Sunday, October 27, 2019

Economist trying to model optimal choosing, under- and over-reaction, mental accounting, rational inattention, etc., under cognitive constraints

A Theory of Narrow Thinking. Chen Lian. MIT, May 24, 2019. https://economics.mit.edu/files/15186

Abstract: I develop an approach, which I term narrow thinking, to break the decision-maker’s ability to perfectly coordinate her multiple decisions. For a narrow thinker, different decisions are based on different, non-nested, information. The narrow thinker then makes each decision with an imperfect understanding of the others. Formally, it is as if the decision-maker is a collection of multiple selves playing an incomplete-information game. The friction effectively attenuates the degree of interaction across decisions and can translate into either over- or under-reaction depending on the environment. Narrow thinking leads to a violation of the fungibility principle and a smooth model of mental accounting. Narrow thinking also reconciles other seemingly disparate phenomena ina unified framework, suchas excess smoothness to taste shocks, the small wage elasticity of daily labor supply, and the label effect. Finally, I study an endogenous narrow thinking problem: the decision maker chooses optimally what information each decision is based upon, subject to a cognitive constraint.

Keywords: boundedrationality,narrowbracketing,incompleteinformation,multipleselves, mental accounting

7 Conclusion
Each decision maker faces multiple economic decisions, and makes these decisions separately. Nevertheless, in standard modeling practice, we implicitly assume perfect self-coordination among all these decisions. It is as if the decision maker determines all her decisions together. In this paper, I try to break such perfection. I develop an approach, narrow thinking, to capture the decision maker’s difficulty in coordinating her multiple decisions. The notion of narrow thinking is that differentdecisionsarebasedondifferent, non-nested, information. This notion is motivated by the psychological observation that the decision maker may not incorporate all the relevant information when making each decision. Under narrow thinking, each decision of the decision maker is made with an imperfect understanding of other decisions. In response to shocks to the fundamental, it is as if each decision is made caring less about the influence of other decisions. I then show how narrow thinking can provide a unified explanation to seemingly disparate behavioral phenomena, including both under-reaction and over-reaction. A general principle is: when the indirect effect works in the same direction as the direct effect, narrow thinking leads to under-reaction; when the indirect effect works in the opposite direction to the direct effect, a dampening of the indirect effect under narrow thinking leads to over-reaction. Finally, let me outline two potential avenues for future research. A first possibility is to explore the general equilibrium implications of narrow thinking. A second possibility is to conduct an experimental test of narrow thinking, along the line of the potential experiment I discussed at the end of Section 3.

1.1 Related Literature
This paper builds on, and adds to, the growing literature on rational inattention (Sims, 2003; Mackowiak and Wiederholt, 2009; Matejka, 2015, 2016; Matejka and McKay, 2015; Koszegi and Matejka, 2018)3 and sparsity (Gabaix, 2014, 2017). There, the key friction is the decision maker’s imperfect perception of the fundamental, while the decision maker perfectly knows her other decisions when making a particular decision. On the other hand, the narrow thinking approach lets different decisions be based on different, non-nested, information and captures the friction that each decision can be made with an imperfect understanding of other decisions. As the decision problem under narrow thinking is equivalent to multiple selves playing an incomplete information game, the paper also builds upon the literature on incomplete information “beauty contests” (Morris and Shin, 2002; Angeletos and Pavan, 2007; Bergemann and Morris, 2013). This literature studies linear best-response games under incomplete information. A key insightfromtheliteratureisthatincompleteinformationcanattenuatetheequilibriuminteraction (Angeletos and Lian, 2016, 2018; Bergemann, Heumann and Morris, 2017). In these works, the behavior of each individual is frictionless and the focus is on inter-personal coordination friction and macroeconomic applications. The current paper, on the other hand, focuses on intra-personal friction in coordinating a decision maker’s multiple decisions and behavioral applications. This change of focus permits me to build a bridge between the incomplete information literature and the bounded rationality literature. The paper then shows how such intra-personal frictions can deliver a novel theory to reconcile seemingly disparate behavioral phenomena. By viewing the decision maker as a team of multiple selves, the paper also connects to the literature on multiple-selves and team theory. The multiple-selves literature (Piccione and Rubinstein, 1997; Benabou and Tirole, 2002, 2003, 2004; Gottlieb, 2014, 2017) uses environments in which multiple selves have conflicted interests to model motivated beliefs and reasoning, and explores reasons why the decision maker’s beliefs and behavior can be systematically biased. The multiple selves of the narrow thinker, on the other hand, have common interests, and the focus of the current paper is about frictional behavior in response to shocks. Narrow thinking does not necessarily lead to systematical bias on average. The team theory literature (Marschak and Radner, 1972; Dessein, Galeotti and Santos, 2016), on the other hand, mostly focuses on optimal information design in an organization. Angeletos and Pavan (2007) develop a method to use team theory to find the constrained efficient allocation in an economy with dispersed information. Angeletos and Pavan (2009), Lorenzoni (2010) and Angeletos and La’O (2018) then use the method to characterize optimal policy with informational frictions. Multiple cognitive frictions can let different decisions be made based on different, non-nested, information. For example, Gennaioli and Shleifer (2010), Kahana (2012), Wilson (2014), Bordalo, Gennaioli and Shleifer (2017) and Jehiel and Steiner (2018) on bounded recall, and Tversky and Kahneman(1973)andKahneman(2011)onheuristics,biases,andselectiveretrievalfrommemory. These works therefore provide complementarity justification for the kind of frictions that define narrow thinking. Gennaioli and Shleifer (2010) use the term “local thinker” to describe a decision maker whose bounded recall follows the representativeness heuristic, and study the implication for single-decision problems. The current paper, on the other hand, focuses on the decision maker’s difficulty in coordinating her multiple decisions. On the applied side, narrow thinking provides a unified framework to explain different behavioral phenomena. Depending on the environment, narrow thinking can translate into either over- or under-reaction. Applications studied in the paper connect to the literature on narrow bracketing (Rabin and Weizsacker, 2009), mental accounting (Thaler, 1985, 1999; Heath and Soll, 1996; Hastings and Shapiro, 2013; Abeler and Marklein, 2016), excessive sensitivity to temporary income shock (Parker et al., 2013; Kueng, 2018), the small cross-price demand elasticity (Gabaix and Laibson, 2006; Abaluck and Gruber, 2011, 2016; Allcott and Taubinsky, 2015) and the small wage elasticity of daily labor supply (Camerer et al., 1997; Farber, 2015; Thakral and To, 2017). For each application, narrow thinking’s distinct economic implications and testable predictions will be discussed. Koszegi and Matejka (2018) is a recent, complementary, paper that shares the focus on an information-based theory of mental accounting. That paper stays within the rational inattention paradigm, and different decisions are based on the same, imperfect, information.

Does Childhood Religiosity Delay Death? Only for those confined to those who downgraded their religiosity

Does Childhood Religiosity Delay Death? Laura Upenieks, Markus H. Schafer, Andreea Mogosanu. Journal of Religion and Health, October 25 2019. https://link.springer.com/article/10.1007/s10943-019-00936-1

Abstract: This study explores the potential long-term health effects of religiosity in the childhood home. Analyses use retrospective childhood data from the MIDUS survey linked to National Death Index records from 1995 to 2014. Findings from Cox proportional hazard models suggest that children brought up in highly religious households have a higher risk of mortality than those socialized in more moderately religious households, this despite such individuals having better overall health profiles. The surprising link between high childhood religiosity and mortality was confined to those who downgraded their religiosity. Those who intensified from moderate to high religiosity, in fact, seemed to be most protected. We call for future research to more clearly specify the intervening mechanisms linking childhood religion with adult health and mortality over the life course.

Keywords: Religiosity Socialization Health behaviors Life course Mortality

Saturday, October 26, 2019

Why does the mind wander? Maybe when the agent’s current goal is deemed insufficiently rewarding, the cognitive control system initiates a search for a new, more rewarding goal

Why does the mind wander? Joshua Shepherd. Neuroscience of Consciousness, Volume 2019, Issue 1, October 22 2019, niz014, https://doi.org/10.1093/nc/niz014

Highlights
. Makes a novel and empirically tractable proposal regarding why the mind wanders
. Offers novel explanations of data on mind wandering
. Offers predictions for future work on mind wandering
. Integrates literature on cognitive control with the literature on mind wandering
. Discusses implications for a philosophical account of the nature of mind wandering

Abstract: I seek an explanation for the etiology and the function of mind wandering episodes. My proposal—which I call the cognitive control proposal—is that mind wandering is a form of non-conscious guidance due to cognitive control. When the agent’s current goal is deemed insufficiently rewarding, the cognitive control system initiates a search for a new, more rewarding goal. This search is the process of unintentional mind wandering. After developing the proposal, and relating it to the literature on mind wandering and on cognitive control, I discuss explanations the proposal affords, testable predictions the proposal makes, and philosophical implications the proposal has.

Predictions

The cognitive control proposal makes predictions. Confirmation of these would be good news; disconfirmation would be bad news.
First, given the explanation offered for the initiation of mind wandering episodes, the proposal predicts that increases in reward for satisfying an occurrent goal would correlate with decreases in propensity to mind wander. It is well-confirmed that increasing reward leads to boosts in performance level, and to overcoming any purported “ego-depletion,” even for very boring tasks. Paradigms that have established this result could be used to test for the place of mind wandering in the behavioral data.
Second, the proposal predicts that increases in reward for non-occurrent goals the agent possesses would increase mind wandering. We have already seen that reminding agents of goals they possess, or of goals they will soon need to attempt to satisfy, leads to more mind wandering in the direction of these goals. The prediction here is more specific. If one were to, e.g., notify participants that they were soon to perform a task associated with some level of reward, and then to put participants through a low reward task, the prediction is that tendency to mind wander towards this task would be associated with the discrepancy in reward between the current and upcoming task.
Third, this proposal draws upon a view of the cognitive control system on which the learning of values associated with goals, and the learning of values associated with stimuli features predictive of goals, is crucial. So the proposal, plus plausible assumptions about reinforcement learning processes, predicts that it is possible to train participants to associate stimuli with certain goals, and that registration of such stimuli would generate mind wandering to the degree that the associated goal is rewarding. Very costly goals would produce little mind wandering. Cheap but rewarding goals would produce more.
And it may be possible to extend this result. It depends on what the agent associates with rewarding goals. Above I suggested that the system need not always compare value between explicit goals, and that the value computation might include an association between expected levels of reward and particular environments. If so, simply placing an agent in such environments would manipulate levels of unintentional mind wandering.
It may be useful to distinguish predictions this proposal makes from a related proposal: the current concerns hypothesis. The current concerns hypothesis (for which, see Klinger et al. 1973; Smallwood and Schooler 2006) has it that mind wandering is caused by a shift in salience—when one’s current goals (or concerns: here I use these terms interchangeably), become more salient than the external environment, one’s mind begins to wander. As Smallwood explains the view, “attention will be most likely to shift to self-generated material when such information offers larger incentive value than does the information in the external environment” (2013, 524). This proposal is distinct from mine in the following ways. First, I propose a specific mechanism, connected with recent modeling work in cognitive control, to explain the onset of mind wandering. Thus far, of course, the proposal can be seen as a specification of the current concerns hypothesis. Second, this mechanism initiates mind wandering not by turning attention to one’s current concerns, but by directed thought to search for a more valuable goal than the present one. So the cognitive control proposal makes predictions the current concerns hypothesis does not. For example, the cognitive control proposal predicts that propensity to mind wander could be increased by devaluing the present goal, independently of the salience of any of one’s current goals. That is, no matter how much one’s current goals or concerns lack salience, once could increase mind wandering by devaluing the occurrent goal. And it predicts that mind wandering will not turn directly to one’s other goals—the mind may wander to the environment, rather than to internal concerns, since this is one way the agent may attempt to find a more rewarding task. So we should, e.g., be able to find episodes of more intense environmental scanning as a part of the mind wandering episode. Indeed, if the environment is expected to contain valuable options, one would predict that this is where attention will go, rather than to any internal space of concerns.
This is not to deny that mind wandering represents a failure in some sense. McVay and Kane (2010b) have argued that mind wandering represents an executive control failure. What fails is a process of goal maintenance: “we suggest that goal maintenance is often hijacked by task-unrelated thought (TUT), resulting in both the subjective experience of mind wandering and habit-based errors” (324). The possibility I am raising is that failures of goal-maintenance could in another sense be successes of a different process. Indeed, perhaps processes of goal-maintenance are closely related to the value-based process of estimating the expected value of continuing on some task, or of searching for a new task, that I propose underlies unintentional mind wandering.
In sum, the proposal is plausible on its face. If correct, it promises to explain a range of data regarding mind wandering, and to explain the—from the agent’s conscious perspective very puzzling—initiation of mind wandering episodes. The proposal may also contribute to explanations of the dynamics of mind wandering. The predictions this proposal makes are testable, and work in this direction might take steps towards further integrating knowledge of how cognitive control works with knowledge of how mind wandering works.

Neuronal detection chemoreceptor in the accessory olfactory system helps avoid peptides derived from a virulence regulator of bacteria; nematodes, fruitflies, fishes & humans seem to have it too

Bacterial MgrB peptide activates chemoreceptor Fpr3 in mouse accessory olfactory system and drives avoidance behaviour. Bernd Bufe, Yannick Teuchert, Andreas Schmid, Martina Pyrski, Anabel Pérez-Gómez, Janina Eisenbeis, Thomas Timm, Tomohiro Ishii, Günter Lochnit, Markus Bischoff, Peter Mombaerts, Trese Leinders-Zufall & Frank Zufall. Nature Communications, volume 10, 4889, October 25 2019. https://www.nature.com/articles/s41467-019-12842-x

Abstract: Innate immune chemoreceptors of the formyl peptide receptor (Fpr) family are expressed by vomeronasal sensory neurons (VSNs) in the accessory olfactory system. Their biological function and coding mechanisms remain unknown. We show that mouse Fpr3 (Fpr-rs1) recognizes the core peptide motif f-MKKFRW that is predominantly present in the signal sequence of the bacterial protein MgrB, a highly conserved regulator of virulence and antibiotic resistance in Enterobacteriaceae. MgrB peptide can be produced and secreted by bacteria, and is selectively recognized by a subset of VSNs. Exposure to the peptide also stimulates VSNs in freely behaving mice and drives innate avoidance. Our data shows that Fpr3 is required for neuronal detection and avoidance of peptides derived from a conserved master virulence regulator of enteric bacteria.

Introduction

A diversity of defence mechanisms have evolved to reduce the burden of infectious disease and to enable survival and reproduction in the face of tremendous pathogen challenges. These mechanisms are generally categorised into three basic strategies: avoidance of exposure to the pathogen (A), resistance to infection (R), and tolerance to the presence of the pathogen (T)1,2. Avoidance is likely to be the most cost-effective way of defence1, yet investigations into the role of the nervous system in mediating this function have only recently begun, and the cellular and molecular mechanisms for infection-avoidance behaviour remain largely unknown. Avoidance mechanisms are based on the remote sensing of pathogen-associated metabolites1 that activate the olfactory and/or other chemosensory systems in the body. In fact, there is now increasing evidence from nematodes3 and fruitflies4 to fishes5, rodents6,7 and humans8,9 that chemosensory cues associated with harmful microbes or inflammation and reduced fitness can be detected and avoided by conspecifics. In the mouse, interest has focused on the vomeronasal organ (VNO), a chemosensory organ that provides sensory input to the accessory olfactory bulb (AOB) in the olfactory forebrain10,11,12. Vomeronasal sensory neurons (VSNs) detect chemostimuli that result in instinctive decisions causing an individual either to be attracted to another individual, to avoid it, or even to attack and kill it11,12,13,14,15. VSNs are also implicated in social identification processes involved in the neural recognition of health status, immunological fitness and genetic compatibility11,16. The vomeronasal system mediates the detection and innate avoidance of sick conspecifics17.
Formyl peptide receptors (Fprs) are innate immune chemoreceptors of the seven transmembrane domain superfamily that recognise bacterial and mitochondrial formylated peptides as well as some other ligands18,19,20,21. In the immune system, Fprs play important roles in the initial sensing of infection through the detection of pathogen- and danger-associated molecular patterns that signal the presence of bacteria18,19. Subsets of mouse VSNs express several distinct immune-related molecules22,23,24 including five Fprs25,26,27,28,29. In analogy to their role in innate immunity, a chemosensory function associated with the identification of pathogens26 or an assessment of the bacterial flora of conspecifics25 has been hypothesised for vomeronasal Fprs as well. However, their precise function in olfaction has remained elusive; no Fpr knockout mice have been analysed in this regard; and there is no causal relationship between Fpr activation and odour-guided behaviour.
Here, we explore the role of Fpr3 (also known as Fpr-rs1, Fprl1, Lxa4r, or LXA4-R; see MGI gene ID 1194495) in olfaction. We find that Fpr3 functions as a pattern recognition receptor for a distinct subset of N-formyl methionine-containing (fMet) peptides that are predominantly present in the signal sequence of the bacterial protein MgrB, a highly conserved regulator of virulence and antibiotic resistance in Enterobacteriaceae. Native mouse VSNs detect such peptides with exquisite selectivity, and peptide-evoked cellular responses are abolished in a novel gene-targeted mouse strain carrying a knockout mutation in the Fpr3 locus. MgrB peptide stimulates VSNs of freely behaving mice and drives a form of innate avoidance that requires Fpr3, the G protein Gαo, and the ion channel Trpc2. We conclude that the chemoreceptor Fpr3 is required in the accessory olfactory system for sensing specific MgrB and MgrB-like peptides and for enabling behavioural avoidance to these bacterial cues.

Why do evening people consider themselves more intelligent than morning individuals? The role of big five, narcissism, and objective cognitive ability

Why do evening people consider themselves more intelligent than morning individuals? The role of big five, narcissism, and objective cognitive ability. Marcin Zajenkowski, Konrad S. Jankowski & Maciej Stolarski. Chronobiology International, Oct 23 2019. https://doi.org/10.1080/07420528.2019.1680559

ABSTRACT: Morningness-eveningness, or chronotype, reflects the timing of sleep-wake patterns across a 24-hour day. Extant research has revealed that chronotype correlates with numerous psychological constructs including cognitive ability. In the current research, we examined how people with different chronotypes perceive their intelligence. We expected eveningness to be positively associated with subjectively assessed intelligence (SAI) because evening chronotypes demonstrate slightly higher intelligence than morning individuals. Furthermore, we considered personality traits (Big Five and narcissism) and objective intelligence (measured with standardized tests of fluid and verbal IQ) as potential variables that could account for this relationship. Across two studies (N = 504 and 232), we found that eveningness was associated with higher SAI. This relationship remained significant even after controlling for objective intelligence. In Study 1, we also found that when conscientiousness and neuroticism were analyzed together with chronotype, the magnitude of positive association between eveningness and SAI increased. Furthermore, Study 2 revealed that evening individuals exhibited higher narcissism, which fully accounted for their intelligence self-views. In the discussion, we speculate that daily struggles of evening chronotypes to function in morning-oriented society give them a basis to think positively about their intelligence to the extent of positive bias.

KEYWORDS: Chronotype, intelligence, morningness-eveningness, narcissism, subjectively assessed intelligence

Friday, October 25, 2019

Customers were cheated in 21 % of grocery stores in Prague, more in tourist-frequented areas; effects of customer's and cashier's gender on the probability of cheating were only small and nonsignificant

Cheating Customers in Grocery Stores: A Field Study on Dishonesty. Marek Vranka et al. Journal of Behavioral and Experimental Economics, October 24 2019, 101484. https://doi.org/10.1016/j.socec.2019.101484

Highlights
• Customers were cheated in 21 % of grocery stores in Prague
• Effects of customer's and cashier's gender on the probability of cheating were only small and nonsignificant
• Customers were more likely to be cheated in tourist-frequented areas than in less frequented ones
• Customers were slightly more likely to be cheated in the morning than in the evening

Abstract: The study measures how often customers are cheated in real-world transactions. In a pre-registered field study in Prague, Czech Republic, hired confederates posed as foreigners unfamiliar with local currency. While buying snacks in grocery stores (N = 259) either in the morning or in the evening, they provided cashiers with an opportunity to steal money from them by keeping more change than they were supposed to. The customers were cheated in 21% of stores, the median overcharge was 54% of the value of an average purchase, and overcharging occurred more often in the stores with on-line reviews mentioning dishonesty of employees. Although males cheated and were cheated slightly more often than females, gender differences were not significant. In contrast with predictions of the Morning Morality Effect, dishonest behavior occurs slightly more often in the morning than in the evening. The results show that cheating of customers in grocery stores is relatively widespread and it is especially prevalent in the central city district where the odds of being cheated are more than three times higher in comparison with the rest of the city.

Keywords: CheatingField studyAgrocery storesRetail employeesMorning morality


The aggregate of the published literature on ego depletion or mental fatigue indicates that prior mental exertion is detrimental to subsequent physical endurance performance

Giboin, Louis-Solal, and Wanja Wolff. 2019. “The Effect of Ego Depletion or Mental Fatigue on Subsequent Physical Endurance Performance: A Meta-analysis.” PsyArXiv. October 25. doi:10.31234/osf.io/mr5pk

Abstract
Two independent lines of research propose that exertion of mental effort can impair subsequent performance due to ego depletion or mental fatigue. In this meta-analysis, we unite these research fields to facilitate a greater exchange between the two, to summarize the extant literature and to highlight open questions.
We performed a meta-analysis to quantify the effect of ego-depletion and mental fatigue on subsequent physical endurance performance (42 independent effect sizes).
We found that ego-depletion or mental fatigue leads to a reduction in subsequent physical endurance performance (ES = -0.506 [95% CI: -0.649, -0.369]) and that the duration of prior mental effort exertion did not predict the magnitude of subsequent performance impairment (r = -0.043). Further, analyses revealed that effects of prior mental exertion are more pronounced in subsequent tasks that use isolation tasks (e.g., handgrip; ES = -0.719 [-0.946, -0.493]) compared to whole-body endurance tasks (e.g. cycling; coefficient = 0.338 [0.057, 0.621]) and that the observed reduction in performance is higher when the person-situation fit is low (ES for high person-situation fit = -0.355 [-0.529, -0.181], coefficient for low person-situation fit = -0.336 [-0.599, -0.073]).
Taken together, the aggregate of the published literature on ego depletion or mental fatigue indicates that prior mental exertion is detrimental to subsequent physical endurance performance. However, this analysis also highlights several open questions regarding the effects’ mechanisms and moderators. Particularly, the surprising finding that the duration of prior mental exertion seems to be unrelated to subsequent performance impairment needs to be addressed systematically.

Some proposed that the Implicit Association Test measures individual differences in implicit social cognition; the claim requires evidence of construct validity; this author says there is insufficient evidence for this claim

The Implicit Association Test: A Method in Search of a Construct. Ulrich Schimmack. Perspectives on Psychological Science, October 24, 2019. https://doi.org/10.1177/1745691619863798

Abstract: In 1998, Greenwald, McGhee, and Schwartz proposed that the Implicit Association Test (IAT) measures individual differences in implicit social cognition. This claim requires evidence of construct validity. I review the evidence and show that there is insufficient evidence for this claim. Most important, I show that few studies were able to test discriminant validity of the IAT as a measure of implicit constructs. I examine discriminant validity in several multimethod studies and find little or no evidence of discriminant validity. I also show that validity of the IAT as a measure of attitudes varies across constructs. Validity of the self-esteem IAT is low, but estimates vary across studies. About 20% of the variance in the race IAT reflects racial preferences. The highest validity is obtained for measuring political orientation with the IAT (64%). Most of this valid variance stems from a distinction between individuals with opposing attitudes, whereas reaction times contribute less than 10% of variance in the prediction of explicit attitude measures. In all domains, explicit measures are more valid than the IAT, but the IAT can be used as a measure of sensitive attitudes to reduce measurement error by using a multimethod measurement model.

Keywords personality, individual differences, social cognition, measurement, construct validity, convergent validity, discriminant validity, structural equation modeling

Deprivation of affectionate communication was associated with husbands’ depression, wives’ loneliness, and both husbands’ and wives’ marital quality and emotional intimacy

Affection Deprivation in Marital Relationships: An Actor-partner Interdependence Mediation Analysis. Colin Hesse, Xi Tian. Journal of Social and Personal Relationships, October 24, 2019. https://doi.org/10.1177/0265407519883697

Abstract: The current study sought to assess the dyadic effects of affection deprivation in marital relationships. We used the tenets of affection exchange theory to examine the actor and partner effects between affectionate communication, affection deprivation, and mental and relational outcomes. Moreover, we tested whether affection deprivation mediated the association between affectionate communication and outcome variables. In terms of actor effects, affectionate communication was associated with husbands’ depression, wives’ loneliness, and both husbands’ and wives’ marital quality and emotional intimacy. Affection deprivation was associated with all outcome variables for husbands and wives, except for wives’ emotional intimacy. We observed significant partner effects between affectionate communication and affection deprivation for both husbands and wives, as well as between wives’ affectionate communication and husbands’ emotional intimacy. Affection deprivation mediated some of the actor and partner effects between affectionate communication and outcome variables. Implications, connections to theory, and directions for future research are discussed.

Keywords Actor–partner interdependence mediation model, affection, marital relationships, mental well-being

Study implications
AET (Floyd, 2006) argues that affectionate communication is adaptive, leading to better mental and relational outcomes. The theory also predicts that individuals possess a range of tolerance for affectionate communication, and that individuals who are under that range will experience affection deprivation, an aversive, nonadaptive response. The current study supports both propositions, but potentially shows a path forward in linking those two predictions more closely. Previous work has stated that the act of giving affection might be adaptive even above and beyond the act of receiving affection (see Floyd et al., 2005). When Baumeister and Leary (1995) wrote about the need to belong, they theorized that this was a basic human need—one that was fundamental to the human experience. Thus, it is possible that giving affectionate communication is adaptive due to the likelihood that one is meeting the need to belong, and thus that giving affectionate communication might be less beneficial when one is deprived. There are two possible ways that this might occur. First, an individual must first receive another’s affection to reach his or her minimum threshold, and then the act of giving affection would be more beneficial than receiving to individual well-being. Second, as we argued previously in this discussion section, the act of giving affection might actually alter my perception of meeting the minimum threshold of my need for affection—that I feel that I am loved through the act of loving others. Future studies should potentially test these longitudinal claims to see whether the benefits of giving and receiving affection change according to an individuals’ perception of affection deprivation. Practically, the results of the study have implications on marital interventions and counseling programs. Practitioners may consider assessing marital couples’ perceptions of affection deprivation and its impact on their mental and relational well-being. In particular, all four actor effects between deprivation and mental well-being were significant, showing that the amount of affection given within the marital relationship matters far beyond the relationship itself. The perception of affection deprivation should be examined as a key indicator of marital quality, and marital interventions designed to help lessen the perception of affection deprivation in a relationship may potentially improve mental well-being and marital quality.


Check also Affection substitution: The effect of pornography consumption on close relationships. Colin Hesse, Kory Floyd. Journal of Social and Personal Relationships, April 16, 2019. https://doi.org/10.1177/0265407519841719
Abstract: Scholars have stated that humans have a fundamental need to belong, but less is known about whether individuals can use other resources to substitute for close relationships. In this study, 357 adults reported their level of affection deprivation, their weekly pornography consumption, their goals for using pornography (including life satisfaction and loneliness reduction), and indicators of their individual and relational wellness. We hypothesized that individuals might consume pornography as a coping mechanism (either adaptive or maladaptive) to deal with affection deprivation, with affection deprivation relating to the goals for using pornography and consumption potentially moderating the relationships between affection deprivation and the outcome measures. As predicted, affection deprivation and pornography consumption were inversely related to relational satisfaction and closeness, while being positively related to loneliness and depression. Affection deprivation was positively related with most stated goals for pornography use (although the relationship between affection deprivation and pornography consumption was nonsignificant). The moderation hypothesis, however, showed little evidence, yielding a moderating effect only on the relationship between affection deprivation and depression (with nonsignificant effects for relational satisfaction, closeness, and loneliness). Overall, there is some evidence that pornography consumption is used as a form of affection substitution (dealing with the perception of affection deprivation). However, there is no evidence of consumption being either adaptive or maladaptive when it comes to relationship satisfaction, closeness, and loneliness, although it is possibly maladaptive in terms of depression.
Keywords Affection, deprivation, need to belong, pornography consumption, relational health

Reputation Management and Idea Appropriation

Altay, Sacha, Yoshimasa Majima, and Hugo Mercier. 2019. “It’s My Idea! Reputation Management and Idea Appropriation.” PsyArXiv. October 1. doi:10.31234/osf.io/3p8k2

Abstract: Accurately assessing other’s reputation, and developing a reputation as a competent, honest, fair individual—epistemic and moral reputation—are critical skills. One way to gain epistemic reputation is to display our competence by sharing valuable ideas, especially if we appropriate these ideas—i.e. present them as being our own, whether that is the case or not (H1). However, idea appropriation should also entail some risks, otherwise it would lose its quality as a reliable signal. In particular, appropriating a bad idea should damage one’s epistemic reputation (H2), and being caught appropriating someone else’s idea should damage one’s moral reputation (H3). As a consequence, people should be more likely to appropriate ideas they think are good when they are motivated to display their competence (H4), and they should refrain from doing so when the odds of getting caught increase (H5). Six online experiments (N = 904) find support for these hypotheses. To assess the reliability and generalizability of these findings, we suggest replicating them with heightened statistical power among similar English-speaking participants (in the UK, US, and Ireland), and among Japanese participants.

Higher empathy for a suffering accident victim was associated with greater preference to let the person die rather than keep the person alive; participants had greater preference to end the lives of friends than strangers

Jenkins AC (2019) Empathy affects tradeoffs between life's quality and duration. PLoS ONE 14(10): e0221652. Aug 12 2019. https://doi.org/10.1371/journal.pone.0221652

Abstract: Sharing others’ emotional experience through empathy has been widely linked to prosocial behavior, i.e., behavior that aims to improve others’ welfare. However, different aspects of a person’s welfare do not always move in concert. The present research investigated how empathy affects tradeoffs between two different aspects of others’ welfare: their experience (quality of life) and existence (duration of life). Three experiments offer evidence that empathy increases the priority people place on reducing others’ suffering relative to prolonging their lives. Participants assigned to high or low empathy conditions considered scenarios in which saving a person’s life was incompatible with extinguishing the person’s suffering. Higher empathy for a suffering accident victim was associated with greater preference to let the person die rather than keep the person alive. Participants expressed greater preference to end the lives of friends than strangers (Experiment 1), those whose perspectives they had taken than those whom they considered from afar (Experiment 2), and those who remained alert and actively suffering than those whose injuries had rendered them unconscious (Experiment 3). These results highlight a distinction between empathy’s effects on the motivation to reduce another person’s suffering and its effects on the prosocial behaviors that sometimes, but do not necessarily, follow from that motivation, including saving the person’s life. Results have implications for scientific understanding of the relationship between empathy and morality and for contexts in which people make decisions on behalf of others.


Discussion

People are often encouraged to cultivate empathy toward others because doing so is expected to be better for those individuals. The present research explored the question, “better” in what sense? Participants faced hypothetical tradeoffs between two aspects of another person’s welfare: the quality and the duration of the person’s life. In otherwise identical situations, social distance and lower empathy were associated with greater preference for a suffering person to be rescued from an accident and continue to live. Social closeness and higher empathy were associated with greater preference for the victim to die on the spot, reflecting a greater desire to extinguish the victim’s suffering. These results caution against an oversimplified view of empathy in which it leads to better outcomes for a target person in a general sense. Instead, these results support the view that empathy motivates behaviors that are better in the specific sense that they aim to improve the target’s psychological experience—something that often, but not necessarily, goes hand in-hand with other desired outcomes.
More broadly, the current findings highlight the importance of distinguishing proximate from ultimate levels of explanation [59] when considering the motivational consequences of empathy. From an ultimate or evolutionary perspective, elevated empathic responses to the suffering of close others could serve adaptive functions by prompting actions that, on average, keep close others alive [1,14,60]. Because psychological suffering can often serve as a useful proxy for damage to other aspects of a person’s welfare, a person’s motivation to reduce close others’ suffering might, on average, have the effect of prolonging the lives of individuals who could propagate that person’s genes (e.g., children, siblings) [1] and/or reciprocate by helping the person survive some future mishap (e.g., friends, neighbors) [60], thereby increasing fitness. Yet, if, at a proximate level, empathy operates on psychological experience, then empathy will not necessarily lead to typical helping behaviors on any given occasion. In particular, elevated empathic responses to close others could appear to be maladaptive in instances when behaviors that would promote the other person’s existence and experience are misaligned.
These findings demonstrate that empathizing with another person can have detrimental effects on aspects of that same person’s welfare, joining other findings that empathizing with one person can have detrimental effects on the welfare of other people [61,62]. Specifically, past research has shown that empathizing with one person can lead the empathizer to privilege that person’s welfare over the welfare of other individuals with whom one has empathized less [63]. Whereas those studies suggest that empathy can motivate decisions that violate group-based moral principles (e.g., fairness), the current studies suggest that empathy can also motivate decisions that violate individual-based moral principles, at least as they are typically understood, including avoiding harm [64,65]. At the extreme, the current results suggest that empathy sometimes increases preferences for ending a person’s life. On some views, this would mean that empathy can increase people’s preference that the ultimate form of harm (death) befall the target of empathy him- or herself.
The current findings accordingly inform the relationship between empathy and morality. In past research, a role for harm aversion in moral decisions has been discussed at length [6668], but whether empathy selectively increases an aversion to certain types of harm has not characterized. The current results help to clarify the scope of empathy-related harm aversion by suggesting that empathy may increase people’s aversion, first and foremost, to others’ affective or psychological harm—i.e., their pain and suffering. To the extent that empathy sometimes does motivate life-saving, it could be the case that empathy primarily increases the aversion, not to death itself, but to the suffering that often precedes it.
If empathizing with another person can have detrimental effects on that person’s welfare, why have these effects been mostly absent in past research? One possible explanation is that past research has predominantly studied decisions in which one course of action is uniformly better for the target person and another course of action is uniformly worse [69]. In these situations, benefits to the quality and duration of a person’s life move in tandem, and a motivation to improve another’s experience could bring with it benefits to the person’s existence. In contrast, the current studies focus on decisions in which the quality and duration of a person’s life are in conflict, suggesting that the link between empathy and the motivation to engage in prototypical helping behaviors (like saving another’s life), may hinge on the extent to which those behaviors are compatible with improving the person’s experience.
The use of hypothetical scenarios in the present work brings with it several limitations on generalizability. First, these scenarios were not meant to reflect decisions that typical individuals are likely to face in everyday life but rather to isolate certain factors in a way that made it possible to illuminate the consequences of empathic motivation. Just as individuals in daily life rarely name the color of ink in which a word is written, as they do in the Stroop task, or flip train switches, as they do in trolley dilemmas, participants are unlikely to find themselves in a position of deciding whether someone in a burning building should be rescued or die on the spot. By their extreme nature, these scenarios enabled us to create conditions in which extinguishing a person’s suffering and prolonging his or her life were incompatible, making it possible to capture shifts in people’s preferences toward one outcome at the cost of the other. Second, the current studies deliberately did not ask participants what they would do if they were personally involved in the situation. Additional research is needed to understand how the observed effect of empathy on participants’ preferences to end a suffering person’s life interacts with other motivations that guide behavior, including the motivation to be a moral person, to follow through on responsibilities, to avoid guilt, to abide by the law, and others.
Future research is needed to explore implications of the current findings for domains in which people regularly do make decisions on behalf of others, including medical decision-making, where a need for empathy is often cited [7074]. In particular, if empathy increases the priority placed on a person’s experience, empathy may be more beneficial in some kinds of medical situations than in others. For example, empathy might help a physician perform an injection carefully or convey bad news sensitively; in cases like these, there is little conflict between behaviors that promote the quality and duration of a patient’s life. However, empathizing with a patient in a tradeoff situation between his or her experience and long-term health may tug physicians toward maximizing the quality of the patient’s experience in the moment rather than the number of moments in the patient’s future. This possibility is broadly consistent with past research on end-of-life decisions demonstrating that family members and nurses are more inclined to end the life of a terminally ill patient when the person has intractable pain [75] or is unable to carry out valued life activities [76]. In turn, these results suggest the tentative prediction, open to future research, that physicians with lower trait empathy might be more inclined to take courses of action to prolong a suffering patient’s life.
In interpreting these findings, it is worth noting that our experiments measured empathic emotion, or “affective empathy” [21]. As such, we anticipate that these findings will apply to other situations in which individuals empathize with a suffering person, as characterized by experiencing an affective state congruent with that person’s situation [9,15,16]. A subset of those experiences may also be accompanied by feelings of empathic concern—feelings of caring, compassion, or pity for the other person [47]—which could combine with the phenomenon observed here to guide a perceiver’s ultimate decision about which course of action to pursue [50]. Relatedly, future research will be needed to characterize more precisely the respective contributions to decision-making of (i) the strength of the empathic response to another person’s suffering itself and (ii) the strength of the motivation to help a suffering person with whom one has empathized.
These findings do not necessarily challenge the overall observation that empathy motivates improving others’ welfare. However, they do help to specify the kind of welfare that empathy motivates improving and point to some of the potential consequences of that motivation. In the realm of individual decision-making, it is well known that people’s affective responses can lead them to pursue immediately desirable psychological states (e.g., the pleasure of chocolate chip cookies) at the expense of other goals (e.g., maintaining a svelte figure). Similarly, empathizing with the affective experiences of other people might boost one’s motivation to prioritize the quality of those people’s internal states at the expense of other aspects of their welfare—including, at the extreme, the durations of their lives.

Meal Memories Are Special: Superior Memory for Eating Versus Non-eating Behaviors

Seitz, Benjamin M., Aaron Blaisdell, and A. J. Tomiyama. 2019. “Meal Memories Are Special: Superior Memory for Eating Versus Non-eating Behaviors.” PsyArXiv. October 25. doi:10.31234/osf.io/d54cp

Abstract: Are all memories created equal, or are we biased to remember information most relevant to our evolutionary fitness? This question is underexplored in dominant models of memory that often treat all incoming information with equal potential to be remembered. We hypothesized that memory is systematically biased towards remembering fitness-relevant behaviors such as eating. While memory of eating has been shown to mediate hunger and food consumption, whether memory for a meal is itself special compared to non-meal related behaviors is unknown. We report memory of an eating behavior to be more accurate than memory of nearly identical, but non-eating related behaviors. We rule out a potential physiological explanation of this effect and suggest the behavioral aspect of eating is required for the mnemonic benefit. These results suggest the utility of exploring evolutionary influences on memory and demonstrate that the fitness relevance of a behavior potentiates its ability to be remembered.

We hypothesize that sexual behavior in pregnant women should reflect adaptive strategies and that pregnant women will be particularly strategic about their sexual behavior in order to maximize potential benefits & minimizing costs

Women’s sexual strategies in pregnancy. Jaclyn Ross, Elizabeth G. Pillsworth. Evolution and Human Behavior, October 24 2019. https://doi.org/10.1016/j.evolhumbehav.2019.10.001

Abstract: Humans exhibit an unusual pattern of sexual behavior compared to other mammalian females. Women's extended sexuality has been hypothesized to be related to a variety of possible benefits, especially non-genetic reproductive benefits, such as securing male investment via reinforced pairbonds or paternity confusion. But sexual behavior also comes at a cost, particularly for pregnant women, in terms of energetic costs, potential disease, and possible harm to the fetus. We hypothesize, therefore, that sexual behavior in pregnant women should reflect adaptive strategies and that pregnant women will be particularly strategic about their sexual behavior in order to maximize potential benefits while minimizing potential costs. One hundred twelve pregnant women completed a survey of their partners' qualities and their sexual desires toward their primary partners and men other than their primary partners. Results showed that women's perceptions of relationship threat positively predicted sexual desire for primary partners, while their perceptions of their partner's investing qualities negatively predicted sexual desire for extra-pair mates. These qualities, as well as cues to partner's genetic quality and gestation age, also interacted in ways that suggest that pregnant women's sexual desires are sensitive to cues of future investment and relationship stability.