963 resultados para Swedish Core Affect Scale
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The authors have much experience in developing mathematics skills of first-year engineering students and attempting to ensure a smooth transition from secondary school to university. Concerns exist due to there being flexibility in the choice of modules needed to obtain a secondary level (A-level) mathematics qualification. This qualification is based on some core (pure maths) modules and a selection from mechanics and statistics modules. A survey of aerospace and mechanical engineering students in Queen’s University Belfast revealed that a combination of both mechanics and statistics (the basic module in both) was by far the most popular choice and therefore only about one quarter of this cohort had studied mechanics beyond the basic module within school maths. Those students who studied the extra mechanics and who achieved top grades at school subsequently did better in two core, first-year engineering courses. However, students with a lower grade from school did not seem to gain any significant advantage in the first-year engineering courses despite having the extra mechanics background. This investigation ties in with ongoing and wider concerns with secondary level mathematics provision in the UK.
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Drawing on data generated via large-scale survey and in-depth interview methods, this article reports findings which show that being a student teacher in early-twenty-first-century England is a demanding personal experience which requires considerable engagement and commitment in the face of built-in challenges and risks, and which engenders, for many, highly charged affective responses. Student teachers are centrally concerned during this time with their (changing) identities, their relationships with others and the relevance of course provision. Findings also indicate that, in some respects, student teachers’ accounts of their experiences are systematically differentiated according to a number of factors, notably the initial teacher preparation route being followed, their age, and their prior conceptions and expectations of teaching and of learning to teach. These findings are situated in the broader literature on teacher development and some implications for teacher educators are discussed. © 2008 Taylor & Francis
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We present a decadal-scale late Holocene climate record based on diatoms, biogenic silica, and grain size from a 12-m sediment core (VEC02A04) obtained from Frederick Sound in the Seymour-Belize Inlet Complex of British Columbia, Canada. Sediments are characterized by graded, massive, and laminated intervals. Laminated intervals are most common between c. 2948–2708 cal. yr BP and c. 1992–1727 cal. yr BP. Increased preservation of laminated sediments and diatom assemblage changes at this time suggest that cli- mate became moderately drier and cooler relative to the preceding and succeeding intervals. Spectral and wavelet analyses are used to test for statistically significant periodicities in time series of proxies of primary production (total diatom abundance, biogenic silica) and hydrology (grain size) preserved in the Frederick Sound record. Periodicities of c. 42–53, 60–70, 82–89, 241–243, and 380 yrs are present. Results are com- pared to reconstructed sunspot number data of Solanki et al. (2004) using cross wavelet transform to evalu- ate the role of solar forcing on NE Pacific climate. Significant common power of periodicities between c. 42– 60, 70–89, 241–243, and of 380 yrs occur, suggesting that celestial forcing impacted late Holocene climate at Frederick Sound. Replication of the c. 241–243 yr periodicity in sunspot time series is most pronounced be- tween c. 2900 cal. yr BP and c. 2000 cal. yr BP, broadly correlative to the timing of maximum preservation of laminated sedimentary successions and diatom assemblage changes. High solar activity at the Suess/de Vries band may have been manifested as a prolonged westward shift and/or weakening of the Aleutian Low in the mid-late Holocene, which would have diverted fewer North Pacific storms and resulted in the relatively dry conditions reconstructed for the Seymour-Belize Inlet Complex.
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This paper introduces hybrid address spaces as a fundamental design methodology for implementing scalable runtime systems on many-core architectures without hardware support for cache coherence. We use hybrid address spaces for an implementation of MapReduce, a programming model for large-scale data processing, and the implementation of a remote memory access (RMA) model. Both implementations are available on the Intel SCC and are portable to similar architectures. We present the design and implementation of HyMR, a MapReduce runtime system whereby different stages and the synchronization operations between them alternate between a distributed memory address space and a shared memory address space, to improve performance and scalability. We compare HyMR to a reference implementation and we find that HyMR improves performance by a factor of 1.71× over a set of representative MapReduce benchmarks. We also compare HyMR with Phoenix++, a state-of-art implementation for systems with hardware-managed cache coherence in terms of scalability and sustained to peak data processing bandwidth, where HyMR demon- strates improvements of a factor of 3.1× and 3.2× respectively. We further evaluate our hybrid remote memory access (HyRMA) programming model and assess its performance to be superior of that of message passing.
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PURPOSE: This preliminary investigation was designed to test the hypothesis that high intensity single-leg exercise can cause extensive cell DNA damage, which subsequently may affect the expression of the HO-1 gene. METHODS: Six (n=6) apparently healthy male participants (age 27 + 7 yrs, stature 174 + 12 cm, body mass 79 + 4 kg and BMI 24 + 4 kg/m2) completed 100 isolated and continuous maximal concentric contractions (minimum force = 200 N, speed of contraction = 60°/sec) of the rectus femoris muscle. Using a spring-loaded and reusable Magnum biopsy gun with a 16-gauge core disposable biopsy needle, skeletal muscle micro biopsy tissue samples were extracted at rest and following exercise. mRNA gene expression was determined via two-step quantitative real-time PCR using GAPDH as a reference gene. RESULTS: The average muscle force production was 379 + 179 N. High intensity exercise increased mitochondrial 8-OHdG concentration (P < 0.05 vs. rest) with a concomitant decrease in total antioxidant capacity (P < 0.05 vs. rest). Exercise also increased protein oxidation as quantified by protein carbonyl concentration (P < 0.05 vs. rest). HO-1 expression increased (> 2-fold change vs. rest) following exercise, and it is postulated that this change was not significant due to low subject numbers (P > 0.05). CONCLUSION: These preliminary findings tentatively suggest that maximal concentric muscle contractions can cause intracellular DNA damage with no apparent disruption to the expression of the antioxidant stress protein HO-1. Moreover, it is likely that cell oxidant stress is required to activate the signal transduction cascade related to the expression of HO-1. A large-scale study incorporating a greater subject number is warranted to fully elucidate this relationship.
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ABSTRACT BODY: To resolve outstanding questions on heating of coronal loops, we study intensity fluctuations in inter-moss portions of active region core loops as observed with AIA/SDO. The 94Å fluctuations (Figure 1) have structure on timescales shorter than radiative and conductive cooling times. Each of several strong 94Å brightenings is followed after ~8 min by a broader peak in the cooler 335Å emission. This indicates that we see emission from the hot component of the 94Å contribution function. No hotter contributions appear, and we conclude that the 94Å intensity can be used as a proxy for energy injection into the loop plasma. The probability density function of the observed 94Å intensity has 'heavy tails' that approach zero more slowly than the tails of a normal distribution. Hence, large fluctuations dominate the behavior of the system. The resulting 'intermittence' is associated with power-law or exponential scaling of the related variables, and these in turn are associated with turbulent phenomena. The intensity plots in Figure 1 resemble multifractal time series, which are common to various forms of turbulent energy dissipation. In these systems a single fractal dimension is insufficient to describe the dynamics and instead there is a spectrum of fractal dimensions that quantify the self-similar properties. Figure 2 shows the multifractal spectrum from our data to be invariant over timescales from 24 s to 6.4 min. We compare these results to outputs from theoretical energy dissipation models based on MHD turbulence, and in some cases we find substantial agreement, in terms of intermittence, multifractality and scale invariance. Figure 1. Time traces of 94A intensity in the inter-moss portions of four AR core loops. Figure 2. Multifractal spectra showing timescale invariance. The four cases of Figure 1 are included.
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Evidence has accumulated of high temperature (> 4 MK) coronal emission in active region cores that corresponds to structures in equilibrium. Other studies have found evidence of evolving loops. We investigate the EUV intensity and temperature variations of short coronal loops observed in the core of NOAA Active Region 11250 on 13 July 2011. The loops, which run directly between the AR opposite polarities, are first detectable in the 94Å band of Fe XVIII, implying an effective temperature ~ 7 MK. The low temperature component of the 94 Å signal is modeled in terms of a linear superposition of the 193 Å and 171 Å signals in order to separate the hot component. After identifying the loops we have used contemporaneous HMI observations to identify the corresponding inter-moss regions, and we have investigated their time evolution in six AIA EUV channels. The results can be separated into two classes. Group 1 (94Å, 335Å, 211Å) is characterized by hotter temperatures (~2-7 MK), and Group 2 (193Å, 171Å, 131Å) by cooler temperatures (0.4 - 1.6 MK). For Group 1 the intensity peaks in the 94Å channel are followed by maxima in the 335 Å channel with a time lag of ~8 min, suggestive of a cooling pattern with an exponential decay. While the 211Å maxima follow those in the 335 Å channel, there is no systematic relation which would indicate a progressive cooling process through the lower temperatures, as has been observed in other investigations. In Group 2 the signals in the 171 and 131Å channels track each other closely, and lag behind the 193Å. In the inter-moss region of the loop the peak temperature and peak emission measure have opposite trends. The hot 94Å brightenings occur in the central part of the loops with maximum temperatures ~7 MK. Subsequently the loops appear to fill with plasma with an emission measure compatible with the 193 Å signal and temperature in the range ~ 1.5-2 MK. Although the exact details of the time evolution are still under investigation, these non static loops show high levels of intermittency in the 94Å signal (please see poster "Intermittent and Scale-Invariant Intensity Fluctuations in Hot Coronal Loops," by Lawrence et al. in this session).
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Many-body theory is developed to calculate the γ spectra for positron annihilation in noble-gas atoms. Inclusion of electron-positron correlation effects and core annihilation gives spectra in excellent agreement with experiment [K. Iwata et al., Phys. Rev. Lett. 79, 39 (1997)]. The calculated correlation enhancement factors γnl for individual electron orbitals nl are found to scale with the ionization energy Inl (in eV), as γnl=1+ √A/Inl+(B/Inl)β, where A≈40 eV, B≈24 eV, and β≈2.3.
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A legacy emphasis was one of the fundamental pillars of the London 2012 Olympic Games. The notion of an Olympic legacy was predicated on assumptions that the event’s value would not purely derive from the sporting spectacle, but rather, from the ‘success’ of enduring effects met out in London and across the country. For physical education students and practitioners, Olympic legacy agendas translated into persistent pressure to increase inspiration, engagement, participation and performance in the subject, sport and physical activity. Responding to this context, and cogniscent of significant disciplinary scholarship, this paper reports initial data from the first phase of a longitudinal study involving Key Stage Three (students aged 11-13) cohorts in two comparable United Kingdom schools: the first an inner-city (core) London school adjacent to the Olympic Park in Stratford, East London (n=150); the second, a (peripheral) school in the Midlands (n=198). The research involved the use of themed questionnaires focusing on self-reported attitudes toward the Olympic Games, and, experiences of physical education, sport and physical activity. Students from both schools demonstrated a wide variety of attitudes toward physical education and sport; yet, minor variances emerged regarding extreme enthusiasm levels. Both cohorts also expressed considerably mixed feelings toward the impending Olympic Games. Strong and variable responses were also reported regarding inspiration levels, ticketing acquisition and engagement levels. Consequently, this investigation can be read within the broader context of legacy debates, and, aligns well with physical educationalists’ on-going discomfort regarding legacy imperatives being enforced upon the discipline and its practitioners. Our work reiterates a shared disciplinary scepticism that while an Olympic Games may temporarily affect young peoples’ affectations for sport (and maybe physical education and physical activity), it may not provide the best, or most appropriate, mechanism for sustained attitudinal and/or social changes en masse.
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Dissertação para obtenção do grau de Mestre em Engenharia Química
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Chronic Low Back Pain (CLBP) is a public health problem and older women have higher incidence of this symptom, which affect body balance, functional capacity and behavior. The purpose of this study was to verifying the effect of exercises with Nintendo Wii on CLBP, functional capacity and mood of elderly. Thirty older women (68 ± 4 years; 68 ± 12 kg; 154 ± 5 cm) with CLBP participated in this study. Elderly individuals were divided into a Control Exercise Group (n = 14) and an Experimental Wii Group (n = 16). Control Exercise Group did strength exercises and core training, while Experimental Wii Group did ones additionally to exercises with Wii. CLBP, balance, functional capacity and mood were assessed pre and post training by the numeric pain scale, Wii Balance Board, sit to stand test and Profile of Mood States, respectively. Training lasted eight weeks and sessions were performed three times weekly. MANOVA 2 x 2 showed no interaction on pain, siting, stand-up and mood (P = 0.53). However, there was significant difference within groups (P = 0.0001). ANOVA 2 x 2 showed no interaction for each variable (P > 0.05). However, there were significant differences within groups in these variables (P < 0.05). Tukey's post-hoc test showed significant difference in pain on both groups (P = 0.0001). Wilcoxon and Mann-Whitney tests identified no significant differences on balance (P > 0.01). Capacity to Sit improved only in Experimental Wii Group (P = 0.04). In conclusion, physical exercises with Nintendo Wii Fit Plus additional to strength and core training were effective only for sitting capacity, but effect size was small.
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Expression of the SS18/SYT-SSX fusion protein is believed to underlie the pathogenesis of synovial sarcoma (SS). Recent evidence suggests that deregulation of the Wnt pathway may play an important role in SS but the mechanisms whereby SS18-SSX might affect Wnt signaling remain to be elucidated. Here, we show that SS18/SSX tightly regulates the elevated expression of the key Wnt target AXIN2 in primary SS. SS18-SSX is shown to interact with TCF/LEF, TLE and HDAC but not β-catenin in vivo and to induce Wnt target gene expression by forming a complex containing promoter-bound TCF/LEF and HDAC but lacking β-catenin. Our observations provide a tumor-specific mechanistic basis for Wnt target gene induction in SS that can occur in the absence of Wnt ligand stimulation.
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This study tested a model which predicted the relationship between underemployment and depressive affect as moderated by coping styles. A randomly selected community sample of 574 young adults completed a self-report employment status measure, the Underemployment Scale, the Center for Epidemiological Study Depression Scale, and the Coping^Stralegy Indicator. The interaction model was supported for men only. Results indicated that significant interactions between Perceived Job Requirements Underemployment by avoidance copings and Subjective Underemployment by avoidance coping predicted depressive affect for men. Further, the same results were found even after controlling for prior depressive affect. UsingJhe^ selfreport employment status measure revealed significant group differences between unemployed and underemployed men. Underemployed men who utilized more support seeking coping strategies reported higher depressive affect than unemployed men. The interaction model was not supported for women even though women have consistently reported higher depressive affect rates. These results have implications for underemployment and depressive affect research and practical implications for assisting men who feel subjectively underemployed and need to find an appropriate strategy to cope with the situation.
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Résumé Depuis le début des années 1990, la recherche sur le développement régional a pris une importance considérable dans les disciplines de l’économie et de la géographie dans la plupart des pays. De nombreuses études ont été consacrées à ce sujet et l’on constate une approche analytique de plus en plus sophistiquée. Que les économies pauvres ont tendance à converger vers les pays riches, ou bien à diverger au fil du temps est une question qui a attiré l'attention des décideurs et des universitaires depuis quelques décennies. Convergence ou de divergence économique est un sujet d'intérêt et de débat, non seulement pour valider ou non les deux modèles principaux de croissance qui sont considérés comme concurrent (l’approche néo-classique et celle des approches de croissance endogène), mais aussi pour ses implications pour les publiques politiques. En se basant sur une analyse des politiques de développement régional et des analyses statistiques de la convergence et des disparités régionales, les objectifs de cette thèse sont de tenter de fournir une explication des différents processus et des modèles de développement économique régional poursuivis dans le cas de territoires immenses en utilisant le Canada et la Chine comme études de cas, d'entreprendre une analyse des différents facteurs et des forces motrices qui sous-tendent le développement régional dans ces deux pays, et d'explorer à la fois les réussites et les échecs apparents dans les politiques de développement régional en comparant et contrastant les expériences de développement régional et les modèles de ces deux pays. A fin d'atteindre cet objectif, la recherche utilise une approche multi-scalaire et des méthodes de mesure multidimensionnelle dans le cadre des analyses sur les disparités « régionales » entre les macro régions (sous-ensembles de provinces) des deux pays, des provinces et des régions urbaines sélectionnées, dans le but ultime d’identifier des problèmes existants en termes de développement régional et de pouvoir proposer des solutions. Les étapes principales de la recherche sont : 1. La cueillette des données statistiques pour le Canada et la Chine (incluant les provinces de Québec et de Xinjiang) pour une gamme d’indicateurs (voir ci-dessous). 2. D’entreprendre une analyse de chaque dimension dans les deux juridictions: Population (p.ex. composition, structure, changement); Ressources (p. ex. utilisation, exploitation de l’énergie); Environnement (p.ex. la pollution); et le Développement socioéconomique (p.ex. le développement et la transformation des secteurs clé, et les modèles de développement rural et urbain), et les disparités changeantes par rapport à ces dimensions. 3. La définition d’une typologie de différents types de région en fonction de leurs trajectoires de développement, ce qui servira pour critiquer l’hypothèse centre-périphérie. 4. Le choix d’une région métropolitaine dans chaque juridiction (province). 5. D’entreprendre une analyse temporelle des événements clé (politiques, investissements) dans chaque région et les facteurs impliqués dans chaque événement, en utilisant l’information documentaire générale et des agences institutionnelles impliqués actuellement et dans un passée récent. Cette étude a tenté d'expliquer les schémas et les processus des deux économies, ainsi que la présentation d'études de cas qui illustrent et examinent les différences dans les deux économies à partir de l’échelle nationale jusqu’au niveau régional et provincial et aussi pour certaines zones urbaines. Cette étude a essayé de répondre aux questions de recherche comme: Est-il vrai que les pays avec des plus grandes territoires sont associés avec des plus grandes disparités interrégionales? Quel est le résultat des comparaisons entre pays développés et pays en développement? Quels sont les facteurs les plus importants dans le développement économique de vastes territoires dans les pays développés et pays en développement? Quel est le mécanisme de convergence et de divergence dans les pays développés et, respectivement, les pays en développement? Dans l'introduction à la thèse, le cadre général de l'étude est présenté, suivie dans le chapitre 1 d'une discussion sur les théories et les concepts utilisés dans la littérature théorique principale qui est pertinent à l'étude. Le chapitre 2 décrit la méthodologie de recherche. Le chapitre 3 présente une vue d'ensemble des politiques de développement économique régional et les programmes du Canada et de la Chine dans des périodes différentes à différentes échelles. Au chapitre 4, la convergence des deux pays à l'échelle nationale et la convergence provinciale pour chaque pays sont examinés en utilisant différentes méthodes de mesure telles que les méthodes traditionnelles, la convergence bêta et la convergence sigma. Dans le chapitre le plus complexe, le chapitre 5, les analyses comparatives sont présentées à l'aide de données statistiques, à partir des analyses des cas régionaux et provinciaux retenus des deux pays. Au chapitre 6, ces dispositions sont complétées par une analyse des régions urbaines choisies, qui permet également des aperçus sur les régions les plus périphériques. Dans la recherche proposée pour cette thèse, la politique, la population, le revenu, l'emploi, la composition industrielle, l'investissement, le commerce et le facteur de la migration sont également pris en compte comme facteurs importants de l'analyse régionale compte tenu de la superficie du territoire des deux pays et les différences de population entre eux. Cette thèse a évalué dans quelle mesure les politiques gouvernementales ont réussi à induire la convergence régionale ou ont encore ont creusé davantage les disparités régionales, ce qui implique nécessairement une évaluation de la durabilité des patrons et des programmes de développement régional. Cette étude a également mis l'accent sur les disparités régionales et la politique de développement régional, les comparaisons entre pays, pour mesurer la convergence entre les pays et entre les régions, y compris l'analyse spatiale, d'identifier les facteurs les plus actifs tels que la population, les ressources, la politique, l'urbanisation, les migrations, l'ouverture économique et leurs différents rôles dans le développement économique de ces grands territoires (au Canada et Chine). Les résultats empiriques et les processus de convergence et de divergence offrent un cadre intéressant pour l'examen de la trajectoire de développement régionales et les disparités régionales dans les deux économies. L'approche adoptée a révélé les différentes mosaïques complexes du développement régional dans les deux pays. Les résultats de cette étude ont démontré que la disparité en termes de revenu régional est une réalité dans chaque zone géographique, et que les causes sont nombreuses et complexes. Les deux économies ont certains parallèles dans la mise en œuvre des politiques de développement économique régional, mais il existe des différences importantes aussi et elles se sont développées à différentes vitesses. Les deux économies se sont développées depuis la Seconde Guerre mondiale, mais la Chine a connu une croissance rapide que le Canada comme témoignent de nombreux indicateurs depuis 1980. Cependant, la Chine est maintenant confrontée à un certain nombre de problèmes économiques et sociaux, y compris les disparités régionales marquées, un fossé toujours croissant entre les revenus ruraux et urbains, une population vieillissante, le chômage, la pauvreté et la dégradation rapide de l'environnement avec toujours plus de demandes en énergie. Le développement économique régional en Chine est plus déséquilibré. Le Canada accuse un degré de disparités régionales et provinciales moins important que la Chine. Dans les cas provinciaux, il existe d'importantes différences et de disparités dans la structure économique et spatiale du Québec et du Xinjiang. Les disparités infra provinciales sont plus grandes que celles à l’échelle des provinces et des grandes régions (des sous-ensembles de provinces). Les mécanismes de convergence et de divergence dans les deux pays sont différents. Les résultats empiriques et les processus de convergence et de divergence offrent un cadre intéressant pour l'examen de la trajectoire de développement régionale et les disparités régionales dans les deux économies. Cette étude démontre également que l'urbanisation (les métropoles et les villes) s’avère être le facteur le plus actif et contribue à l'économie régionale dans ces grands territoires. L'ouverture a joué un rôle important dans les économies des deux pays. La migration est un facteur majeur dans la stimulation de l'économie des deux pays mais de façons différentes. Les résultats empiriques démontrent que les disparités régionales ne peuvent pas être évitées et elles existent presque partout. Il n'y a pas une formule universelle et de politiques spécifiques sont de mise pour chaque région. Mais il semble possible pour les décideurs politiques nationaux et régionaux d’essayer de maintenir l'écart à une échelle raisonnable pour éviter l'instabilité sociale.