May 9 2019. https://doi.org/10.1016/j.physbeh.2019.05.003

Highlights
•    Body odors and olfactory ability both play a role in the three broad stages of human romantic relationships; initiation, maintenance and breakdown.
•    An intact olfactory ability is vital for the perception of and response to chemical signals from potential and current partners.
•    Congenital anosmia is associated poorer relationship outcomes, highlighting the importance an intact olfactory ability.
•    In relationship initiation, body odors may help humans select genetically and sexually compatible mates.
•    A partner's body odor may help maintain a relationship by providing a sense of comfort and increased preference due to familiarity.
•    Disliking a partner's body odor may signal a reduction in compatibility and facilitate the determination of the relationships.

Abstract: The aim of this review is to present direct and indirect lines of converging evidence that highlight the many ways our body odors and sense of smell may influence the three broad stages of romantic relationships; initiation, maintenance and breakdown. This emerging area of study requires a multidisciplinary empirical approach. Here we survey research findings that taken together, suggest that body odor perception moderates mate choice, provides a source of comfort in existing relationships and may signal the breakdown of a relationship through disgust processes. In terms of olfactory ability, having a good sense of smell may facilitate identifying a healthy mate, enhance sexual experiences, relationship security and ensure empathic responsivity, predictors of relationship longevity. We therefore conclude that olfaction plays an important – yet understudied – role in romantic relationships.

People tend to self-assess their ability to convincingly tell the truth higher than their ability to lie convincingly; this poor lie-telling ability rating is based on the desire to sustain a positive self-image

Elaad E. (2019) Self-Assessed Lie- and Truth-Telling Abilities: Demographic, Personality, and Behavioral Correlates. In: Docan-Morgan T. (eds) The Palgrave Handbook of Deceptive Communication. Palgrave Macmillan, Cham. April 30 2019. https://link.springer.com/chapter/10.1007/978-3-319-96334-1_23

Abstract: This chapter reviews demographic, personality, and behavioral correlates of self-assessed lie- and truth-telling abilities. People tend to self-assess their ability to convincingly tell the truth higher than their ability to lie convincingly. The high truth-telling ability assessment rests on the belief that truth-telling is a simple matter of “telling it like it is” and aligns with the general human assumption that most communications are truthful. In this context, it is interesting to study the state of mind of people who tend to rate their ability to convince when telling the truth lower than average. The relatively poor lie-telling ability rating is based on the desire to sustain a positive self-image. Thus, if one is not a skilled lie-teller, they may believe that they are an honest person. Therefore, attention should be directed to people who overrate their lie-telling ability. Implications and directions for future research are discussed.

Keywords: Self-assessments Truth-telling ability Lie-telling ability Personality Biases Meta-analysis

By increasing current cash-flows tax cuts alleviate financing frictions, hereby stimulating current investment; multipliers are close to 1 for constrained firms, especially new entrants, & negative for larger & unconstrained firms

Financial Frictions and Stimulative Effects of Temporary Corporate Tax Cuts. William Gbohoui, Rui Castro. IMF Working Paper No. 19/97, https://www.imf.org/en/Publications/WP/Issues/2019/05/07/Financial-Frictions-and-Stimulative-Effects-of-Temporary-Corporate-Tax-Cuts-46641

Summary: This paper uses an industry equilibrium model where some firms are financially constrained to quantify the effects of a transitory corporate tax cut funded by a future tax increase on the U.S. economy. It finds that by increasing current cash-flows tax cuts alleviate financing frictions, hereby stimulating current investment. Per dollar of tax stimulus, aggregate investment increases by 26 cents on impact, and aggregate output by 3.5 cents. The average effect masks heterogeneity: multipliers are close to 1 for constrained firms, especially new entrants, and negative for larger and unconstrained firms. The output effects extend well past the period the policy is reversed, leading to a cumulative multiplier of 7.2 cents. Multipliers are significantly larger when controlling for the investment crowding-out effect among unconstrained firms.

Almost no information assessing women’s responses to a male partner pretending to experience orgasm or responses to this deception in casual relationships

Brewer G. (2019) Deceiving for and During Sex. In: Docan-Morgan T. (eds) The Palgrave Handbook of Deceptive Communication. Palgrave Macmillan, Cham. https://link.springer.com/chapter/10.1007/978-3-319-96334-1_29

Abstract: Romantic and sexual relationships form an important part of the social landscape. These relationships are however vulnerable to deception, which may occur prior to intercourse (in order to obtain sex) or during sex (for a range of reasons including enhancement of relationship satisfaction). The current chapter details the use of deception to obtain sex, e.g., the use of ‘false advertising’ to attract a partner and the use of deception during sex such as pretending to experience orgasm and infidelity. Throughout the chapter, important differences between men and women are highlighted.

Keywords: False advertising Infidelity Online dating Orgasm Sex differences Sexting Deceptive self-presentation

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Though women are more likely than men to pretend to experience orgasm during sexual intercourse (Thornhill, Gangestad, & Comer, 1995), men also engage in this form of deception. Specifically, 25% of heterosexual men report having pretended to experience orgasm on at least one occasion (Muehlenhard & Shippee, 2010). This may involve a range of verbal signals (e.g., moaning, saying that they were close to orgasm) or changing body movement (e.g., increasing strength or speed of thrusting prior to “finishing”). Compared to women, men are more likely to change body movements (e.g., thrusts) and less likely to moan or alter their breathing rate (Muehlenhard & Shippee, 2010). Similar to women, men may pretend to experience orgasm because they feel that orgasm has taken too long and want the sex to end or wish to avoid hurting their partner’s feelings. They are also more likely to pretend while intoxicated or after experiencing orgasm earlier the same day (Muehlenhard & Shippee, 2010). For example, Muehlenhard and Shippee (2010) report that one man explained “One night after a couple hours of heavy drinking I was talking to this girl on my floor and apparently I was hitting on her. One thing led to another and I started sobering up during sex so I faked to make her go away… She is unattractive / annoying [and I] wanted to get her off me…when my senses came about and I took my drunk goggles off” (p. 558). Men may also choose to pretend when they do not want the partner to know that they have not experienced orgasm, which may reflect societal expectations that men should always be prepared for intercourse (Zilbergeld, 1999). For a minority of men, pretending may be used to conceal incidence of premature ejaculation (Steiner, 1981). However, relatively few studies have investigated the use of pretending to experience orgasm by men, and additional research in this area is required.

Factors Influencing the Likelihood of Pretending to Experience Orgasm
There is considerable variation with regard to the frequency of pretending to experience orgasms and motivations for this behavior. The status and quality of the sexual relationship itself are particularly important. For example, pretending to experience orgasm is most common among single compared to married women (Darling & Davidson, 1986), and more frequent among lesbian and bisexual women compared to heterosexual women (Cooper, Conner, & Fauber, 2010). Furthermore, women whose partners are less tolerant and agreeable are most likely to pretend to experience orgasm (Ellsworth & Bailey, 2013). Numerous studies have highlighted the relationship between pretending to experience orgasm and the risk of infidelity.

Detection and Consequences
Previous research indicates that men place considerable importance on their partner’s orgasm (McKibben, Bates, Shackelford, Hafen, & LaMunyon, 2010) and may therefore question partners about their experience or attend to likely orgasm cues (e.g., vocalizations, breathing rate). Despite men’s interest in their partner’s orgasm, detection rates (i.e., the ability to detect when a woman is pretending) appear to be low. Indeed only 55% of men report that they can recognize when their partner is pretending to experience orgasm (Mialon, 2012). Furthermore, men report that their partner pretends to experience orgasm less frequently than their partners report engaging in this behavior (Ellsworth & Bailey, 2013). Though this form of deception is often successful, the consequences can be substantial. Indeed, the reactions of men who become aware that their partners have pretended to experience orgasm are similar to men responding to a partner’s infidelity (e.g., anger, betrayal; Shackelford, Leblanc, & Drass, 2000). Hence, though pretending to experience orgasm is a form of deception frequently performed by women, there is an inherent risk that it may threaten the stability and integrity of the relationship. At present, there is a paucity of information assessing women’s responses to a male partner pretending to experience orgasm or responses to this deception in casual relationships.

Wednesday, May 8, 2019

The women men are attracted to in well-nourished populations have low body mass indices & small waist sizes combined with relatively large hips; men are attracted to signs of being nubile & nulliparous

Evidence supporting nubility and reproductive value as the key to human female physical attractiveness. William D. Lassek, Steven J. C. Gaulin. Evolution and Human Behavior, May 8 2019. https://doi.org/10.1016/j.evolhumbehav.2019.05.001

Abstract: Selection should favor mating preferences that increase the chooser's reproductive success. Many previous studies have shown that the women men find most attractive in well-nourished populations have low body mass indices (BMIs) and small waist sizes combined with relatively large hips, resulting in low waist-hip ratios (WHRs). A frequently proposed explanation for these preferences is that such women may have enhanced health and fertility; but extensive evidence contradicts this health-and-fertility explanation. An alternative view is that men are attracted to signs of nubility and high reproductive value , i.e., by indicators of physical and sexual maturity in young women who have not been pregnant. Here we provide evidence in support of the view that a small waist size together with a low WHR and BMI is a strong and reliable sign of nubility. Using U.S. data from large national health surveys, we show that WHR, waist/thigh, waist/stature, and BMI are all lower in the age group (15-19) in which women reach physical and sexual maturity, after which all of these anthropometric measures increase. We also show that a smaller waist, in conjunction with relatively larger hips or thighs, is strongly associated with nulligravidity and with higher blood levels of docosahexaenoic acid (DHA), a fatty acid that is probably limiting for infant brain development. Thus, a woman with the small waist and relatively large hips that men find attractive is very likely to be nubile and nulliparous, with maximal bodily stores of key reproductive resources.

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Introduction
Because differential reproductive success drives adaptive evolution, selection should favor males and females whose mating preferences maximize their numbers of reproductively successful offspring. Thusboth should be attracted to anthropometric traits reliably correlated with the ability of the opposite sex to contribute to this goal. In a landmark bookSymons (1979) argued that the female attributesmost likely to enhance male reproductive success are indicators of nubility and its associated high reproductive value (see also Andrews et al.,2017; Fessleret al, 2005; Marlowe, 1998; Sugiyama, 2005; Symons,1995), and the purpose of this paper is to test whether the availableevidence isconsistent with Symons’view. Such a test is needed because, subsequentto Symons’formulation,a competing hypothesis proposed that men are primarily attuned to indicators of current health and fertilityand that these are the female attributes indicated bythe low WHRs and BMIslinked with high attractiveness(Singh, 1993a; 1993b; Tovée et al., 1998). Theexistence of male preferences for low WHRs and BMIs hasbeen supported by many other studies in industrialized populations,where women are generally well-nourished.Butanyexplanation ofthemmust address whypreferred values are much lower than mean or modal values in typical young women. In a recent study (Lassek&Gaulin, 2016), the mean WHR of PlayboyPlaymates (0.68) was 2 standard deviations below the means for typical college undergraduates (0.74) and the mean WHR (0.55) of imaginary females chosen for maximal attractiveness from comics, cartoons, animatedfilms, graphic-novels, or video-games was 5 standard deviations below the undergraduate mean. Jessica Rabbit, the most popular imaginary female, has a WHR of 0.42. Preferred values of BMI are also in the negative tail of the actual female distribution: the mean BMI of Playmates (18.5) was 2 SD lower than the mean for college undergraduates (22.2). A recent study of 323female comic book characters from the Marvel universefound that the mean WHR was 0.60±0.07 and the modal BMI was 17; WHR was two SD lower in 34 characters(0.61) than in the actressesportraying themin films (0.72)(Burch & Johnsen, 2019).

1.1 Health and fertility as the basis for female attractiveness?

Singh (1993a, 1993b) suggested that men are attracted to low WHRs and BMIs because they are signs of enhanced female health and fertility, and this idea has been widely accepted (e.g., Grammeret al.,2003; Marloweet al.,2005; Pawlowski&Dunbar,2005; Singh &Singh 2011; Sugiyama, 2005; Tovée et al.,1998; Weeden & Sabini,2005). But thisargument seems inconsistent with the extremity of the preferred values(above). As a result of stabilizing selection, phenotypes associated with optimal health and fertility should, and do,lie at the center—not the extreme—of the female distribution. Given such stabilizing selectionon females, male preferences for traits associated with health and fertility should then target modal female values. Based on a review of a large number of relevant studies and on new analyses, it has been recently shown thatWHRs and BMIs in the negative tails of their distributions—the values rated most attractive in well-nourished populations—usually indicate poorerrather than enhanced health (Lassek&Gaulin,2018a) and lowerfertility (Lassek&Gaulin,2018b)(although lower BMI’sin younger primigravidasmay reduce risksof obstructed labor and hypertension). Given that the predictions of the health-and-fertility hypothesis are not well supported, the main goal of this article is to evaluate theprior hypothesis that maybetter explain why males in well-nourished populations prefer female phenotypes at the negative extreme of their distributions: an evolvedpreference for nubility (Symons 1979, 1995) and its demographic correlate, maximal reproductive value (Andrews et al.,2017; Fessler et al., 2005).

1.2 Nubility as the basis for female attractiveness?
Despite a lack of empirical support, the health-and-fertility hypothesis has largely eclipsed Donald Symons’s earlier proposal thatmen are attracted to nubility—to indicators of recent physical and sexual maturity in young nulligravidas (never pregnant women) (Fessler et al., 2005; Symons,1979;1995; Sugiyama, 2005). Symons defined the nubile phase as 3-5 years after menarche when young women are “just beginning ovulatorymenstrual cycles” but have not been pregnant (Symons.1995, p. 88). This corresponds to age 15-19 in well-nourished populations, but sexual maturityin some subsistence groupsmay be delayed (Ellis,2004; Eveleth&Tanner,1990; Symons 1979). Symons suggested that the female characteristics men find attractive—such as a low WHR—are indicatorsof nubility. And he stressedthat any preference for nubility inevitably contrasts with a preference for current fertility, because the teen years of peak nubility are a well-documented period of lowfertilitydue to a decreased frequency of ovulation,with 40-90% of cycles anovulatory, while maximum fertility is not reached until the mid to late 20’s (Apter,1980; Ashley-Montague,1939; Ellisonet al., 1987; Larsen&Yan,2000; Loucks,2006; Metcalf&Mackenzie,1980; Talwar, 1965; Weinsteinet al., 1990; Wesselink et al., 2017). Thus,if the nubility hypothesis is correct, the fertility hypothesis must be incorrect. Nubility is closely linked to a woman’s maximum reproductive value(RV), her age-specific expectation of future offspring, given the underlying fertility and mortality curves of her population (Fisher,1930). The peak of RV is defined by survival to sexual maturity with all reproductive resources intact. The age of peak RV depends in part on the average ages of menarche and marriage, but typically ranges from 14to 18 in human populations (Fisher,1930;Keyfitz&Caswell, 2005; Keyfitz&Flieger,1971). This corresponds to Symons’ age of nubility. Calculations of reproductive value in the !Kung (Daly & Wilson, 1988) and in South Africa (Bowles & Wilson, 2005) both found the peak age to be 15.Symons argued that the attractiveness of the nubile age group is supported by the finding that this is the age groupwhen marriage and first pregnancies typically occur in subsistence culturesdespite reduced fecundability.For example, in the Yanomamo(polygynous hunter-horticulturalists of southern Venezuela), menarche is typically at age 12, marriage at 14, and the first birth at 16 (Symons,1995). Asimilar relationship between nubility and first reproduction characterizesother subsistence populations(Table 1), wherethe mean age of first birth is typically under age 20 and averages 3.9±1.1years after menarche.Inpopulationswith access toeffectivecontraception,the onset of sexual activity may be a better indicator of nubility than the age of marriage or first birth, although multiple factors may influence these ages. In a 2005 survey of women in 46 countries, the average age of first intercourse ranged from 15 to 19 with a mean of 17.2 (Durex, 2009) and was 17.1 in a recent sample of American women (Finer,2007).

Prior studies suggest that attractive females exhibit the phenotypic correlates of nubility. In the Dobe !Kung, four photographed young women considered “beautiful girls” by the !Kung were all age 17 (Howell, 2000, p. 38).In samplesfrom more developed countries, youthful bodies are also considered attractive. In a study of males viewing nude photos of female infants, children (mean age 7.7), pubescent (mean 13.5), and young adult females (mean 23.1), both viewing duration and ratings of physical attractiveness were highest for pubescent females (Quinseyet al., 1996). Marlowe(1998) has suggested thatan evolved attractionto nubility explains men’s preference for relatively large, firm, non-sagging female breasts, and this view is supported by a study in the Hewa (Coe &Steadman, 1995). Of particular relevance are two studies that directly explore the relationship of attractiveness to age. A recent study using body scans with raters from 10 countries found that BMI was inversely related to both rated attractiveness and to estimated age (Wang et al., 2015). In another recent study, age estimated from neck-down photographs of females in bathing suits had a strong negative relationship with attractiveness and a strong positive relationship with WHR, BMI, and especially waist/stature ratio (Andrews et al., 2017).Symons (1995) suggests several adaptive reasons why selection might favor men preferringnubile females over older females who have higher current fertility: 1) A male who pairs with a nubile female is likely to have the maximum opportunity to sire her offspring during her subsequent most fecund years. A nubile woman is also 2) likely to have more living relatives to assist her than an older woman, and 3) to survive long enough for her children to be independent before her death. 4) A male choosing a nubile female avoids investing in children siredby other men and possible conflict with the mother (his mate) over allocation of her parental effort among his children and the children of her prior mates. By definition, a nubile woman is not investing time and energy in other men’s children because sheis nulliparous.Moreover, in a wide array of competitive situations, those who stake an early claim are likely to have an advantage over those who wait until the contested resource is fully available(e.g., lining up the day before concert ticketsgo on sale; Roth&Xing,1994). Thus,the men who were most strongly attracted to signs of nubility would minimize their chances of being shut out of reproductive opportunities. This dynamic would generate selection on men to seek commitment offemale reproductive potential at younger ages. In such an environment, males without a preference for signs of nubility would be at a disadvantage in mating competition, and those who preferred women at the age of peak fertility (in the mid to late 20s) would likely find few available mates. In subsistence cultures, post-nubile women are very likely to be married and to have children; they are usually either pregnant or nursing and so ovulate infrequently due to ongoing reproductive commitments (Marlowe,2005; Strassman, 1997;Symons,1995).

1.3 External signs of nubility
Following Symons (1979;1995), we consider a woman to be nubile when she has menstrual cycles, has attained maximal skeletal growth, is sexually mature based on Tanner stages (see below), but has not beenpregnant. Maximal skeletal growth and stature are usually attained two to three years after the onset of menstrual periods, the latter typically occurring at ages 12-13 in well nourished populations (Eveleth&Tanner,1990; Table 1). In a representative American sample, completed skeletal growth resulting in maximal stature was attained by age 15-16 (Hamill et al., 1973). The two widely-accepted indicators of female sexual maturity in postmenarcheal women are the attainment of 1)adult breast sizeandconfiguration of the areola and nipple, and 2) an adult pattern of pubic hair (Tanner,1962, Marshall&Tanner,1969). In a sample of 192 English female adolescents, the average age for attaining adult (stage 5) pubic hair was 14.4±1.1 and for adult (stage 5)breasts was 15.3±1.7. More recent samples show similar ages for attainment of breast and pubic hair maturity (Beunenet al., 2006). In other studies, puberty was judged complete by age 16-17 in American, Asian, and Swiss samples (Huanget al., 2004;Largo&Prader,1983;Leeet al., 1980), based on completed skeletal growth and presence of adult secondary sexual characteristics. The timing of these developmental markers supports Symons’ (1979) suggestion that nubility occurs 3 to 5 years after menarche. We will assessthe timing of these developmental indicators in a large U.S. sample.

Little attractiveness research has focused on these features of the developing female phenotype, butSingh (1993b) and Symons (1995) separately suggested that both a low BMIand a low WHR are also indicators of nubility. If so, this developmental pattern would explain the male preference for low BMI and low WHR in populations where both measures increase after the nubile period. Available evidence suggests threeways that low WHRs, BMIs, and small waists may indicate that young women in well-nourished populations are at peak nubility and reproductive value: 1) these measuresare lower in the nubile age group (where nubility is defined based on completed stature growth and attainment of Tanner stage5) than they are in older women, 2) they show that a woman is unlikely to have been pregnant, a requirement for nubility, and 3) they indicate that resources crucial for reproduction are maximal (untapped). Published evidence relevant to these points is reviewed immediately below,and we will offer newevidence that the anthropomorphic values associated with attractiveness and reproductive resources are most likely to occur in the 15-20 age group.

1.3.1 Low WHR and BMI as indicatorsof attainment of sexual maturity
WHR may be a particularly good indicator of nubility because evidence suggests that it reaches a minimum during the nubile period. During female puberty, typically occurringbetween theages 10-18, there is a marked increase in the amount of adipose tissue, e.g., from 12-15% to 25-26% of body weight (Boot et al., 1997, Lim et al., 2009; Taylor et al., 2010), a percentage of body fat far greater than that seen in most other mammals, including other primates (Pond, 1998; Pitts&Bullard, 1968). Under the influence of gonadal hormones, mostof this added adipose is deposited in the gluteofemoral depot (hips, buttocks, and thighs), a highly derived human traitthat may haveevolved to store rare fatty acids critical for the development of the large human brain (Lassek &Gaulin, 2006; 2007;2008). Thishormonally driven emphasis on gluteofemoral vs. abdominal fatstores lowers WHR, which decreases during childhood and early adolescence, reaches a minimum at ages 15 to 18, and then tends to increase (Al-Sendi et al., 2003; Bacopoulou et al., 2015; Casey et al., 1994; de Ridder et al., 1990;1992; Fredriks et al., 2005; Gillum,1999; Haas et al., 2011; Kelishadi et al., 2007; Martinez et al., 1994; Moreno et al., 2007; Taylor et al., 2010; Westrate et al., 1989). This developmental pattern supports the idea that a low WHR is a relatively conspicuous marker of nubility(in addition to other signs of sexual maturity which may be less readily assessable, such as menstruation, breast andpubic-hair development, and attainment of maximal stature).In well-nourished populationsBMIs are also lower in nubile adolescents than in older women. In a longitudinal study of American women that began in the 1930’s, the mean BMI increased from 16.7 kg/m2in early adolescence to 18.9 in late adolescence, 22.1 at age 30, 24.1 at age 40, and 26.1 at age 50 (Casey et al., 1994). Cross-sectional female samples show parallel age-related weight increases (highly correlated with BMI) (Abraham et al., 1979;Burke et al., 1996; Schutz et al., 2002; Stoudt et al., 1965). Controlling for social class and parity, age was a significant predictor of BMI in a large United Kingdom sample (Gulliford et al., 1992). In a study in which males estimated the age of femalefigures varying in BMI and WHR (Singh, 1995), they judged the figures with the lowest BMIs (15) to be the youngest,with an estimated age of 17-19.We will explore the relationship of WHR and BMI with age in a large American sample.However, in contrast to women in well-nourished groups, in subsistence populations women’s BMIs may peak at the age of nubility and subsequently decreasewith age and parity (see Lassek &Gaulin,2006). Notably, men in such populations often prefer the higher BMIs which in these cultures indicate nubility (Sherry &Marlowe 2007, Sugiyama,2005; Yu &Shepard,1998). Thus, a consistent preference for the BMIs most strongly associated with nubility could explain an apparent cross-cultural inconsistency in body-shape preferences,which is difficult to explain using the health-and-fertility hypothesis.

1.3.2 Low WHRs and BMIs and smaller waist sizes indicate a lower likelihood of previous pregnancy
An essential part of Symons’ (1979, 1995) definition of nubility (and the high reproductive value it represents) is the lack of any previous pregnancy(i.e., nulligravidity); nubile womenhaveattained physical and sexual maturity without yet expending any reproductive potential.Priorevidence suggests that a low WHR (or small waist size) is also a strong indicator of nulliparity (Bjorkelund et al., 1996; Gunderson et al., 2004; 2008; 2009; Lanska et al., 1985; Lassek &Gaulin,2006; Lewis et al., 1994; Luoto et al., 2011; Mansour et al., 2009; Rodrigues &Da Costa,2001; Smith et al., 1994; Tonkelaar et al., 1989; Wells et al., 2010). Similarly, a recent study (Butovskya et al., 2017) found a strong positive relationship between WHR and parity in seven traditional societies. Like WHR, BMI also increases with parity in wellnourished populations (Abrams et al., 2013; Bastianet al., 2005;Bobrowet al., 2013; Rodrigues &Da Costa,2001 Kochet al., 2008; Nenkoet al., 2009). Some studies have suggested that BMI may be more strongly related to parity than it is to age (Koch et al., 2008, Nenko et al., 2009), although this may be less true inolder women (Trikudanathanet al., 2013).We will explore the relationships of WHR and BMI to age and parity in a large American sample.In two studies of men’s perceptions, higher WHRs were judged to strongly increase the likelihood of a previous pregnancy (Andrewset al., 2017; Furnham &Reeves, 2006). Thus, anthropometric data suggest that a low WHR and BMI may indicate nulliparity,as well as a young age, and psychological data suggest that men interpret these female features as carrying this information.

1.4 Smaller WHRs and waist sizes indicate greater availability of reproductive resources
Because they have reached sexual maturity but have not yet been pregnant, nubile women should have maximum supplies of reproductive resources that are depleted by pregnancy and nursing, such as the omega-3 fatty acid docosahexaenoic acid (DHA). Many studies have shown that DHA is an important resource supporting neuro-cognitive development ininfants and children(Janssen & Killiaan, 2014; Joffre et al., 2014; Lassek &Gaulin,2014;2015), andDHA stored in adiposeisdepleted by successive pregnancies (Dutta-Roy,2000, Hanebutt et al., 2008; Hornstra,2000; Lassek &Gaulin,2006;2008; Min et al., 2000). Stores of DHA would likely have beenan increasingly important aspect of mate value in the homininlineage as itexperienced dramatic brain expansion.Most of the DHA used for fetal and infant brain development is stored in gluteofemoralfatuntil it is mobilized from this depot during pregnancy and nursing(Lassek &Gaulin, 2006; Rebuffe-Scrive et al., 1985;1987). Indeed,a low WHR is associated with higher circulating levels of DHA (Harris et al., 2012; Karlsson et al., 2006; Micallef et al., 2009; Wang et al., 2008), as isa smaller waist size and lower levels ofabdominal fat(Alsahari et al, 2017; Bender et al., 2014; Howe et al., 2014; Karlsson et al., 2006; Wagner et al., 2015). Thus, young women with smaller waists and WHRs are likely to have higher levels of DHA in their stored fat and so can provide more DHA to their children during pregnancy and nursing which may result in enhanced cognitive ability in their offspring. Consistent with thepossibilitythat female body shape reveals stored neuro-cognitive resources, in a large sample of American mothers those with lower WHRs had children who scored higher on cognitive tests (controlling for other relevant factors, including income and education variables) (Lassek &Gaulin,2008). Moreover, the children ofteenage mothers, at particular risk for cognitive deficits, scoredsignificantly better on cognitive tests when their mothers had lower WHRs. To further examine the reproductive role of the gluteofemoral depot,we will assess the relationship of the waist/thigh ratio to plasma levels of DHA.

Around 75 pct of the minimum wage increase in Hungary was paid by consumers and 25 pct by firm owners; disemployment effects were greater in industries where passing the wage costs to consumers is more difficult

Who Pays for the Minimum Wage? Péter Harasztosi, Attila Lindner. American Economic Review, forthcoming, https://www.aeaweb.org/articles?id=10.1257/aer.20171445&&from=f

Abstract: This paper provides a comprehensive assessment of the margins along which firms responded to a large and persistent minimum wage increase in Hungary. We show that employment elasticities are negative but small even four years after the reform; that around 75 percent of the minimum wage increase was paid by consumers and 25 percent by firm owners; that firms responded to the minimum wage by substituting labor with capital; and that dis-employment effects were greater in industries where passing the wage costs to consumers is more difficult. We estimate a model with monopolistic competition to explain these findings.

Why "surprising"? --- The Economist: Global meat-eating is on the rise, bringing surprising benefits

All the year round The Economist behaves like the lawmaker, that never speaks without detracting from human knowledge. Now, benefits of eating meat that are surprising:

The way of more flesh
https://www.economist.com/international/2019/05/04/global-meat-eating-is-on-the-rise-bringing-surprising-benefits
Global meat-eating is on the rise, bringing surprising benefits
The Economist, May 2nd 2019| BEIJING, DAKAR AND MUMBAI
As Africans get richer, they will eat more meat and live longer, healthier lives

THINGS WERE different 28 years ago, when Zhou Xueyu and her husband moved from the coastal province of Shandong to Beijing and began selling fresh pork. The Xinfadi agricultural market where they opened their stall was then a small outpost of the capital. Only at the busiest times of year, around holidays, might the couple sell more than 100kg of meat in a day. With China’s economic boom just beginning, pork was still a luxury for most people.

Ms Zhou now sells about two tonnes of meat a day. In between expert whacks of her heavy cleaver, she explains how her business has grown. She used to rely on a few suppliers in nearby provinces. Now the meat travels along China’s excellent motorway network from as far away as Heilongjiang, in the far north-east, and Sichuan, in the south-west. The Xinfadi market has changed, too. It is 100 times larger than when it opened in 1988, and now lies within Beijing, which has sprawled around it.

Between 1961 and 2013 the average Chinese person went from eating 4kg of meat a year to 62kg. Half of the world’s pork is eaten in the country. More liberal agricultural policies have allowed farms to produce more—in 1961 China was suffering under the awful experiment in collectivisation known as the “great leap forward”. But the main reason the Chinese are eating more meat is simply that they are wealthier.

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In rich countries people go vegan for January and pour oat milk over their breakfast cereal. In the world as a whole, the trend is the other way. In the decade to 2017 global meat consumption rose by an average of 1.9% a year and fresh dairy consumption by 2.1%—both about twice as fast as population growth. Almost four-fifths of all agricultural land is dedicated to feeding livestock, if you count not just pasture but also cropland used to grow animal feed. Humans have bred so many animals for food that Earth’s mammalian biomass is thought to have quadrupled since the stone age (see chart).

Barring a big leap forward in laboratory-grown meat, this is likely to continue. The Food and Agriculture Organisation (FAO), an agency of the UN, estimates that the global number of ruminant livestock (that is, cattle, buffalo, sheep and goats) will rise from 4.1bn to 5.8bn between 2015 and 2050 under a business-as-usual scenario. The population of chickens is expected to grow even faster. The chicken is already by far the most common bird in the world, with about 23bn alive at the moment compared with 500m house sparrows.


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Meanwhile the geography of meat-eating is changing. The countries that drove the global rise in the consumption of animal products over the past few decades are not the ones that will do so in future. Tastes in meat are changing, too. In some countries people are moving from pork or mutton to beef, whereas in others beef is giving way to chicken. These shifts from meat to meat and from country to country are just as important as the overall pattern of growth. They are also more cheering. On a planetary scale, the rise of meat- and dairy-eating is a giant environmental problem. Locally, however, it can be a boon.

Over the past few decades no animal has bulked up faster than the Chinese pig. Annual pork production in that country has grown more than 30-fold since the early 1960s, to 55m tonnes. It is mostly to feed the legions of porkers that China imports 100m tonnes of soybeans every year—two-thirds of trade in that commodity. It is largely through eating more pork and dairy that Chinese diets have come to resemble Western ones, rich in protein and fat. And it is mostly because their diets have altered that Chinese people have changed shape. The average 12-year-old urban boy was nine centimetres taller in 2010 than in 1985, the average girl seven centimetres taller. Boys in particular have also grown fatter.

China’s pork suppliers are swelling, too. Three-fifths of pigs already come from farms that produce more than 500 a year, and Wan Hongjian, vice-president of WH Group Ltd, China’s largest pork producer, thinks the proportion will rise. Disease is one reason. African swine fever, a viral disease fatal to pigs though harmless to people, has swept China and has led to the culling of about 1m hogs. The virus is tough, and can be eradicated only if farms maintain excellent hygiene. Bigger producers are likely to prove better at that.


High on the hog

Yet China’s pork companies are grabbing larger shares of a market that appears almost to have stopped growing. The OECD, a club of mostly rich countries, estimates that pork consumption in China has been more or less flat since 2014. It predicts growth of just under 1% a year over the next decade. If a country that eats so much of the stuff is indeed approaching peak pork, it hints at a big shift in global animal populations. Pigs will become a smaller presence on the global farm.

In 2015 animal products supplied 22% of the average Chinese person’s calorie intake, according to the FAO. That is only a shade below the average in rich countries (24%). “Unlike decades ago, there are no longer large chunks of the population out there that are not yet eating meat,” says Joel Haggard of the US Meat Export Federation, an industry group. And demography is beginning to prove a drag on demand. China’s population will start falling in about ten years’ time. The country is already ageing, which suppresses food consumption because old people eat less than young people do. UN demographers project that, between 2015 and 2050, the number of Chinese in their 20s will crash from 231m to 139m.

Besides, pork has strong competitors. “All over China there are people eating beef at McDonald’s and chicken at KFC,” says Mr Wan. Another fashion—hotpot restaurants where patrons cook meat in boiling pots of broth at the table—is boosting consumption of beef and lamb. Last year China overtook Brazil to become the world’s second-biggest beef market after America, according to the United States Department of Agriculture. Australia exports so much beef to China that the Global Times, a pugnacious state-owned newspaper, has suggested crimping the trade to punish Australia for various provocations.
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The shift from pork to beef in the world’s most populous country is bad news for the environment. Because pigs require no pasture, and are efficient at converting feed into flesh, pork is among the greenest of meats. Cattle are usually much less efficient, although they can be farmed in different ways. And because cows are ruminants, they belch methane, a powerful greenhouse gas. A study of American farm data in 2014 estimated that, calorie for calorie, beef production requires three times as much animal feed as pork production and produces almost five times as much greenhouse gases. Other estimates suggest it uses two and a half times as much water.

Fortunately, even as the Chinese develop the taste for beef, Americans are losing it. Consumption per head peaked in 1976; around 1990 beef was overtaken by chicken as America’s favourite meat. Academics at Kansas State University linked that to the rise of women’s paid work. Between 1982 and 2007 a 1% increase in the female employment rate was associated with a 0.6% drop in demand for beef and a similar rise in demand for chicken. Perhaps working women think beef is more trouble to cook. Beef-eating has risen a little recently, probably because Americans are feeling wealthier. But chicken remains king.

Shifts like that are probably the most that can be expected in rich countries over the next few years. Despite eager predictions of a “second nutrition transition” to diets lower in meat and higher in grains and vegetables, Western diets are so far changing only in the details. Beef is a little less popular in some countries, but chicken is more so; people are drinking less milk but eating more cheese. The EU expects only a tiny decline in meat-eating, from 69.3kg per person to 68.7kg, between 2018 and 2030. Collectively, Europeans and Americans seem to desire neither more animal proteins nor fewer.

If the West is sated, and China is getting there, where is the growth coming from? One answer is India. Although Indians still eat astonishingly little meat—just 4kg a year—they are drinking far more milk, eating more cheese and cooking with more ghee (clarified butter) than before. In the 1970s India embarked on a top-down “white revolution” to match the green one. Dairy farmers were organised into co-operatives and encouraged to bring their milk to collection centres with refrigerated tanks. Milk production shot up from 20m tonnes in 1970 to 174m tonnes in 2018, making India the world’s biggest milk producer. The OECD expects India will produce 244m tonnes of milk in 2027.

All that dairy is both a source of national pride and a problem in a country governed by Hindu nationalists. Hindus hold cows to be sacred. Through laws, hectoring and “cow protection” squads, zealots have tried to prevent all Indians from eating beef or even exporting it to other countries. When cows grow too old to produce much milk, farmers are supposed to send them to bovine retirement homes. In fact, Indian dairy farmers seem to be ditching the holy cows for water buffalo. When these stop producing milk, they are killed and their rather stringy meat is eaten or exported. Much of it goes to Vietnam, then to China (often illegally, because of fears of foot-and-mouth disease).

But neither an Indian milk co-operative nor a large Chinese pig farm really represents the future of food. Look instead to a small, scruffy chicken farm just east of Dakar, the capital of Senegal. Some 2,000 birds squeeze into a simple concrete shed with large openings in the walls, which are covered with wire mesh. Though breezes blow through the building, the chickens’ droppings emit an ammoniac reek that clings to the nostrils. A few steps outside, the ground is brown with blood. Chickens have been stuffed into a makeshift apparatus of steel cones to protect their wings, and their necks cut with a knife.

Though it looks primitive, this represents a great advance over traditional west African farming methods. The chickens in the shed hardly resemble the variegated brown birds that can be seen pecking at the ground in any number of villages. They are commercial broilers—white creatures with big appetites that grow to 2kg in weight after just 35 days. All have been vaccinated against two widespread chicken-killers—Newcastle disease and infectious bursal disease. A vet, Mamadou Diouf, checks on them regularly (and chastises the farmers for killing too close to the shed). Mr Diouf says that when he started working in the district, in 2013, many farmers refused to let him in.

Official statistics suggest that the number of chickens in Senegal has increased from 24m to 60m since 2000. As people move from villages to cities, they have less time to make traditional stews—which might involve fish, mutton or beef as well as vegetables and spices, and are delicious. Instead they eat in cafés, or buy food that they can cook quickly. By the roads into Dakar posters advertise “le poulet prêt à cuire”, wrapped in plastic. Broiler farms are so productive that supermarket chickens are not just convenient but cheap.


Economic vegetarians

Many sub-Saharan Africans still eat almost no meat, dairy or fish. The FAO estimates that just 7% of people’s dietary energy comes from animal products, one-third of the proportion in China. This is seldom the result of religious or cultural prohibitions. If animal foods were cheaper, or if people had more money, they would eat more of them. Richard Waite of the World Resources Institute, an American think-tank, points out that when Africans move to rich countries and open restaurants, they tend to write meat-heavy menus.

Yet this frugal continent is beginning to sway the global food system. The UN thinks that the population of sub-Saharan Africa will reach 2bn in the mid-2040s, up from 1.1bn today. That would lead to a huge increase in meat- and dairy-eating even if people’s diets stayed the same. But they will not. The population of Kenya has grown by 58% since 2000, while the output of beef has more than doubled.

Africa already imports more meat each year than does China, and the OECD’s forecasters expect imports to keep growing by more than 3% a year. But most of the continent’s meat will probably be home-grown. The FAO predicts that in 2050 almost two out of every five ruminant livestock animals in the world will be African. The number of chickens in Africa is projected to quadruple, to 7bn.

This will strain the environment. Although African broilers and battery hens are more or less as productive as chickens anywhere, African cattle are the world’s feeblest. Not only are they poorly fed and seldom visited by vets; in many areas they are treated more as stores of wealth than producers of food. Africa has 23% of the world’s cattle but produces 10% of the world’s beef and just 5% of its milk.

Lorenzo Bellù of the FAO points out that herders routinely encroach on national parks and private lands in east Africa. He finds it hard to imagine that the continent’s hunger for meat will be supplied entirely by making farming more efficient. Almost certainly, much forest will be cut down. Other consequences will be global. Sub-Saharan Africans currently have tiny carbon footprints because they use so little energy—excluding South Africa, the entire continent produces about as much electricity as France. The armies of cattle, goats and sheep will raise Africans’ collective contribution to global climate change, though not to near Western or Chinese levels.


The low-productivity horns of Africa

People will probably become healthier, though. Many African children are stunted (notably small for their age) partly because they do not get enough micronutrients such as Vitamin A. Iron deficiency is startlingly common. In Senegal a health survey in 2017 found that 42% of young children and 14% of women are moderately or severely anaemic. Poor nutrition stunts brains as well as bodies.

Animal products are excellent sources of essential vitamins and minerals. Studies in several developing countries have shown that giving milk to schoolchildren makes them taller. Recent research in rural western Kenya found that children who regularly ate eggs grew 5% faster than children who did not; cow’s milk had a smaller effect. But meat—or, rather, animals—can be dangerous, too. In Africa chickens are often allowed to run in and out of people’s homes. Their eggs and flesh seem to improve human health; their droppings do not. One study of Ghana finds that childhood anaemia is more common in chicken-owning households, perhaps because the nippers caught more diseases.

Africans’ changing diets also create opportunities for local businesses. As cities grow, and as people in those cities demand more animal protein, national supply chains become bigger and more sophisticated. Animal breeders, hatcheries, vets and trucking companies multiply. People stop feeding kitchen scraps to animals and start using commercial feed. In Nigeria the amount of maize used for animal-feed shot up from 300,000 tonnes to 1.8m tonnes between 2003 and 2015.

You can see this on the outskirts of Dakar—indeed, the building is so big that you can hardly miss it. NMA Sanders, a feed-mill, turned out some 140,000 tonnes of chicken feed last year, up from 122,000 the year before, according to its director of quality, Cheikh Alioune Konaté. The warehouse floor is piled high with raw ingredients: maize from Morocco, Egypt and Brazil; soya cake from Mali; fishmeal from local suppliers. The mill has created many jobs, from the labourers who fill bags with pelleted feed to the technicians who run the computer system, and managers like Mr Konaté. Lorries come and go.

It is often said that sub-Saharan Africa lacks an industrial base, and this is true. Just one car in every 85 is made in Africa, according to the International Organisation of Motor Vehicle Manufacturers. But to look only for high-tech, export-oriented industries risks overlooking the continent’s increasingly sophisticated food-producers, who are responding to urban demand. Ideally, Africa would learn to fill shipping containers with clothes and gadgets. For now, there are some jobs to be had filling bellies with meat.

This article appeared in the International section of the print edition under the headline "A meaty planet"

When choosing among an overabundance of alternatives, participants express more positive feelings (i.e., higher satisfaction/confidence, lower regret & difficulty) if all the options of the choice set are associated with familiar brands

The Role of the Brand on Choice Overload. Raffaella Misuraca. Mind & Society, May 8 2019. https://link.springer.com/article/10.1007/s11299-019-00210-7

Abstract: Current research on choice overload has been mainly conducted with choice options not associated with specific brands. This study investigates whether the presence of brand names in the choice set affects the occurrence of choice overload. Across four studies, we find that when choosing among an overabundance of alternatives, participants express more positive feelings (i.e., higher satisfaction/confidence, lower regret and difficulty) when all the options of the choice set are associated with familiar brands, rather than unfamiliar brands or no brand at all. We also find that choice overload only appears in the absence of brand names, but disappears when all options contain brand names—either familiar or unfamiliar. Theoretical and practical implications are discussed.

Keywords: Choice overload Brand Consumer decisions Decision-making

Retrofitting the 29 mn UK homes would cost £4.3 tn; if the energy bill of £2000 per year were to be halved, savings would be £29 bn/year; payback time would be 150 years

Decarbonisation and the Command Economy. Michael Kelly. GWPF, May 8 2019. https://www.thegwpf.com/decarbonisation-and-the-command-economy

The costs of retrofitting exiting domestic buildings to improve energy efficiency and reduce CO2 emissions, compared with the savings on energy bills, represent a wholly unsatisfactory return on investment from a family perspective. A command economy would be required to make any serious inroads on the challenge as proposed by the Committee on Climate Change.

In its recent (February 2019) report, ‘UK Housing: Fit for the Future?’, the 29 million existing homes must be made low-carbon, low-energy and resilient to climate change. This note is an abbreviated update of a study[1] I prepared subsequent to a three-year appointment as Chief Scientific Adviser to the Department for Communities and Local Government during 2006–9. I also delivered an ‘amateur’ prospectus to the Council, University, Business and Entrepreneurial sectors of the City of Cambridge, with an estimated bill of £0.7–1 billion to retrofit the 49,000 houses and 5500 other buildings within the city boundaries to halve the net CO2 emissions.

On the basis of a presentation I made to the then Science Minister, Lord Drayson, in 2008, the Government launched a pilot ‘Retrofit for the Future’ programme, with £150,000 devoted to over 100 houses in the housing association sector. This programme, and its outcomes[2], did not rate a mention in the recent CCC report. However, I have visited one of these, and seen a 60% (the target was 80%) reduction in CO2 emissions after the retrofit: full wall insulation, underfloor insulation, use of the newest appliances etc. At this rate of spend, the 29 million existing homes across the UK would cost £4.3 trillion to retrofit. If the typical energy bill of £2000 per year were to be halved, the saving would be £29 billion per year and the payback time would be 150 years! Who would lend/invest on that basis?

In fact, the £150,000 limit was set to ensure that the end target of 80% CO2 emissions could be met[3], on the understanding that economies of scale and learning by doing would reduce the cost per household by at most 3–5-fold. However, how much reduction in cost is required before private individuals would invest in improving the energy efficiency of their home? This would be limited by the conditions set by lenders, and they want a payback of 3-4 years on most investments, stretching to say 7-8 years on infrastructure investments in the home. The implied ceiling of lending of £10,000 per house goes nowhere on energy efficiency measures and would not give a 50%, let alone 80%, energy reduction.


Only if there is a Government direction to spend this scale of money on this issue will any significant inroads be made in energy reductions in existing houses. No political party would commit to this level of spend on a national retrofit programme until the need is pressing and urgent, not on a distant horizon. There is no ducking or diving from this conclusion.

The progress since the 2010 CCC report on housing[4] is nugatory, and a third report will be rewritten again in 10 years, with similar pleas.

Michael Kelly is Prince Philip Professor of Technology (emeritus) at the University of Cambridge and a former chief scientist at the Department of Communities and Local Government.

---
[1] See original article at the link above

[2] Rajat Gupta, Matt Gregg, Stephen Passmore & Geoffrey Stevens:, ‘Intent and outcomes from the Retrofit for the Future programme: key lessons’, Building Research & Information, 43:4, 435-451, 2015. DOI: 10.1080/09613218.2015.1024042. See . https://www.tandfonline.com/doi/pdf/10.1080/09613218.2015.1024042

[3] . Note that only 3 of 45 projects, where the full data was available, actually met the 80% reduction target.

[4] https://www.theccc.org.uk/archive/aws2/0610/pr_meeting_carbon_budgets_chapter3_progress_reducing_emmissions_buildings_industry.pdf

Ray of hope: Hopelessness Increases Preferences for Brighter Lighting

Francis, G., & Thunell, E. (2019). Excess Success in “Ray of hope: Hopelessness Increases Preferences for Brighter Lighting”. Collabra: Psychology, 5(1), 22. DOI: http://doi.org/10.1525/collabra.213

Abstract: Dong, Huang, and Zhong (2015) report five successful experiments linking brightness perception with the feeling of hopelessness. They argue that a gloomy future is psychologically represented as darkness, not just metaphorically but as an actual perceptual bias. Based on multiple results, they conclude that people who feel hopeless perceive their environment as darker and therefore prefer brighter lighting than controls. Reversely, dim lighting caused participants to feel more hopeless. However, the experiments succeed at a rate much higher than predicted by the magnitude of the reported effects. Based on the reported statistics, the estimated probability of all five experiments being fully successful, if replicated with the same sample sizes, is less than 0.016. This low rate suggests that the original findings are (perhaps unintentionally) the result of questionable research practices or publication bias. Readers should therefore be skeptical about the original results and conclusions. Finally, we discuss how to design future studies to investigate the relationship between hopelessness and brightness.

Keywords: Excess success ,   publication bias ,   brightness perception ,   perceptual bias ,   statistics 

Differences in how men and women describe their traits are typically larger in highly gender egalitarian cultures; replicated in one of the largest number of cultures yet investigated—58 nations of the ISDP-2 Project

Why Sometimes a Man is more like a Woman. David P Schmitt. Chapter 12 of In Praise of An Inquisitive Mind. Anu Realo, Ed. Univ. of Tartu Press, 2019. https://warwick.ac.uk/fac/sci/psych/people/arealo/arealo/publications/allik_festschrift_2019.pdf

Among his many achievements, Jüri Allik and his colleagues were among the first to document a cross-cultural “gender paradox” in people’s self-reported personality traits. Namely, differences in how men and women describe their traits are typically larger and more conspicuous in highly gender egalitarian cultures (e.g., across Scandinavia where women and men experience more similar gender roles, sex role socialization, and sociopolitical gender equity) compared to less gender egalitarian cultures (e.g., across Africa or South/Southeast Asia). It is my honor to celebrate Jüri Allik’s sterling career with this chapter on sex differences in personality traits across one of the largest number of cultures yet investigated—58 nations of the International Sexuality Description Project-2 (ISDP-2). In this dataset, the gender paradoxical findings were replicated, with sex differences in Big Five personality traits being demonstrably larger in more gender egalitarian cultures. In our current era of most findings from classic psychological science failing to replicate, this successful replication serves as a testament to Jüri Allik’s status as among the most rigorous and prescient scientists within the field of personality psychology.


Politically incorrect paper: Given that sex egalitarian countries tend to have the greatest sex differences in personality & occupational choices, sex specific policies (increasing vacancies for the sex with lower hire proportion) may not be effective:
Sex and Care: The Evolutionary Psychological Explanations for Sex Differences in Formal Care Occupations. Peter Kay Chai Tay, Yi Yuan Ting and Kok Yang Tan. Front. Psychol., April 17 2019. https://www.bipartisanalliance.com/2019/04/incorrect-paper-given-that-sex.html

2002-2016: Binge drinking decreased substantially among US adolescents across time, age, gender, and race/ethnicity; alcohol abstention increased among US adolescents over the past 15 years

Trends in binge drinking and alcohol abstention among adolescents in the US, 2002-2016. Trenette Clark Goings et al. Drug and Alcohol Dependence, May 8 2019. https://doi.org/10.1016/j.drugalcdep.2019.02.034

Highlights
•    Binge drinking decreased substantially among US adolescents across time
•    Binge drinking decreased across age, gender, and race/ethnicity
•    Alcohol abstention increased among US adolescents over the past 15 years

Abstract
Background: Binge drinking accounts for several adverse health, social, legal, and academic outcomes among adolescents. Understanding trends and correlates of binge drinking and alcohol abstention has important implications for policy and programs and was the aim of this study. The current study examined trends in adolescent binge drinking and alcohol abstention by age, gender, and race/ethnicity over a 15-year period.

Methods: Respondents between the ages of 12 and 17 years who participated in the National Survey on Drug Use and Health (NSDUH) between 2002 and 2016 were included in the sample of 258,309. Measures included binge drinking, alcohol abstention, and co-morbid factors (e.g., marijuana, other illicit drugs), and demographic factors.

Results: Logistic regression analyses were conducted to examine the significance of trend changes by sub-groups while controlling for co-morbid and demographic factors. Findings indicated that binge drinking decreased substantially among adolescents in the US over the last 15 years. This decrease was shown among all age, gender, and racial/ethnic groups. In 2002, Year 1 of the study, 26% of 17-year-olds reported past-month binge drinking; in 2016, past-month binge drinking dropped to 12%. Findings also indicated comparable increases in the proportion of youth reporting abstention from alcohol consumption across all subgroups. Black youth reported substantially lower levels of binge alcohol use and higher levels of abstention, although the gap between Black, Hispanic and White youth narrowed substantially between 2002 and 2016.

Conclusion: Study findings are consistent with those of other research showing declines in problem alcohol- use behavior among youth.

Voice of Authority: Professionals Lower Their Vocal Frequencies When Giving Expert Advice

Voice of Authority: Professionals Lower Their Vocal Frequencies When Giving Expert Advice. Piotr Sorokowski et al. Journal of Nonverbal Behavior, May 7 2019. https://link.springer.com/article/10.1007/s10919-019-00307-0

Abstract: Acoustic analysis and playback studies have greatly advanced our understanding of between-individual differences in nonverbal communication. Yet, researchers have only recently begun to investigate within-individual variation in the voice, particularly how people modulate key vocal parameters across various social contexts, with most of this research focusing on mating contexts. Here, we investigated whether men and women modulate the frequency components of their voices in a professional context, and how this voice modulation affects listeners’ assessments of the speakers’ competence and authority. Research assistants engaged scientists working as faculty members at various universities in two types of speech conditions: (1) Control speech, wherein the subjects were asked how to get to the administrative offices on that given campus; and (2) Authority speech, wherein the same subjects were asked to provide commentary for a radio program for young scholars titled, “How to become a scientist, and is it worth it?”. Our results show that male (n = 27) and female (n = 24) faculty members lowered their mean voice pitch (measured as fundamental frequency, F0) and vocal tract resonances (measured as formant position, Pf) when asked to provide their expert opinion compared to when giving directions. Notably, women lowered their mean voice pitch more than did men (by 33 Hz vs. 14 Hz) when giving expert advice. The results of a playback experiment further indicated that foreign-speaking listeners judged the voices of faculty members as relatively more competent and more authoritative based on authority speech than control speech, indicating that the observed nonverbal voice modulation effectively altered listeners’ perceptions. Our results support the prediction that people modulate their voices in social contexts in ways that are likely to elicit favorable social appraisals.

Keywords: Authority Fundamental frequency Voice pitch Formant frequencies Voice modulation

Spouses' Faces Are Similar but Do Not Become More Similar with Time

Tea-mangkornpan, Pin Pin, and Michal Kosinski. 2019. “Spouses' Faces Are Similar but Do Not Become More Similar with Time.” PsyArXiv. May 8. doi:10.31234/osf.io/d7hpj

Abstract: The convergence in physical appearance hypothesis posits that long-term partners’ faces become more similar with time as a function of the shared environment, diet, and synchronized facial expressions. While this hypothesis has been widely disseminated in psychological literature, it is supported by a single study of 12 married couples. Here, we examine this hypothesis using the facial images of 517 couples taken at the beginning of their marriage and 20 or more years later. Their facial similarity is estimated using two independent methods: human judgments and a facial recognition algorithm. The results show that while spouses’ faces tend to be similar at marriage, they do not converge over time. In fact, they become slightly less similar. These findings bring facial appearance in line with other personal characteristics—such as personality, intelligence, interests, attitudes, values, and well-being—through which spouses show initial similarity but no convergence over time.

Tuesday, May 7, 2019

Is Technology Widening the Gender Gap? Female workers are at a significantly higher risk for displacement by automation than male workers; probability of automation is lower for younger cohorts of women, and for managers

Is Technology Widening the Gender Gap? Automation and the Future of Female Employment. Mariya Brussevich, Era Dabla-Norris, Salma Khalid. IMF Working Paper No. 19/91, May 2019. https://www.imf.org/en/Publications/WP/Issues/2019/05/06/Is-Technology-Widening-the-Gender-Gap-Automation-and-the-Future-of-Female-Employment-46684

Summary: Using individual level data on task composition at work for 30 advanced and emerging economies, we find that women, on average, perform more routine tasks than men's tasks that are more prone to automation. To quantify the impact on jobs, we relate data on task composition at work to occupation level estimates of probability of automation, controlling for a rich set of individual characteristics (e.g., education, age, literacy and numeracy skills). Our results indicate that female workers are at a significantly higher risk for displacement by automation than male workers, with 11 percent of the female workforce at high risk of being automated given the current state of technology, albeit with significant cross-country heterogeneity. The probability of automation is lower for younger cohorts of women, and for those in managerial positions.

Can Successful Schools Replicate? It seems they can: Replication charter schools generate large achievement gains on par with those produced by their parent campuses; highly standardized practices in place seem crucial

Can Successful Schools Replicate? Scaling Up Boston's Charter School Sector. Sarah Cohodes, Elizabeth Setren, Christopher R. Walters. NBER Working Paper No. 25796, May 2019. https://www.nber.org/papers/w25796

Abstract: Can schools that boost student outcomes reproduce their success at new campuses? We study a policy reform that allowed effective charter schools in Boston, Massachusetts to replicate their school models at new locations. Estimates based on randomized admission lotteries show that replication charter schools generate large achievement gains on par with those produced by their parent campuses. The average effectiveness of Boston’s charter middle school sector increased after the reform despite a doubling of charter market share. An exploration of mechanisms shows that Boston charter schools reduce the returns to teacher experience and compress the distribution of teacher effectiveness, suggesting the highly standardized practices in place at charter schools may facilitate replicability.

Decreased female fidelity alters male behavior in a feral horse population; the stallions engage in more frequent contests, in more escalated contests, and spend more time vigilant

Decreased female fidelity alters male behavior in a feral horse population managed with immunocontraception. Maggie M. Jones, Cassandra M. V. Nuñez. Applied Animal Behaviour Science, Volume 214, May 2019, Pages 34-41, https://doi.org/10.1016/j.applanim.2019.03.005

Highlights
•    Stallions experiencing increased female turnover engage in more frequent contests.
•    These stallions engage in more escalated contests and spend more time vigilant.
•    Habitat visibility but not female turnover influenced male-female aggression.
•    Home range overlap also influenced male-male interactions.
•    Immunocontraception management indirectly affects stallion behavior.

Abstract: In social species like the feral horse (Equus caballus), changes in individual behavior are likely to affect associated animals. On Shackleford Banks, North Carolina, USA, mares treated with the contraceptive agent porcine zona pellucida (PZP) demonstrate decreased fidelity to their band stallions. Here, we assess the effects of such decreased mare fidelity on male behavior and address potential interactions with habitat visibility, a component of the environment shown to significantly affect feral horse behavior. We compared the frequency and escalation of male-male contests, rates of aggressive and reproductive behaviors directed toward females, and the percentage of time spent vigilant among males experiencing varying levels of mare group changing behavior. We found that regardless of habitat visibility, males experiencing more female group changes engaged in contests at a higher rate (P = 0.003) and escalation (P = 0.029) and spent more time vigilant (P = 0.014) than males experiencing fewer group changes. However, while visibility had a positive effect on aggression directed by stallions toward mares (P = 0.013), female group changing behavior did not influence male-female aggressive or reproductive behaviors (P > 0.1), showing that decreases in mare fidelity altered male-male but not male-female interactions. These results have important implications for feral horse management; PZP-contracepted mares demonstrating prolonged decreases in stallion fidelity may have a disproportionate effect on male behavior. Moreover, our results shed light on the relative influences of female behavior and environmental factors like habitat visibility on male behavior. Such findings can ultimately improve our understanding of how the social and physical environments interact to shape male-male and male-female interactions.

Smokers self-directing their investment trade more frequently, exhibit more biases & achieve lower portfolio returns; those aware of their limited levels of self-control delegate decision making to professional advisors & fund managers

Smoking hot portfolios? self-control and investor decisions. Charline Uhr, Steffen Meyer, Andreas Hackethal. Goethe Universitat's SAFE working paper series; No. 245, March 2019. https://ssrn.com/abstract=3347625

Self-control failure is among the major pathologies (Baumeister et al. (1994)) affecting individual investment decisions which has hardly been measurable in empirical research. We use cigarette addiction identified from checking account transactions to proxy for low self-control and compare over 5,000 smokers to 14,000 nonsmokers. Smokers self-directing their investment trade more frequently, exhibit more biases and achieve lower portfolio returns. We also find that smokers, some of which might be aware of their limited levels of self-control, exhibit a higher propensity than nonsmokers to delegate decision making to professional advisors and fund managers. We document that such precommitments work successfully.


Check alsoWho trades cryptocurrencies, how do they trade it, and how do they perform? Evidence from brokerage accounts. Tim Hasso, Matthias Pelster, Bastian Breitmayer. Journal of Behavioral and Experimental Finance, May 7 2019. https://www.bipartisanalliance.com/2019/05/men-are-more-likely-to-engage-in.html

Neural correlates of trait-like well-being (i.e., the propensity to live according to one’s true nature): Activation & volume of anterior cingulate cortex, orbitofrontal cortex, posterior cingulate cortex, superior temporal gyrus, & thalamus

The neural correlates of well-being: A systematic review of the human neuroimaging and neuropsychological literature. Marcie L. King. Cognitive, Affective, & Behavioral Neuroscience, May 6 2019. https://link.springer.com/article/10.3758/s13415-019-00720-4

Abstract: What it means to be well and to achieve well-being is fundamental to the human condition. Scholars of many disciplines have attempted to define well-being and to investigate the behavioral and neural correlates of well-being. Despite many decades of inquiry into well-being, much remains unknown. The study of well-being has evolved over time, shifting in focus and methodology. Many recent investigations into well-being have taken a neuroscientific approach to try to bolster understanding of this complex construct. A growing body of literature has directly examined the association between well-being and the brain. The current review synthesizes the extant literature regarding the neural correlates of trait-like well-being (i.e., the propensity to live according to one’s true nature). Although reported associations between well-being and the brain varied, some notable patterns were evidenced in the literature. In particular, the strongest and most consistent association emerged between well-being and the anterior cingulate cortex. In addition, patterns of association between well-being and the orbitofrontal cortex, posterior cingulate cortex, superior temporal gyrus, and thalamus emerged. These regions largely comprise the salience and default mode networks, suggesting a possible relationship between well-being and brain networks involved in the integration of relevant and significant stimuli. Various methodological concerns are addressed and recommendations for future research are discussed.

Keywords: Well-being Neural correlates Neuroimaging

Men are more likely to engage in cryptocurrency trading, trade more frequently, and more speculative, respectively; as a result, men realize lower returns than women

Who trades cryptocurrencies, how do they trade it, and how do they perform? Evidence from brokerage accounts. Tim Hasso, Matthias Pelster, Bastian Breitmayer. Journal of Behavioral and Experimental Finance, May 7 2019. https://doi.org/10.1016/j.jbef.2019.04.009

Abstract: We investigate the demographic characteristics, trading patterns, and performance of 465.926 brokerage accounts with respect to cryptocurrency trading. We find that cryptocurrency trading became increasingly popular across individuals of all different groups of age, gender, and trading patterns. Yet, men are more likely to engage in cryptocurrency trading, trade more frequently, and more speculative, respectively. As a result, men realize lower returns. Furthermore, we find that investors vary their trading patterns across different asset classes.

Social media’s enduring effect on adolescent life satisfaction

Social media’s enduring effect on adolescent life satisfaction. Amy Orben, Tobias Dienlin, and Andrew K. Przybylski. Proceedings of the National Academy of Sciences, May 6, 2019 https://doi.org/10.1073/pnas.1902058116

Abstract: In this study, we used large-scale representative panel data to disentangle the between-person and within-person relations linking adolescent social media use and well-being. We found that social media use is not, in and of itself, a strong predictor of life satisfaction across the adolescent population. Instead, social media effects are nuanced, small at best, reciprocal over time, gender specific, and contingent on analytic methods.

Keywords: social mediaadolescentslife satisfactionlongitudinalrandom-intercept cross-lagged panel models

Does the increasing amount of time adolescents devote to social media negatively affect their satisfaction with life? Set against the rapid pace of technological innovation, this simple question has grown into a pressing concern for scientists, caregivers, and policymakers. Research, however, has not kept pace (1). Focused on cross-sectional relations, scientists have few means of parsing longitudinal effects from artifacts introduced by common statistical modeling methodologies (2). Furthermore, the volume of data under analysis, paired with unchecked analytical flexibility, enables selective research reporting, biasing the literature toward statistically significant effects (3, 4). Nevertheless, trivial trends are routinely overinterpreted by those under increasing pressure to rapidly craft evidence-based policies.

Our understanding of social media effects is predominately shaped by analyses of cross-sectional associations between social media use measures and self-reported youth outcomes. Studies highlight modest negative correlations (3), but many of their conclusions are problematic. It is not tenable to assume that observations of between-person associations—comparing different people at the same time point—translate into within-person effects—tracking an individual, and what affects them, over time (2). Drawing this flawed inference risks misinforming the public or shaping policy on the basis of unsuitable evidence.

To disentangle between-person associations from within-person effects, we analyzed an eight-wave, large-scale, and nationally representative panel dataset (Understanding Society, the UK Household Longitudinal Study, 2009–2016) using random-intercept cross-lagged panel models (2). We adopted a specification curve analysis framework (3, 5)—a computational method which minimizes the risk that a specific profile of analytical decisions yields false-positive results. In place of a single model, we tested a wide range of theoretically grounded analysis options [data is available on the UK data service (6); code is available on the Open Science Framework (7)]. The University of Essex Ethics Committee has approved all data collection on Understanding Society main study and innovation panel waves, including asking consent for all data linkages except to health records not used in this study.

While 12,672 10- to 15-y-olds took part, the precise number of participants for any analysis varied by age and whether full or imputed data were used (range, n = 539 to 5,492; median, n = 1,699). Variables included (i) a social media use measure: “How many hours do you spend chatting or interacting with friends through a social website like [Bebo, Facebook, Myspace] on a normal school day?” (5-point scale); (ii) six statements reflecting different life satisfaction domains (7-point visual analog scale); and (iii) seven child-, caregiver-, and household-level control variables used in prior work (3). We report standardized coefficients for all 2,268 distinct analysis options considered.

We first examined between-person associations (Fig. 1, Left), addressing the question Do adolescents using more social media show different levels of life satisfaction compared with adolescents using less? Across all operationalizations, the median cross-sectional correlation was negative (ψ = −0.13), an effect judged as small by behavioral scientists (8). Next, we examined the within-person effects of social media use on life satisfaction (Fig. 1, Center) and of life satisfaction on social media use (Fig. 1, Right), asking the questions Does an adolescent using social media more than they do on average drive subsequent changes in life satisfaction? and To what extent is the relation reciprocal? Both median longitudinal effects were trivial in size (social media predicting life satisfaction, β = −0.05; life satisfaction predicting social media use, β = −0.02).

Who is susceptible in three false memory tasks? No one type of person seems especially prone, or especially resilient, to the ubiquity of memory distortion

Who is susceptible in three false memory tasks? Rebecca M. Nichols & Elizabeth F. Loftus. Memory, May 2 2019. https://doi.org/10.1080/09658211.2019.1611862

ABSTRACT: Decades of research show that people are susceptible to developing false memories. But if they do so in one task, are they likely to do so in a different one? The answer: “No”. In the current research, a large number of participants took part in three well-established false memory paradigms (a misinformation task, the Deese-Roediger-McDermott [DRM] list learning paradigm, and an imagination inflation exercise) as well as completed several individual difference measures. Results indicate that many correlations between false memory variables in all three inter-paradigm comparisons are null, though some small, positive, significant correlations emerged. Moreover, very few individual difference variables significantly correlated with false memories, and any significant correlations were rather small. It seems likely, therefore, that there is no false memory “trait”. In other words, no one type of person seems especially prone, or especially resilient, to the ubiquity of memory distortion.

KEYWORDS: False memory, memory distortion, misinformation, DRM, imagination inflation, individual differences, false memory susceptibility

Is the Global Prevalence Rate of Adult Mental Illness Increasing over Time? No, the prevalence increase of adult mental illness is small, mainly related to demographic changes

Richter, Dirk, Abbie Wall, Ashley Bruen, and Richard Whittington. 2019. “Is the Global Prevalence Rate of Adult Mental Illness Increasing over Time? Systematic Review and Meta-analysis of Repeated Cross-sectional Population Surveys.” PsyArXiv. May 6. psyarxiv.com/5a7ye

Abstract
Objectives: The question whether mental illness prevalence rates are increasing is a controversially debated topic. Epidemiological articles and review publications that look into this research issue are often compromised by methodological problems. The present study aimed at using a meta-analysis technique that is usually applied for the analysis of intervention studies to achieve more transparency and statistical precision.

Methods: We searched Pubmed, PsycInfo, CINAHL, Google Scholar and reference lists for repeated cross-sectional population studies on prevalence rates of adult mental illness based on ICD- or DSM-based diagnoses, symptom scales and distress scales that used the same methodological approach at least twice in the same geographical region. The study is registered with PROSPERO (CRD42018090959).

Results: We included 44 samples from 42 publications, representing 1,035,697 primary observations for the first time point and 783,897 primary observations for the second and last time point. Controlling for a hierarchical data structure, we found an overall global prevalence increase odds ratio of 1.179 (95%-CI: 1.065 – 1.305). A multivariate meta-regression suggested relevant associations with methodological characteristics of included studies.

Conclusions: We conclude that the prevalence increase of adult mental illness is small and we assume that this increase is mainly related to demographic changes.