Friday, July 10, 2020

Eminent jurist: Though India has adhered to the [One China policy], New Delhi should find ways to violate it, if not in letter, then in spirit

Chanakya can trump Confucius, writes Abhishek Manu Singhvi. Hindustan Times, Jul 09, 2020. https://www.hindustantimes.com/analysis/chanakya-can-trump-confucius-writes-abhishek-manu-singhvi/story-EdTsV1TSmooZyzm3IHwLAJ.html
India needs to have a comprehensive diplomatic, strategic and economic plan to take on China


China is not only responsible for the spread of the Wuhan virus, but has used this crisis to fulfil its expansionist agenda, to inaugurate what its president defines as China’s “New Era” to its preamble. A major amendment to the Chinese constitution was passed unnoticed, adding “Xi Jinping Thought on Socialism with Chinese Characteristics for a New Era” into its preamble. The Belt and Road Initiative (BRI) is the most ill-concealed example of imperialism. That China has reached thus far in its expansionism is a tribute to its focus, tenacity and persistence.

A country whose nationhood idea hardly existed before 1912 is now claiming both contiguous territories as also geographically far away ones. From Mongolia to Manchuria, from Tibet to Taiwan, the list is endless. The Communist regime is even ready to take on Russia, by claiming authority over Vladivostok. The current stand-off in eastern Ladakh is but a small blip in its bigger world view. Facing enemies on two fronts and fighting the pandemic makes it tough for India. This, however, is when the tough must get going.

On the diplomatic front, there is a need to rethink and reject India’s “One China Policy”. Why should India continue to recognise “One China” if it stabs India in the back and tries to undermine “One India”, by salami-slicing at different points? Though India has adhered to the policy, New Delhi should find ways to violate it, if not in letter, then in spirit. Let us establish diplomatic relations with Taiwan and support the freedom movement in Tibet. The democratic movement in Hong Kong is receiving massive worldwide support. We merely need to add our voice at diverse forums. There are ways of doing all this while retaining official plausible deniability, and, yet, not missing the slightest opportunity to needle, embarrass and shame China. Indeed, we need to go further to underline human rights violations in Xinjiang (East Turkestan) and give oblique support to the Uighur and Turkic communities in their struggle. In 2016, India denied a visa to the famous Uighur leader, Dolkun Isa, to attend a conference of communities persecuted by China in Dharamshala. This is the time to provide unequivocal support to the Uighurs.

Indian parliamentarians should join the Inter-Parliamentary Alliance on China, consisting of hundreds of legislators from eight countries and the European Union. The alliance has taken some prominent initiatives within a month of its creation. Yes, China will internationalise Jammu and Kashmir (J&K), but India’s restraint is doing nothing to stop it. Didn’t China attempt to block the attempt to designate Masood Azhar as a terrorist? Hasn’t it, in the past year, repeatedly taken up the issue of J&K at the United Nations? No. So, India has nothing to lose but its inhibitions.


Strategically, India must strengthen and streamline the working of global alliances against China. The global ambience has never been more conducive, given the anti-Chinese sentiment. Make the working of the Quad — India, the United States (US), Japan, Australia — active and ensure greater concrete cooperation qua the Indo-Pacific. There is urgent need to play a leadership role in the Democracy-10 alliance, comprising G7 plus India, Australia and South Korea. India should strengthen its diplomatic ties with Vietnam and the Philippines and provide them with resources. The US, especially President Donald Trump, is always an unpredictable ally, but at least till the November elections, Trump will do anything to critique China. It is we who must unabashedly know how far to leverage his electoral, anti-China instincts.

Economically, Chinese imports to India have been significantly declining, falling to $48.66 billion in FY 2019-20 from $63 billion in FY 2017-18. The major imports from China include electrical and electronic equipment, plastics, watches, toys, furniture, sports products, iron and steel, metals, chemicals, pharmaceuticals and fuel. We need a judicious mix of import substitution, discriminatorily skewed tariffs and steep anti-dumping duties, apart from bans in patent or gross cases. It is a misconception that these multi-pronged, shrewdly-designed measures will fall foul of the World Trade Organization (WTO). First, a specific level of protection for specific import categories is in accordance with WTO provisions. In the Australia-Canada salmon case of 2000, WTO held that “Australia was not in violation of Art. 5.5, as it found that although Australia was employing different levels of protection to different, but sufficiently comparable situations, the different treatment was scientifically justified, and not arbitrary or unjustifiable and the different treatment was thus not a disguised restriction on international trade.”

Second, India can use the logic of compliance with sovereign laws of the land. In the Argentina-Brazil poultry anti-dumping case of 2003, WTO ruled: “Argentina was not in violation of Art. 6.8 when it disregarded information submitted by a company that had not fulfilled procedural provisions of the domestic law...as information submitted by such companies was not considered appropriately submitted”. Since Taiwan manufactures many items that China produces, we must exponentially increase India’s diplomatic, economic and technological relations with it: Our trade has travelled from $66 million to $6 billion.

Benjamin Disraeli said, “What we call public opinion is generally public sentiment.” Never has any Indian government after 1962 got greater anti-China bipartisan support than now. We need only to lose our self-imposed chains. Chanakya can trump Confucius: “Do not reveal what you have thought upon doing, but by wise council keep it secret being determined to carry it into execution...Once you start working on something, don’t be afraid of failure and don’t abandon it.”

Abhishek Singhvi is former chairman, Parliamentary Standing Committee; former Additional Solicitor General, senior national spokesperson, Congress and an eminent jurist

The views expressed are personal

The consistently-married group was slightly higher in well-being at the end of life than the consistently-single and varied histories groups; the latter two groups did not differ in their well-being

Loved and lost or never loved at all? Lifelong marital histories and their links with subjective well-being. Mariah F. Purol ,Victor N. Keller, Jeewon Oh, William J. Chopik & Richard E. Lucas. The Journal of Positive Psychology, Jul 7 2020. https://doi.org/10.1080/17439760.2020.1791946

ABSTRACT: Marriage has been linked to higher well-being. However, previous research has generally examined marital status at one point in time or over a relatively short window of time. In order to determine if different marital histories have unique impacts on well-being in later life, we conducted a marital sequence analysis of 7,532 participants from the Panel Study of Income Dynamics (54.2% women; Mage  = 66.68, SD = 8.50; 68.7% White/Caucasian). Three different marital sequence types emerged: a ‘consistently-married’ group (79%), a ‘consistently-single’ group (8%), and a ‘varied histories’ group (13%), in which individuals had moved in and out of various relationships throughout life. The consistently-married group was slightly higher in well-being at the end of life than the consistently-single and varied histories groups; the latter two groups did not differ in their well-being. The results are discussed in the context of why marriage is linked to well-being across the lifespan.

KEYWORDS: Sequence analysis, lifespan approach, marital history, subjective well-being, life satisfaction


Positive self-evaluation is a fundamental human need; there is an overpowering effect of self-enhancement motivation in directing individuals’ attention & behavior relative to other self-evaluation motives

Anseel, Frederik, and Elena Martinescu. 2020. “Praise from a Self-enhancement Perspective: More, I Want More?.” PsyArXiv. July 9. doi:10.4324/9780429327667

Abstract: Positive self-evaluation is a fundamental human need, enabling individuals to face challenges or pursue new opportunities in their environment. In the past decades, several lines of research have provided support for the overpowering effect of self-enhancement motivation in directing individuals’ attention and behavior relative to other self-evaluation motives. In the current chapter, we briefly summarize the basics of self-enhancement theory, how it has helped understand the psychology of praise and how some long-standing theoretical debates have been solved. In the second part, we review new theoretical issues that have emerged in recent years, summarize new manifestations of self-enhancement in the study of praise and 'real-world' applications of these insights.




Thursday, July 9, 2020

Requisite Skills and the Meaningful Measurement of Cognition Among the Lowly Educated or Non-Medicated Schizophrenics

Requisite Skills and the Meaningful Measurement of Cognition. Richard S. E. Keefe, Michael F. Green, Philip D. Harvey. JAMA Psychiatry. Published online July 8, 2020. doi:10.1001/jamapsychiatry.2020.1618

In 1931, the noted neuropsychologist Alexander Luria, along with his supervisor Lev Vygotsky, led an expedition from Moscow to Uzbekistan with an honorable objective: to understand cognition in a population with low educational levels.1 However, they concluded that the minimal educational background of the population could prevent these individuals from engaging in the basic elements of a cognitive evaluation and that existing cognitive tests were not valid for their study population, so they created specialized tests that would be more appropriate. The study by Stone et al2 shares features of this expedition 90 years ago. Some of our era’s leading scientists have conducted an equally honorable collaborative project in the rural province of Ningxia, China, to assess individuals with chronic schizophrenia who have never received antipsychotic medications. By examining this population, the authors aimed to address the problem of the exclusion of underserved individuals from research on serious mental illness and to examine the longitudinal cognitive trajectory of schizophrenia in its natural untreated condition. The authors found that, in their cross-sectional sample, the duration of untreated psychosis was associated with worse cognitive performance. They specifically reported the association between cognition and the duration of chronic untreated psychosis as having partial Spearman correlation coefficients of 0.35 for the Brief Assessment of Cognition in Schizophrenia, Symbol Coding subtest; 0.24 for the Neuropsychological Assessment Battery, Mazes subtest; and 0.02 for the Brief Visuospatial Memory Test–Revised. These 3 assessments are conceptualized in western cultures as tests of processing speed, reasoning and problem solving, and visual memory. As with the findings of Luria and Vygotsky, given the distinct population in the Stone et al2 study, it is important to consider whether the assessments were suitable to the investigators’ purpose. The most relevant considerations are the validity of the tests for this group of individuals with low educational levels and the consequences of factors that could be associated with the passage of time itself, such as aging and changes in educational quality and opportunity.

To assess cognition in this study sample, the authors chose the Measurement and Treatment Research to Improve Cognition in Schizophrenia (MATRICS) Consensus Cognition Battery (MCCB), which has been used to understand cognitive treatment response in clinical trials of cognition among patients with schizophrenia3 and has been accepted as a criterion-standard measure by the US Food and Drug Administration. The MCCB has been translated into more than 20 languages and has demonstrated reliability and validity in a wide variety of populations with schizophrenia across the world. Stone et al2 properly used a culturally adapted version of the MCCB that had been validated and normed in China and compared the results of participants with chronic untreated schizophrenia with those of a cohort of individuals without mental illness who had similar ages and educational histories. However, as described in standards published by the American Psychological Association,4 one of the important assumptions when administering tests such as the MCCB is that all participants have sufficient experience with the basic elements of testing to understand the intent of the test and perform the test procedures. Based on the educational level of the participants in this study, it is likely that these assumptions were not met, and the study’s primary findings may be associated with changes in education over time.

Any cross-sectional study of the association between longitudinal variables and cognition must recognize that performance on static tests of cognitive ability has been reported to improve (approximately 0.2 SDs per decade) over subsequent generations.5 There are many possible reasons for this improvement, which is called the Flynn effect6; these reasons include improvements in education, knowledge, health, nutrition, poverty, and environmental stimulation, among others.7 While the Flynn effect may be reversing in some western countries,6 it can be substantial in a rapidly evolving culture such as China, especially in the midst of an educational revolution. The median educational level of the participants in the Stone et al2 study was 3 years, and the median age of the participants was 52 years, with a range of 19 to 81 years. The study participants attended school between 1942 and 2004. Over the course of those 62 years, 2 rapid advances in education occurred that outpaced population growth. During the first period, from 1957 to 1960, the number of primary students attending school increased from 55 million to more than 90 million, and the number of middle school students doubled; during the second period, from 1966 to 1976, the number of middle school students increased from less than 15 million to more than 65 million.8 These increases in educational availability and quality were likely even more substantial in underdeveloped regions like Ningxia. Thus, given that the disease onset for most individuals with schizophrenia occurs during a narrow window in late adolescence, the older participants in this study would have been raised in a less advanced educational system. Early education focuses on the basic tenets of reading, writing, and arithmetic. Testing people who lack these fundamental skills creates challenges for the evaluation of cognition.

How, specifically, does the absence of relevant experience create challenges for the validity of a cognitive assessment battery? As an obvious example, consider a processing speed test with quickly moving stimuli that requires respondents to type letters on a smart phone. If test performance were compared between an individual aged 80 years who had no experience with the technology and an individual aged 25 years who had 15 years of experience with the technology, performance differences would likely be associated with the respondent’s experience with that technology, which was substantially different. Few, if any, investigators would consider the test results a valid measure of the participants’ cognition.

To those who received education in societies in which advanced education is the norm, a pencil would not be considered an advanced technology; however, those with limited experience in the use of a pencil will likely have difficulty completing tests that require drawing figures from memory or writing numbers quickly, and such adept use of a pencil is required for 4 of the 10 tests in the MCCB. Previous research on performance-based tests in China reported that, with regard to test performance, the consequences of low educational level were greater than those of a schizophrenia diagnosis, and the most difficult task for test respondents was writing their names using a pencil.9 Measuring the association between the duration of illness and cognition in a cross-sectional study is problematic when older participants have limited experience with the tools required for performance.

Revising the traditional instructions of a test by including additional practice trials and explanations, as done in the Stone et al2 study, may be insufficient. Just as children who are not exposed to human voices during early developmental periods are likely to struggle with language through adulthood, children who do not master fundamental skills, such as writing, during early education are likely to have the remainder of their lives shaped by the absence of those skills, and they may never be able to acquire the skill levels of those who received the requisite training.

The results of the Stone et al2 study illustrate the importance of requisite skills for cognitive assessment. The tests that were associated with duration of illness shared a common feature: all 3 of them required the use of a pencil. Only 1 of the 7 tests that were not associated with illness duration involved pencil use. Those tests mostly involved verbal interaction, which is, of course, a part of everyday life among people with lower and higher educational levels alike, so formal education for that skill was not necessary.

Leading anthropologists have asserted that the neuroanatomy and cognitive capacity of humans as a species have not changed in 30 000 years.10 However, our methods for assessing cognitive ability have changed substantially based on the extent and quality of the education we have received, which has allowed us to perform well on those same assessments, and methods will continue to change as the technologies we use to perform assessments advance. Conducting studies of cognition among people, near and far, who live in regions with underdeveloped educational systems is an important endeavor, but these studies may require special considerations for assessment and the development of specific tests that allow measurement of cognition that is independent of the confounding factor of inexperience with the requisite tools. Cognitive assessments may otherwise remain confounded by variability because of cultural advantages that provide early experience with the requisite tools for only a portion of the population.

From 2015... Reductionist evidence in science debate by laypersons is viewed as more explanatory & conclusive than comparable evidence from macrolevel processes; the preference for reductionist information does not go away with education

From 2015... The Influence of Reductionist Information on Perceptions of Scientific Validity. Rebecca Rhodes. PhD Thesis, Michigan Univ., Psychology, 2015. https://deepblue.lib.umich.edu/bitstream/handle/2027.42/111352/rerhodes_1.pdf?sequence=1&isAllowed=y

ABSTRACT
The ability to reason scientifically about evidence is an important skill for many everyday decisions, ranging from whom to choose in the next presidential election to whether or not to immunize your child. Evidence for the importance of scientific reasoning can be found in continued attempts to improve the teaching of reasoning skills within the educational system. However, in order to develop effective strategies for reasoning about scientific evidence, it is important to understand lay conceptions about what it means for something to be “scientific”. In the present work, I examine the influence that reductionist evidence – that is, evidence that comes from micro-level processes, such as biological or neurological processes – has on perceptions of scientific validity. Across eight experiments, I demonstrate that reductionist evidence tends to be viewed as more explanatory and more conclusive than comparable evidence from macrolevel processes, such as psychological processes. Interestingly, the preference for reductionist information does not go away with education. In fact, people with greater scientific literacy are even more likely to assume that reductionist information is superior to macro-level information. I interpret this finding as evidence that the preference for reductionist information is not irrational, but instead an expected consequence of traditional science curricula. I demonstrate several important implications of reductionist preference. For example, this preference increases the likelihood of making causal inferences from the results of research studies that suggest micro-level – as opposed to macro-level – mechanisms, and it can decrease the size of the sample one needs to feel confident in accepting conclusions from these studies. I relate these findings to current pervasive issues in the scientific community, such as publication biases and the prevalence of underpowered studies utilizing reductionist approaches. I also discuss educational strategies that could encourage holistic thinking about science – specifically, emphasizing science as a tool for thinking strategically about everyday phenomena, regardless of the level of analysis, rather than a collection of discrete facts obtained by the use of technology and equipment.



Blame Crime on Name? People with Bad Names Are More Likely to Commit Crime in Continental China

Bao, Han-Wu-Shuang, Jianxiong Wang, and Huajian Cai. 2020. “Blame Crime on Name? People with Bad Names Are More Likely to Commit Crime.” PsyArXiv. July 9. doi:10.31234/osf.io/txhqg

Abstract: Prior evidence has revealed the interpersonal and intrapersonal costs of bearing “bad” names. The current research examined whether bad names predicted a more serious social outcome: criminal behavior. We found name-crime links based on a large dataset of 981,289 Chinese criminals (as compared to the whole Chinese population and a national representative sample of 1,000,000 non-criminal controls). People whose names were unpopular, negative, or implied lower warmth/morality were more likely to commit property and violent crime, whereas people whose names implied higher competence/assertiveness were more likely to commit violent and economic crime. Critically, lower warmth/morality of name still robustly predicted crime when controlling for demographic confounds and addressing alternative explanations. Furthermore, possessing a less warm/moral name predicted the motive for intentionally committing crime. These findings demonstrate the ethical costs of bearing bad/immoral names and enrich the understanding of how social-cognitive dimensions (warmth–competence) are associated with human behavior.


          “As his name is, so is he; Nabal is his name, and folly is with him.”
                            —Bible (1 Samuel 25:25)

Bad names may invite trouble. As the Bible says, people with a “bad” name may also possess a “bad” trait. Substantial evidence has revealed that bearing a bad (e.g., unpopular, undesirable) name predicted worse interpersonal outcomes (e.g., being unfavorably treated by others; Gebauer, Leary, & Neberich, 2012) and worse intrapersonal outcomes (e.g., poorer mental health; Twenge & Manis, 1998). Some preliminary evidence has even shown that juveniles with a less popular name have a higher tendency toward delinquent or problematic (Kalist & Lee, 2009). In this research, we focused on a possible link between bad names and criminal behavior—a more serious social outcome that hazards both other people and the whole society. Specifically, we investigated the name-crime links comprehensively across seven categories of crime and four dimensions of name. Examining the name-crime links will uncover the ethical costs of bearing bad names beyond its well-documented costs on interpersonal and intrapersonal outcomes.


Baboons (Papio anubis) living in larger social groups have bigger brains

Baboons (Papio anubis) living in larger social groups have bigger brains. Adrien Meguerditchian et al. Evolution and Human Behavior, Jul 9 2020. https://doi.org/10.1016/j.evolhumbehav.2020.06.010

Abstract: The evolutionary origin of Primates' exceptionally large brains is still highly debated. Two competing explanations have received much support: the ecological hypothesis and the social brain hypothesis (SBH). We tested the validity of the SBH in (n = 82) baboons (Papio anubis) belonging to the same research centre but housed in groups with size ranging from 2 to 63 individuals. We found that baboons living in larger social groups had larger brains. This effect was driven mainly by white matter volume and to a lesser extent by grey matter volume but not by the cerebrospinal fluid. In comparison, the size of the enclosure, an ecological variable, had no such effect. In contrast to the current re-emphasis on potential ecological drivers of primate brain evolution, the present study provides renewed support for the social brain hypothesis and suggests that the social brain plastically responds to group size. Many factors may well influence brain size, yet accumulating evidence demonstrates that the complexity of social life is an important determinant of brain size in primates.

Keywords: Social brainGroup sizeBrain sizeBaboon



Helping was facilitated in rats that had previously observed other rats’ helping and were then tested individually; the influence of bystanders on helping behavior in rats seems close to human helping

The bystander effect in rats. View ORCID ProfileJohn L. Havlik et al. Science Advances Jul 8 2020:Vol. 6, no. 28, eabb4205. DOI: 10.1126/sciadv.abb4205

Abstract: To investigate whether the classic bystander effect is unique to humans, the effect of bystanders on rat helping was studied. In the presence of rats rendered incompetent to help through pharmacological treatment, rats were less likely to help due to a reduction in reinforcement rather than to a lack of initial interest. Only incompetent helpers of a strain familiar to the helper rat exerted a detrimental effect on helping; rats helped at near control levels in the presence of incompetent helpers from an unfamiliar strain. Duos and trios of potential helper rats helped at superadditive rates, demonstrating that rats act nonindependently with helping facilitated by the presence of competent-to-help bystanders. Furthermore, helping was facilitated in rats that had previously observed other rats’ helping and were then tested individually. In sum, the influence of bystanders on helping behavior in rats features characteristics that closely resemble those observed in humans.


DISCUSSION

Here, we demonstrate bidirectional effects of bystanders on rat helping. The effect of rat bystanders depends on their capacity to help, with helping antagonized by incompetent helpers and facilitated by additional potential helpers. Recent evidence that naïve human bystanders facilitate or, at the very least, have no negative effect upon helping (915) suggests that human helping may also be bidirectional.
Two incompetent helper rats antagonized helping more than did one. Similarly, helping is progressively more suppressed as the number of human bystanders increases (3). Another similarity between the rat and human versions of the bystander effect is that subjects are only influenced by bystanders of the same in-group (16). These similarities raise the possibility that similar circuits support the classic bystander effect in rats and humans. If this is the case, then either rats have greater cognitive and cultural capacities than currently appreciated or human helping operates independently of rational reasoning and cultural influences. Evidence that the building blocks for helping are fundamental circuits involved in parental care and affiliative interactions are shared across mammals (17) supports the latter possibility.
Incompetent helpers did not prevent or retard the initiation of helping. The first day of opening was the same for rats tested with one additional rat and for control rats and was even earlier for rats tested with two additional rats. It is likely that additional rats, regardless of their competency to help, hasten the initiation of opening by socially buffering potential helpers. Social buffering refers to the improved recovery from stressors afforded by the presence of conspecifics (1819). Of particular relevance here, conspecifics reduce the autonomic and behavioral expression of anxiety in response to novel environments (18). In the trapped rat paradigm, social buffering likely reduces the stress of the testing conditions, facilitating proximity to the centrally located restrainer door and thereby increasing opportunities for door-opening. After the first door-opening, however, social buffering can no longer account for the disparate effects on opening elicited by the presence of additional rats of different types. Additional rats that are incompetent to help exert a negative effect on reinforcement, whereas those that are potential helpers appear to facilitate reinforcement, as revealed by the reduction in helping shown by rats tested alone following group testing.
The show of indifference by incompetent helper rats is distinct from, and far more detrimental to, motivating helping than the absence of additional rats in control conditions. In groups, bystanders influence a rat’s interpretation of his own behavior, whereas, when solo, a rat’s own internal assessment of his actions rules. For a rat that has only experienced solo testing, this assessment is enough. Yet, when solo testing follows group testing, the self-reward pales in comparison to the recalled group reinforcement. It is possible then that just as rats tested solo after having the group experience failed to reinforce their behavior, rats tested solo following testing with incompetent helpers may show a positive rebound in reinforcement and helping.
The influence of bystanders promotes conformity, the matching of one’s behavior to that of a group. Conformity need not be limited to helping. Rats who did not eat an unpalatable food when alone ate it in the presence of a “demonstrator rat” who was eating the unpalatable food (20). Thus, the effect of bystanders may be more inclusively imagined as one that promotes conformity in all manner of observable behaviors.

Wednesday, July 8, 2020

It was alleged that neuroscience evidence bring bias because of its over-persuasiveness for people without neuroscience training; but in severe criminal cases, neuroscientific evidence is not more persuasive than behavioral one

Yin, Ji-Xing, Yuepei Xu, and Chuan-Peng Hu. 2020. “Neuroscience Evidence Is Not More Persuasive Than Behavioral Evidence for Both Adults and Juveniles: A Preregistered Study.” PsyArXiv. July 8. doi:10.31234/osf.io/bqprd

Abstract: In last two decades, developmental neuroscience results had been cited in high-profile legal cases in the United States and other countries. However, it’s unknown whether neuroscience evidence bring bias because of its over-persuasiveness for people without training in neuroscience. Previous studies suggested that neuroscience results were over-persuasive, this effect was termed as “neuroscience bias,” but the evidence was not conclusive because of failed replication attempts. Moreover, few studies directly examined the effect developmental neuroscience in juvenile cases. To address this issue, we conducted two mock jury studies with a three (evidence type: behavioral evidence, neuroscience evidence without brain images, and neuroscience evidence with brain images) by two (offenders’ age: juvenile vs. adult) between-subject design. In a pilot study (n = 94) and pre-registered study (n = 324), participants first read a vignette, which described an offender murdered a victim and his lawyer introduced scientific evidence when defending for the offender. Participants were required to make a series of judgments, including death penalty and criminal responsibility of defendant. The results revealed a main effect for offenders’ age, but no effect for evidence type or interaction between evidence type and offenders’ age. An exploratory conditional random forest analysis again revealed that evidence type was not important in predicting participants’ judgment. Instead, other self-reported variables are more important, such as the “just deserts” view of criminal punishment and the perceived possibility the offender would re-enter society. These results suggest that, in the severe criminal cases, the neuroscientific evidence is not more persuasive than behavioral evidence, regardless the neuroscientific results are from adults or juveniles.




Noninvasive acoustic manipulation of objects in a living pigs using a phased array: These beams were shown to levitate & steer solid objects (3-mm-diameter glass spheres) along preprogrammed paths

Noninvasive acoustic manipulation of objects in a living body. Mohamed A. Ghanem, Adam D. Maxwell, Yak-Nam Wang, Bryan W. Cunitz, Vera A. Khokhlova, Oleg A. Sapozhnikov, and  View ORCID ProfileMichael R. Bailey. Proceedings of the National Academy of Sciences, July 6, 2020. https://doi.org/10.1073/pnas.2001779117

Significance: The significance of this work is the development of a technique and technology to use a steerable beam from one source to safely lift and reposition a stone in a living body. The work has direct application to expelling kidney stones or manipulating an ingestible camera. Our work provides a framework for other medical applications, as well as nonmedical uses that require noninvasively moving sizable, dense objects in a free field or within a container.

Abstract: In certain medical applications, transmitting an ultrasound beam through the skin to manipulate a solid object within the human body would be beneficial. Such applications include, for example, controlling an ingestible camera or expelling a kidney stone. In this paper, ultrasound beams of specific shapes were designed by numerical modeling and produced using a phased array. These beams were shown to levitate and electronically steer solid objects (3-mm-diameter glass spheres), along preprogrammed paths, in a water bath, and in the urinary bladders of live pigs. Deviation from the intended path was on average <10%. No injury was found on the bladder wall or intervening tissue.

Keywords: acoustic tweezersacoustic radiation forcekidney stones


Why chimpanzees carry dead infants: an empirical assessment of existing hypotheses

Why chimpanzees carry dead infants: an empirical assessment of existing hypotheses. Elizabeth V. Lonsdorf, Michael L. Wilson, Emily Boehm, Josephine Delaney-Soesman, Tessa Grebey, Carson Murray, Kaitlin Wellens and Anne E. Pusey. Royal Society Open Science, July 1 2020. https://doi.org/10.1098/rsos.200931

Abstract: The study of non-human primate thanatology has expanded dramatically in recent years as scientists seek to understand the evolutionary roots of human death concepts and practices. However, observations of how conspecifics respond to dead individuals are rare and highly variable. Mothers of several species of primate have been reported to carry and continue to interact with dead infants. Such interactions have been proposed to be related to maternal condition, attachment, environmental conditions or reflect a lack of awareness that the infant has died. Here, we tested these hypotheses using a dataset of cases of infant corpse carrying by chimpanzees in Gombe National Park, Tanzania (n = 33), the largest dataset of such cases in chimpanzees. We found that mothers carried infant corpses at high rates, despite behavioural evidence that they recognize that death has occurred. Median duration of carriage was 1.83 days (interquartile range = 1.03–3.59). Using an information theoretic approach, we found no support for any of the leading hypotheses for duration of continued carriage. We interpret these data in the context of recent discussions regarding what non-human primates understand about death.


4. Discussion

In this contribution, we presented the largest systematic and quantitative study of variation in infant corpse carrying in wild chimpanzees. We found that chimpanzees carry infant corpses at high rates, despite behavioural evidence that they recognize that death has occurred. Moreover, none of the variables we examined to test existing hypotheses for the duration of ICC were significant.
Recent discussions surrounding the phenomenon of infant corpse carrying have recommended reporting the rate of corpse carrying [18] and what factors contribute to variability in rates [16]. We found that in every recorded case in which a mother was able to access her infant's body, she carried it. The only exceptions to this pattern were when the infant was killed by infanticide and the mother never regained access, and when an infant corpse was recovered in the field and the mother was not seen (with or without the corpse) in the interim. It is possible that the disappearances represented cases in which infants were not carried, but given that we cannot see every chimpanzee every day, it is also possible that they were all carried. Even if we assume that all of the 41 individuals that disappeared were not carried, and include the two cases in which corpses were recovered without ever being seen with their mother, the carrying rate would be 50/93 or 54%. What is clear is that rate of carrying we report here, between 54% and 100%, is substantially higher than that reported in Japanese macaques in which 15% of all corpses are carried and 28.7% of very young infants (less than or equal to 30 days old) are carried [18]. However, complete information regarding what happened to macaque infants that were not carried (i.e. whether corpses were observed but abandoned immediately or whether the infant simply disappeared/was subject to predation, etc.) was not reported. Such information would allow us to more fully understand the differences in carrying rates we report here. Comparable rate data are not yet available for other primate populations, and should be a focus of ongoing data collection.
We documented 33 cases of dead infant carrying, ranging in length from 30 min to over 15 days. On average, infant corpses were carried for a little over 3 days, and only two were seen to be carried over 10 days. Both of these carriers resumed cycling and mating while still carrying the corpse. In 24% of instances, the primary carrier was a non-mother but there was no difference in the duration of carriage between mothers and non-mothers. Interestingly, one of the relatively prolonged cases was performed by a non-mother who abducted a live infant and then carried it after it died. The mean carrying duration we found for Gombe was shorter than previously reported for wild chimpanzees. A recent meta-analysis of cases in anthropoid primates [17] reported a mean duration for chimpanzees of 32.94 days, as well as the largest within-species variance among the other species examined, from 2 to 114 days. These authors included only chimpanzee cases extracted from previously published reports (n = 9), so it is possible that the published literature is biased towards extremely long cases. However, a compilation of 14 cases from Mahale [27] also reports a larger range of durations, from 30 min to approximately 126 days. An interesting possibility is that there may be site-specific cultural differences in responses to death [2,21] as there are with several other behaviours [51]. Alternatively, differences in ranging patterns may affect duration of carriage such that larger day ranges constrain duration of carriage, as suggested by Carter et al. [52] for chacma baboons (Papio ursinus).
Several proximate explanations have been put forth to explain either the likelihood or duration of ICC. We examined infant age at death to test the post-parturient condition hypothesis and the maternal-bond strength hypothesis, but none of our candidate models that contained infant age at death provided a better fit to our data than the null model (table 3). Moreover, we documented several instances of carrying by non-mothers as well as two cases of prolonged carrying in which the carriers resumed cycling and mating while still carrying the corpse (as also seen in geladas [23]). The only notable age-related pattern we found was that no infants over 3 years of age were observed being carried. However, there were only nine individuals between the ages of 3 and 5 years of age in the full dataset, five of which disappeared (see electronic supplementary material, table S2). Of the remaining four, one was orphaned, one was killed by chimpanzees, one was killed by humans, and one died of illness. Thus, only the infant that died of illness could have been carried, but there were 6 days between sightings of this mother with and without the infant, so carrying cannot be determined. One possibility is that at 3 years of age, which is when most offspring cease riding on their mothers [50], corpses are simply too heavy and/or awkward to be carried for lengthy periods of time. A similar age effect was reported in Japanese macaques, in which carrying rates increased with age up until 30 days, but then decreased [18]. In sum, the small number of deaths above age three and the uncertainty around them prevent determination of whether there is an upper age limit for an infant to be carried, but the combined evidence does not support the post-parturient condition hypothesis of infant carrying. Bond strength probably plays a role in who carries a corpse given that mothers, adoptive mothers and siblings exhibited the most carrying (table 4), but it does not appear to predict duration of carriage in a consistent way.
The slow decomposition hypothesis [23] posits that prolonged infant carrying is facilitated by dry climates and/or in the dry parts of the year. According to our model comparison, the model including season was the second-highest-weighted model (table 3), although this model performed no better than the null model. In fact, while our two longest cases (table 2) occurred during the dry season, carrying duration tended to be longer in the wet season (though this parameter estimate included 0 in the 95% CI). Cases of prolonged carrying at Bossou occurred during the dry season [21], but prolonged carries in Mahale happened throughout the year [27]. In sum, we found no clear support for the hypothesis that carrying duration varied according to within-site environmental conditions.
The unawareness of death hypothesis concerns what mothers may or may not understand about death [24,25]. One prediction arising from this hypothesis is that younger and/or first-time mothers carry dead infants for longer in order to gather more information and be certain the infant is dead. None of our candidate models that included either firstborn status or mother's age at death performed significantly better than the null model. In fact, aside from one outlier (APb1), mothers tended to carry firstborn offspring for shorter durations than later born offspring (though this parameter estimate included 0 in the 95% CI). Given that we only have nine firstborn offspring in the dataset of observed corpses, more cases are needed to confirm this pattern. In the above-mentioned anthropoid primate meta-analysis [17], younger females exhibited shorter durations of carrying (regardless of firstborn status) in contrast to prediction. However, because datasets from across 18 different species were combined, mother's age was partitioned into two categories, younger versus older (according to median life span for the species). That difference in methodology, coupled with the smaller sample of nine chimpanzees in that study, may account for our different findings. These authors also found that infants that died of sickness or were stillborn were carried for longer than those that died of infanticide or unnatural causes (such as electrocution) and suggested that more violent/obvious causes of death resulted in faster detection of death and abandonment of corpses. By contrast, we found that candidate models including cause of death provided no better fit than the null model.
Our examination of the specific types of behaviour directed at the corpse suggests that mothers/primary carriers rapidly recognized a change of state in the infant, given that atypical carrying postures were exhibited soon after death. In fact, these postures more closely resembled those used for objects than live infants [53,54] and would be uncomfortable or harmful for a live infant, suggesting that mothers persisted in infant corpse carrying for hours or days after recognizing a change in state. There are also multiple sensory death cues: failure to respond to tactile stimulation, olfactory cues of putrefaction, and the presence of flies. While we do not have consistent quantitative measures of distance for our cases, observers often described a process in which the mother gradually increased her distance from the corpse, as was reported in [29]. As the post-mortem period progressed, siblings and others were permitted to interact with the corpse in a manner similar to object play, or roughly handle the corpse. In very rare cases, mothers exhibited rough handling or ate parts of the corpse themselves. These qualitative reports and our model comparison results do not support the unawareness of death hypothesis.
With regards to the broader question of whether there is evidence of a human-like death concept in chimpanzees, our data provide additional evidence that chimpanzees understand at least two of the four subcomponents reviewed in [2]: non-functionality, given the changes in behaviour described above, and irreversibility, given the eventual abandonment of the corpse. Whether or not chimpanzees understand death as universal is not possible to examine with our data, and indeed, is difficult to explore without a common language. The causality component is the last to be acquired by human children and its importance is debated given its reliance on knowledge of biological processes that have only come about through modern science and medicine (A Gonçalves 2019, personal communication). Das et al. [17] argued that anthropoid primates comprehend causality, because infants that died of unnatural and externally observable causes were carried for shorter periods than those that died of natural causes. However, we did not find that cause of death explained the variation in duration of infant carrying in our larger, single-species sample.
Evaluating our findings according to the three-level model of death awareness proposed by Gonçalves & Carvahlo [3], our data provide support for the first two and suggest that chimpanzees quickly distinguish between animate and inanimate and also integrate sensory and contextual cues to discriminate between living and dead. The third level of death awareness encompasses the four subcomponents of a human-like death concept described above, and we have provided additional evidence in accordance with [2] for chimpanzees' understanding of non-functionality and irreversibility. Evidence for the subcomponents of universality and causality will probably need to come from rigorous and ethical cognitive experiments conducted in captive settings [19].
Given that we found no evidence for the main existing hypotheses for ICC, the question remains as to why chimpanzee mothers, if they have distinguished between alive and dead, continue to carry their infant corpses for multiple days after death and often exhibit caretaking behaviours such as grooming. This behaviour could be interpreted as lack of awareness that death has occurred, but the behavioural changes we described above suggest otherwise. An intriguing possibility is that infant corpse carrying represents a primate analogue of human grief [17,55]. However, grief has been difficult to systematically define and operationalize; even in humans, grief is recognized as a ‘highly individualized and dynamic process’ [56, p. 119]. Evidence in non-verbal animals must come from behaviour, and an increasing number of species have been reported to exhibit behaviours similar to humans. These include prolonged association with the corpse [8,5759], decreased appetite [12,17,57,60], and social isolation and/or avoidance [17,22,57]. How non-human animal emotions are defined, measured and whether they differ in degree or kind from human emotions is an active area of scientific debate (see [61,62]). Responses to death may be a particularly fruitful area of focus for the study of primate emotions.
Much work remains to be done to achieve a more complete understanding of non-human animal responses to death. We echo the calls of our colleagues [3,16] for more detailed descriptions of cases using standardized terminology and variables, and collection of physiological data such as stress metabolites. Detailed analyses of changes in maternal activities budgets, such as reduced feeding and socializing, as well as others' consolation behaviours towards mothers, will help to provide a more complete picture of a species' understanding of death. These data are extraordinarily difficult to collect and accumulate given the rarity of observed deaths in the wild, which highlights the importance of long-term studies for understanding of the complexity of animal behaviour. While many questions remain, observations reported here and elsewhere challenge Heidegger's [1] assertion that ‘Animals cannot do this'.

Rolf Degen summarizes: Psychopaths have more social ties to others who have no contact with each other, which may give them greater potential to manipulate

Are Psychopathic Traits Associated with Core Social Networks? An Exploratory Study in University Students. Kylie S. Reale et al. Social Psychology Quarterly, July 7, 2020. https://doi.org/10.1177/0190272520902105

Abstract: In a sample of 480 university students, we examined associations between self-ratings of psychopathic traits, made using the Comprehensive Assessment of Psychopathic Personality (CAPP), the Psychopathic Personality Inventory: Short Form (PPI: SF), and self-ratings of the structure of their core social networks (i.e., best friends, intimates). Results indicated that higher self-ratings of domains (CAPP) and subscales (PPI: SF) related to interpersonal dominance, manipulation, poor attachment, and emotional regulation were associated with less connected core networks. We interpret the dominance and manipulation domain and subscale findings as preliminary evidence of a deliberate strategy to provide a more influential position within one’s social network. As for the associations with the attachment and emotional regulation domain and subscale findings, we suggest this could be reflective of deficits or a lack of desire both in establishing and maintaining long-term relationships.

Keywords: CAPP, interpersonal relationships, PPI, SNA, social networks

Intranasal Oxytocin (InOT): Tested interactive InOT effects were highly heterogeneous; for most published interactions, no replication was attempted; when attempted, replications were largely unsuccessful

How Can Intranasal Oxytocin Research Be Trusted? A Systematic Review of the Interactive Effects of Intranasal Oxytocin on Psychosocial Outcomes. A. Mierop et al. Perspectives on Psychological Science, July 7, 2020. https://doi.org/10.1177/1745691620921525

Abstract: Over the past two decades, research about the role of oxytocin (OT) in human behavior has grown exponentially. However, a unified theory of OT effects has yet to be developed. Relatedly, growing concerns about the robustness of conclusions drawn in the field have been raised. The current article contributes to this debate by reporting on and discussing key conclusions from a systematic review of published studies addressing the interactive effects of intranasal OT (IN-OT) administration on psychosocial outcomes in a healthy population. The review indicates that (a) tested interactive IN-OT effects were highly heterogeneous; (b) for most published interactions, no replication was attempted; (c) when attempted, replications were largely unsuccessful; (d) significance was unrelated to sample size; (e) statistical power was critically low and unrelated to the rate of significant results; and (f) research practices were characteristic of an exploratory approach. This concerning state of affairs makes it virtually impossible to tease apart true from false interactive IN-OT effects. We provide constructive directions on the basis of this observation and positive predictive value simulations for future research that should help extract true effects from noise and move the IN-OT field forward.

Keywords: neuroendocrinology, oxytocin, social cognition, positive predictive value


Tuesday, July 7, 2020

Neither the dark triad nor general intelligence are meaningfully related to lying ability

The ability to lie and its relations to the dark triad and general intelligence. Moritz Michels, Günter Molz, Frederic Maas. Personality and Individual Differences, Volume 166, 1 November 2020, 110195. https://doi.org/10.1016/j.paid.2020.110195

Abstract: The dark triad of personality (D3) – psychopathy, machiavellianism, and narcissism – is commonly conceived to be related to manipulative and deceptive abilities and is often regarded as an exploitative behavioral strategy. Some authors argue that the effectiveness of this strategy is moderated by other variables, e.g. intelligence. In our study participants prepared three short stories about personal incidences: Two had to be true and one had to be non-factual. The subjects told their stories in a laboratory setting while being videotaped. The SRP-4, the MACH VI and the NARQ were used to measure the dark triad. General intelligence was assessed with the WAIS-IV. Subsequently, raters judged which of the three stories was the non-factual one. In conclusion, participants' lying ability was operationalized by the number of raters not succeeding to identify the non-factual story. We tested if (a) the D3 and (b) intelligence were correlated with lying ability, and (c) the D3-lying-ability-relation was moderated by intelligence. The results indicated that neither the dark triad nor general intelligence are meaningfully related to lying ability and that general intelligence does not moderate the D3-lying-ability-relation. Our results challenge the view that the D3-traits enable individuals to exploit their social environment effectively.

Keywords: IntelligenceDark triadManipulationLying ability


Mating implicit compromise is lowering of ideal preferences to match one's own mate value, explicit compromise is choosing a mate who falls short of one's ideal preferences; both sexes engage in extensive implicit compromise

Implicit and explicit compromises in long-term partner choice. Melinda Williams, Danielle Sulikowski. Personality and Individual Differences, Volume 166, 1 November 2020, 110226. https://doi.org/10.1016/j.paid.2020.110226

Highlights
• Assortative mating occurs when people select mates whose value matches their own.
• Implicit compromise is lowering of ideal preferences to match one's own mate value.
• Explicit compromise is choosing a mate who falls short of one's ideal preferences.
• Both sexes engage in extensive implicit compromise, driving assortative mating.
• Neither sex exhibits extensive explicit compromise in partner choice.

Abstract: Individuals select mates adaptively, adjusting their ideal partner preferences in accordance with their own mate value, and prevailing environmental conditions. They may then select a mate that falls short of these preferences if they are unable to locate or attract someone who meets their ideals. In the current study we investigated the extent to which men and women of varying mate value compromise their mate choice decisions implicitly (by lowering their preferred ideals) or explicitly (by choosing a partner who falls short of their declared). Participants reported on their ideal trait preferences, the traits of an actual long-term partner, and their own mate value. We observed that both men and women engaged in substantial implicit compromise, with lower stated ideal preferences across all potential partner traits, as participant self-perceived mate value decreased. Explicit compromises were comparatively rare and unrelated to an individual's own mate value. We conclude that implicit compromise from both men and women plays a far greater role than does explicit compromise in either sex in driving assortative mating.

Keywords: Ideal partner preferencesMate valueMate choiceCompromise


500 U.S. adults report on the likelihood they would engage in criminal behavior if all crime were legal on one day each year—18% of participants would be likely to take parte on some crime

Who Would ‘Purge’? Low Self-Control, Psychopathy, and Offending in the Absence of Legal Controls. Ryan C. Meldrum, Peter S. Lehmann, Jamie L. Flexon. Crime & Delinquency , July 6, 2020. https://doi.org/10.1177/0011128720940953

Abstract: The assumption that people are inherently self-interested and that legal controls are needed to prevent crime underlies several criminological perspectives. In the current study, this assumption is tested by having a sample of 500 U.S. adults report on the likelihood they would engage in criminal behavior if all crime were legal on one day each year—a scenario depicted in the 2013 film The Purge. Based on the presumption that at least some individuals would “purge,” the extent to which low self-control and psychopathy are associated with the likelihood of purging is also considered. Results indicate that 18% of participants would be likely to purge. In addition, both low self-control and psychopathy are positively associated with the likelihood of purging.

Keywords: low self-control, psychopathy, The Purge, social control, deterrence





UK COVID-19 lockdown: A slowing of the passage of time was associated with increasing age, increasing stress, reduced task load and reduced satisfaction with current levels of social interaction

The passage of time during the UK Covid-19 lockdown. Ruth S. Ogden. PLoS One, July 6, 2020. https://doi.org/10.1371/journal.pone.0235871

Abstract: In March 2020, in response to the Covid-19 pandemic, the UK Government imposed social and physical distancing measures on the population. These lockdown measures caused significant changes to all aspects of daily life. The current study examined how the passage of time was distorted during the lockdown period. Using an online questionnaire, day and week passage of time judgments were collected. In addition, measures of affect, task load and satisfaction with current levels of social interaction were taken. The results show that over 80% of participants experienced distortion to the passage of time during lockdown in comparison with normal. The passage of time during the day was predicted by age, stress, task load and satisfaction with current levels of social interaction. A slowing of the passage of time was associated with increasing age, increasing stress, reduced task load and reduced satisfaction with current levels of social interaction. Only age and satisfaction with current levels of social interaction predicted passage of time across a week. Again, increasing age and reduced satisfaction with levels of social interaction were associated with a slowing of the passage of time. These findings demonstrate that significant changes to daily life have a significant impact on our experience of time, with younger, more socially satisfied people more likely to experience time as passing more quickly during the lockdown.


Spiritual training is assumed to reduce self-enhancement, but may have the paradoxical effect of boosting superiority feelings, contributing to self- worth and communal narcissism

Vonk, Roos. 2020. “Spiritual Superiority.” PsyArXiv. July 4. doi:10.31234/osf.io/qh457

Abstract: Spiritual training is assumed to reduce self-enhancement, but may have the paradoxical effect of boosting superiority feelings. It can, thus, operate like other self-enhancement tools and contribute to a contingent self- worth that depends on one’s spiritual accomplishments. In three studies (N=533, N=2223, N=965), a brief measure of Spiritual Superiority showed good internal consistency and discriminant validity. As predicted, it was distinctly related to Spiritual Contingency of Self-Worth, illustrating that the self-enhancement function of spirituality is similar to other contingency domains. It was correlated with self-esteem and, more strongly, with communal narcissism, corroborating the notion of spiritual narcissism. Spiritual superiority scores were consistently higher among energetically trained participants than mindfulness trainees and were associated with Supernatural Overconfidence and self-ascribed Spiritual Guidance. Our results illustrate that the self- enhancement motive is powerful and deeply ingrained so that it can hijack methods intended to transcend the ego and, instead, adopt them to its own service.


Check also Petersen, Michael Bang, and Panagiotis Mitkidis. 2019. “A Sober Second Thought? A Pre-registered Experiment on the Effects of Mindfulness Meditation on Political Tolerance.” PsyArXiv. October 20. https://www.bipartisanalliance.com/2019/10/analyses-of-data-from-pilot-experiment.html

‘I Do Not Exist’: Pathologies of Self Among Western Buddhists. Judith Pickering. Journal of Religion and Health, June 2019, Volume 58, Issue 3, pp 748–769. https://www.bipartisanalliance.com/2019/07/i-do-not-exist-pathologies-of-self.html

Mindfulness not related to behavioral & speech markers of emotional positivity (or less negativity), interpersonally better connected (quality or quantity), or prosocial orientation (more affectionate, less gossipy or complaining)Dispositional mindfulness in daily life:
Deanna M. Kaplan, L. Raison, Anne Milek, Allison M. Tackman, Thaddeus W. W. Pace, Matthias R. Mehl. PLOS, https://www.bipartisanalliance.com/2018/11/mindfulness-not-related-to-behavioral.html

We argue that the ability to covertly monitor others without executing a look towards them is an important process that compensates for the risk of looking directly during certain social situations

I spy without my eye: Covert attention in human social interactions. Jill A. Dosso, Michelle Huynh, Alan Kingstone, Cognition, 104388, Jul 6 2020. https://doi.org/10.1016/j.cognition.2020.104388

Abstract: Looking at other people allows us to collect information about them, but it can also reveal our attentional state when we would rather conceal it. We report that individuals spontaneously employ sustained covert monitoring, rather than direct looking, when evaluating the actions of a live stranger. In contrast, individuals look directly at the actions of a stranger on video. We argue that the ability to secretly monitor live others without executing a look towards them is an important process that compensates for the risk of looking directly during certain social situations. Covert monitoring allows people to avoid visually communicating to others that they are the focus of one's attention. This represents a previously undocumented function of covert attention outside of the laboratory. It suggests that the relationship between covert attention and looking is dynamic and likely to be foundational to the successful navigation of real-world social situations.

Keywords: Covert attentionEyeReal-worldSocial behaviourVision


Results, therefore, suggest that the bilingual advantage in children’s executive control is small, variable, and potentially not attributable to the effect of language status

Lowe, Cassandra J. 2020. “The Bilingual Advantage in Children: A Meta-analytic Review.” PsyArXiv. July 7. doi:10.31234/osf.io/spjfg

Abstract: There is considerable debate about whether bilingual children are advantaged in executive functioning relative to monolingual children. The current meta-analysis addressed this debate by comprehensively reviewing the available evidence. Here, we synthesized data from published studies and unpublished datasets, which equated to 1209 effect sizes from 10,672 bilingual and 12,289 monolingual participants aged 3- to 17-years. Consistent with the bilingual advantage hypothesis, bilingual language status had a small effect on children’s executive functions (g =.08, 95% CI [.01, .14]). However, this effect was indistinguishable from zero after adjusting for bias (g=-.04, 95 % CI [-.12, .05]). Further, no significant effects were apparent within the executive attention, where the effects of language status are thought to be most pronounced (g =.08, 95% CI [.01, .14]). Results, therefore, suggest that the bilingual advantage in children’s executive control is small, variable, and potentially not attributable to the effect of language status.


Rather than making marriage less desirable, some forms of "low-cost sexual gratification" (pornography) imply a higher desire for marriage, one in which sex would be more consistently available

Does Low-Cost Sexual Gratification Make Men Less Eager to Marry? Pornography Use, Masturbation, Hookup Sex, and Desire to be Married among Single Men. Samuel Perry. Archives of Sexual Behavior, 2020. https://www.academia.edu/43502365

Abstract: Coinciding with declining rates of marriage and coupled sex in the United States, some scholars have proposed that the growing availability of "low-cost sexual gratification" or "cheap sex"-sexual activities such as hookups, pornography use, and masturbation that demand little effort or investment-will lead men to find marital commitment less appealing. Using data from two nationally representative surveys of American adults (2012 New Family Structures Study, N = 349; 2014 Relationships in America Survey, N = 1,402), the current study tested the thesis that unmarried men's pornography use, masturbation habits, or frequency of recent hookup sex would be associated with a lower likelihood of them finding marriage desirable. This thesis was unsupported. In both surveys, masturbation and hookup sex were not associated with unmarried men wishing to be married, while pornography use was robustly and linearly associated with a higher likelihood of wanting to be married. This association was apparent at both the bivariate level and after taking into account sexual satisfaction, relationship status, beliefs about marriage, and a host of other potential confounds. Findings suggest that, rather than making marriage less desirable, some forms of "low-cost sexual gratification" such as pornography use predict a comparatively higher desire for marriage. The implications of these findings are considered in light of sex-exchange theories of marital commitment and the large body of previous research connecting pornography use to more liberal, non-monogamous sexual attitudes.


DISCUSSION
Numerous studies have elaborated and tested theories relating to heterosexual men and women engaging in “exchanges” for sex, either implicitly in romantic relationships or more explicitly in sex work. While Malcolm and Naufal (2016) found a robust association between Internet pornography use and lower marriage rates among men, no studies tested whether access to forms of “low-cost sexual gratification” is associated with men’s lower expressed desire for marriage. Using two nationally representative data sets with nearly identical measures, the current study found no evidence that hookup sex, masturbation, or pornography use, either at the bivariate level or with proper controls in place, seemed to disincline single men from wanting to be married. Moreover, while sexual dissatisfaction did indeed seem to be a strong correlate of single, never-married men wanting to be married (Regnerus, 2017), “low-cost” sexual alternatives did not seem to mitigate that association. Indeed, even with all the low/nocommitment sexual activities included in full models in Tables 3 and 4, the odds ratios of sexual dissatisfaction were only slightly reduced, and not at all in their statistical significance. Conversely, pornography viewing frequency turned out to be a significant, positive predictor of wanting to be married even when relationship status, beliefs about marriage, sex frequency, masturbation, and sexual satisfaction were taken into account. In other words, holding constant how much casual sex single men were having, their level of satisfaction with that sex, how much they masturbate, or even their views about marriage as an institution, viewing pornography did not seem to make them less inclined to want marriage, but could, in fact, make them more interested in the prospect of a committed romantic relationship. How might that happen? Pornography use cannot merely be a proxy for men’s desire to experience some sort of immediate sexual gratification that marriage might provide since the models control for sexual contentment, as well as masturbation, sexual frequency, and romantic involvement. And while several bivariate associations (Table 2) and multivariate associations (e.g., hookup sex in Table 3, Model 2) suggest that low/no-commitment sexual alternatives might disincline single men from preferring marriage, it could be that pornography use simply does not provide an alternative to committed romantic relationships as some propose (e.g., Malcolm & Naufal, 2016; Perry & Longest, 2018; Regnerus, 2017, 2019). To nuance the “low-cost sexual gratification” thesis, perhaps pornography in particular does not replace committed, romantic relationships, but stimulates a desire for a committed relationship in which sex would be more consistently available. As Regnerus (2017, pp. 42-43) pointed out, even single men who are engaging in “cheap-sex” activities anticipate that they will eventually get married. Regnerus (2017) explains, “Many men anticipate their own greater willingness to eventually pay the elevated price (of marriage)…And even though they may feel like they’re in the driver’s seat in the marriage market, ideal spouses grow less numerous with time” (pp. 42-43). Though studies have suggested pornography use may stimulate a desire for casual, non-monogamous sex (Grubbs et al., 2019; Tokunaga et al., 2019; Wright & Tokunaga, 2016; Wright et al., 2014), it is possible that pornography use may promote more “strategic” or “anticipatory” thinking among men, namely, provoking a desire for situations in which sex would be more readily available long-term. Indeed, while some empirical research suggests that frequent pornography use is associated with greater interest in non-monogamous sexual relationships (see studies reviewed in Grubbs et al., 2019), nuanced with the findings presented here, it may be that pornography use indirectly inclines unmarried men to opt into the sort of long-term commitment marriage entails (Malcolm & Naufal, 2016; Regnerus, 2017, 2019). There were limitations of these data. Most importantly, they were cross-sectional and thus causal relationships cannot be definitively demonstrated. Closely related to this limitation is the fact that these data only measure single men’s expressed desire to be married, which is different from capturing their likelihood of actually getting married later on. While desire for marriage does directly test a thesis put forward by the “low-cost sexual gratification” argument, it would obviously be necessary to take actual outcomes into account in order to demonstrate whether pornography use, masturbation, or hookup sex contributed to a higher likelihood of eventual marriage among young men. Future studies testing these theories would ideally use longitudinal designs wherein scholars can examine the influence of pornography use or hookup sex on the relationship trajectories of men and women over their life course (Perry & Longest, 2018 represented a preliminary attempt at this). Another limitation is that the measure of “hookup sex” (sexual frequency in the past 1-2 weeks × not currently in a relationship) was less direct than desirable. While the end result was arguably the same as it would have been otherwise, future studies on this topic would benefit from a more direct measure of hookup sex that would inquire about participants’ frequency of casual sex with partners with whom the participant is not currently in a relationship.

Along these lines, due to data limitations, this study was not able to test one aspect of Regnerus’ (2017) overall thesis, which was that earlier time-to-sex in romantic relationships also introduced a form of low-commitment sexual gratification that women felt pressured to offer (because of alternatives like pornography, hookups, etc.) that could potentially disincline men to be interested in marital commitment. Future studies would ideally inquire about young people in the earlier stages of their romantic relationship and how long into their relationship they had sex. Lastly, while the link between pornography use and desire for marriage in both surveys was clearly robust, it was not possible to discern the precise mechanisms behind greater pornography use and men’s desire to be married. Qualitative interviews would be more ideal to flesh out exactly how frequent pornography viewers think about marriage. These limitations notwithstanding, the current study has extended our understanding of the contemporary association between low/no-commitment sexual activities and desire for marriage among single, never-married men. Though declining rates of marriage and coupled sex are likely the result of a variety of interrelated factors, findings from the current study suggest that one of those factors is unlikely to be declining interest among young men that results from engaging in “low-cost” sexual alternatives like pornography use, masturbation, and hookup sex. Masturbation and hookup sex were ultimately unrelated to single-men’s preference to be married, and pornography use was associated with greater desire for marriage among single men. Yet it is worth thinking about whether these observed associations may be any different in the future. Though the relationship between hookup sex and desire for marriage, for example, was non-significant in the full models of the 2012 NFSS, it was marginal (p = .052), and was statistically significant at .05 before pornography and masturbation were taken into account (Table 3, Model 2). It could be that while pornography use, and perhaps masturbation (Table 4, Model 3), may incline single, never-married men to pursue marriage, greater access to casual sex does provide a weak disincentive to get married. As the interviewees in Huang et al.’s (2011) analysis suspected, it may be that easier access to sexual activity, as long as it is with a real person, could make men less inclined to get married. This would be consistent with Regnerus’ (2017) argument that earlier time-to-sex in heterosexual romantic relationships (because they exchange sex for little commitment) are the sort of “low-cost” sexual alternative that might disincline men to commit to marriage. As casual sex becomes less stigmatized within society, scholars should revisit these findings in order to discern whether hookups now provide a robust disinclination for men to marry. So too, as more couples intentionally opt for long-term cohabiting relationships rather than formal marriage, scholars could also revisit how earlier sex, hookup sex, and other forms of low-commitment sexual activity may play a role.