980 resultados para Norm
Resumo:
From an anthropological perspective, formal post-secondary schooling is not an abstractentity with an intrinsic value that everyone finds desirable, but rather one alternative among many that young people evaluate from their different positions in the social field. The problem discussed in this paper is the diverging life trajectories that young men and women in a concrete rural context, at the end of the 20th century, shape for themselves at the ages of 14-16, a moment of decision created by national legislation regarding mandatory education (LGE, 1970, General Education Law, and LOGSE, 1990, General Organic Law of the Education System). Despite a strong cultural norm of equal inheritance divided among all children, male and female, and despite the equal educational opportunities provided by the Spanish State, different meanings of possession and use-rights over land and the resulting culturally accepted gendered division of work converge to orient men and women differently towards post-secondary schooling. Observation of the age, gender, and civil status structure of the population led to the preliminary query: Why do men and women, in this town, behave differently with respect to migration and marriage? The main hypothesis was that women’s longer school trajectories and resulting migration and men’s anchoring in the town and their higher rates of celibacy were not drastic changes in values, in the positional-relational sense of Bourdieu (1988, 2002), but the current outcome of previously existing dissimilar relations to property that produce dissimilar mobility. Through their schooling and work choices, young men and women, at very early ages, locate themselves in, or decide to belong to, different contexts that later reveal very different possibilities of finding marriage partners. This paper is based on an ethnographic study of a small rural town (302 inhabitants in 1950; 193 in 2000) near Leon. Although this paper deals with the situation in the final decades of the 20th century, we must also consider the first half of the century, where some elements that shape this situation have their roots. Fieldwork was carried out between 1988 and 2001, in periods of differing length and intensity. The social subjects discussed here are the domestic unit and its component members. They were studied in conjunction, analyzing the life-trajectory decisions of specific persons in the framework of the domestic unit and the relations among people and property which comprise it. The tried-and-true methods of ethnographic research –participant observation, interviews, and life-histories, etc.- were employed. Archival research was also important for producing demographic data. Demographic analysis, the analysis of the composition and transformation of domestic units, and the creation of life trajectories were among the principal techniques used. The theoretical analysis was oriented by Bourdieu’s (2002) framework of the social field, habitus, and difference.
Resumo:
This prospective study applies an extended Information-Motivation-Behavioural Skills (IMB) model to establish predictors of HIV-protection behaviour among HIV-positive men who have sex with men (MSM) during sex with casual partners. Data have been collected from anonymous, self-administered questionnaires and analysed by using descriptive and backward elimination regression analyses. In a sample of 165 HIV-positive MSM, 82 participants between the ages of 23 and 78 (M=46.4, SD=9.0) had sex with casual partners during the three-month period under investigation. About 62% (n=51) have always used a condom when having sex with casual partners. From the original IMB model, only subjective norm predicted condom use. More important predictors that increased condom use were low consumption of psychotropics, high satisfaction with sexuality, numerous changes in sexual behaviour after diagnosis, low social support from friends, alcohol use before sex and habitualised condom use with casual partner(s). The explanatory power of the calculated regression model was 49% (p<0.001). The study reveals the importance of personal and social resources and of routines for condom use, and provides information for the research-based conceptualisation of prevention offers addressing especially people living with HIV ("positive prevention").
Resumo:
This article examines the existence of a habituation effect to unemployment: Does the subjective well-being of unemployed people decline less if unemployment is more widespread? The underlying idea is that unemployment hysteresis may operate through a sociological channel: if many people in the community lose their job and remain unemployed over an extended period, the psychological cost of being unemployed diminishes and the pressure to accept a new job declines. We analyze this question with individual-level data from the German Socio-Economic Panel (1984-2010) and the Swiss Household Panel (2000-2010). Our fixed-effects estimates show no evidence for a mitigating effect of high surrounding unemployment on the subjective well-being of the unemployed. Becoming unemployed hurts as much when regional unemployment is high as when it is low. Likewise, the strongly harmful impact of being unemployed on well-being does not wear off over time, nor do repeated episodes of unemployment make it any better. It thus appears doubtful that an unemployment shock becomes persistent because the unemployed become used to, and hence reasonably content with, being without a job.
Resumo:
It is widely accepted that the rate of evolution (substitution rate) at neutral genes is unaffected by population size fluctuations. This result has implications for the analysis of genetic data in population genetics and phylogenetics, and provides, in particular, a justification for the concept of the molecular clock. Here, we show that the substitution rate at neutral genes does depend on population size fluctuations in the presence of overlapping generations. As both population size fluctuations and overlapping generations are expected to be the norm rather than the exception in natural populations, this observation may be relevant for understanding variation in substitution rates within and between lineages.
Resumo:
As we face a difficult economic climate, in which inequalities may worsen, the PHA faces many challenges in its efforts to improve the health of the population. One such challenge is the issue of obesity. Recently, in the Draft Programme for Government and, again today, in anticipation of the publication of the Consultation on the Review of Health and Social Care Services in Northern Ireland, the specific issue of obesity has been highlighted in the media.The PHA is committed to playing a lead role in tackling this major health issue and has been systematically examining the evidence of best practice and effectiveness to ensure that investment and working in partnership will bring clear benefits. A welcome consequence of any success would be a reduction in the impact of the physical, and emotional costs of obesity related ill-health to individuals - and the financial costs to an overstretched healthcare system.A multi-facetted approach to tackling obesity is required for Northern Ireland. This will mean working across government departments, looking at relevant legislation, taxation, food standards and labelling, as well as supporting a raft of programmes within education, workplace, and at the local community level."The prevalence of overweight and obesity has risen dramatically in recent years in Northern Ireland and is now the norm to be overweight, rather than the exception. The Northern Ireland Health and Social Wellbeing Survey (2010-11) indicated that 36% of adults are overweight and a further 23% are obese; this means that approximately 3 in 5 adults in Northern Ireland carry excess weight. A similar proportion of males and females were obese (23%) however males were more likely to be overweight (44%) than females (30%).Data from the Northern Ireland Health and Wellbeing Survey (2010-11) reported that 27% of children aged 2-15 years are obese or overweight. The findings presented here are based on the guidelines put forward by the International Obesity Task Force. Using this approach, 8% of children were assessed as obese, with similar results for boys (8%) and girls (9%). Obesity has serious implications for health and wellbeing and is associated with an increased risk of heart disease and stroke, type 2 diabetes, some cancers, respiratory problems and joint pain.Evidence indicates that being obese can reduce life expectancy by up to 9 years; and it can impact on emotional and psychological well-being and self-esteem, especially among young people.Obesity also impacts on wider society through economic costs, loss of productivity and increased demands on our health and social care system. It is estimated that obesity in Northern Ireland is resulting in 260,000 working days lost each year with a cost to the local economy of £500 million.The good news is that the intentional loss of significant weight (approx 10kg) in overweight and obese adults has been shown to confer significant health benefits, decreased morbidity and may also reduce obesity-related mortality.Key programmes and interventions are undertaken by the PHA in order to prevent and reduce overweight and obesity. The programmes/interventions are supported by significant ongoing work at local level. Examples include:the promotion of breastfeeding; local programmes to increase awareness of good nutrition and develop cooking skills, for example 'Cook It!'; promotion of more active lifestyles, for example, Walking for Health' and 'Teenage Kicks'; development of community allotment schemes; programmes for primary school children, for example Skip2bfit and Eat, Taste and Grow; and sports and other recreation, for example 'Active Belfast'. The PHA's multi media campaign 'It all adds up!' to encourage children to become more active and understand the importance of keeping fit, in a fun and exciting way, ran until October 2011. It encouraged parents and carers to go to the website www.getalifegetactive.com and download the PHA logbook It all adds up! to plan activities as a family. The logbook helped children and parents plan and keep track of their participation in physical activity at school, home and in the community. PHA is currently developing a public information campaign and other supportive work to increase public awareness of obesity as well as to provide advice and support for those who want to make real changes. The campaign development is well underway and is anticipated for launch in late Spring 2012. Like many common health problems, people living in disadvantaged circumstances suffer most and the PHA is committed to tackling this aspect of health inequality. The good news is that even a modest weight loss, of 1-1 Â_ stones, can help to reduce the risk of many of the health problems resulting from being overweight or obese. Information on losing weight through healthier eating and being more active can be found on the PHA websites - www.enjoyhealthyeating.info and www.getalifegetactive.com . These websites provide help and advice for anyone who wants to improve their eating habits and fitness levels, by making small, sustainable, healthy changes to their lifestyle. The PHA leaflet, Small changes, big benefits is also available to download from the PHA website, 'Publications' section.
Resumo:
‘Everybody active, every day’ is a national, evidence-based approach to support all sectors to embed physical activity into the fabric of daily life and make it an easy, cost-effective and ‘normal’ choice in every community in England.PHE has co-produced the framework with over 1,000 national and local leaders in physical activity and is calling for action from providers and commissioners in: health, social care, transportation, planning, education, sport and leisure, culture, the voluntary and community sector, as well as public and private employers.To make active lifestyles a reality for all, the framework’s 4 areas for action will:change the social ‘norm’ to make physical activity the expectationdevelop expertise and leadership within professionals and volunteerscreate environments to support active livesidentify and up-scale successful programmes nationwide‘Everybody active, every day’ is part of the cross-government ‘Moving More, Living More’ campaign for a more active nation as part of the 2012 Olympic and Paralympic Games legacy.
Resumo:
Inbreeding depression is one of the main forces opposing the evolution of self-fertilization. Of central importance is the hypothesis that inbreeding depression and selfing coevolve antagonistically, generating either low selfing rate and high inbreeding depression or vice versa. However, there is limited evidence for this coevolution within species. We investigated this topic in the hermaphroditic snail Physa acuta. In this species, isolated individuals delay the onset of egg laying compared to individuals having access to mates. Longer delays (''waiting times'') indicate more intense selfing avoidance. We measured inbreeding depression and waiting time in a large quantitative-genetic experiment (281 outbred families derived from 26 natural populations). We observed large genetic variance for both traits and a strong positive genetic covariance between them, most of which resided within rather than among populations. It means that, within populations, individuals with higher mutation load avoided selfing more strongly on average. This genetic covariance may result from pleiotropy and/or linkage disequilibrium. Whatever its genetic architecture, the fact it emerges specifically when individuals are deprived of mates suggests it is not fortuitous and rather reflects the action of natural selection. We conclude that a diversity of mating strategies can arise within populations subjected to variation in inbreeding depression.
Resumo:
Water is a vehicle for disseminating human and veterinary toxoplasmosis due to oocyst contamination. Several outbreaks of toxoplasmosis throughout the world have been related to contaminated drinking water. We have developed a method for the detection of Toxoplasma gondii oocysts in water and we propose a strategy for the detection of multiple waterborne parasites, including Cryptosporidium spp. and Giardia. Water samples were filtered to recover Toxoplasma oocysts and, after the detection of Cryptosporidium oocysts and Giardia cysts by immunofluorescence, as recommended by French norm procedure NF T 90-455, the samples were purified on a sucrose density gradient. Detection of Toxoplasma was based on PCR amplification and mouse inoculation to determine the presence and infectivity of recovered oocysts. After experimental seeding assays, we determined that the PCR assay was more sensitive than the bioassay. This strategy was then applied to 482 environmental water samples collected since 2001. We detected Toxoplasma DNA in 37 environmental samples (7.7%), including public drinking water; however, none of them were positive by bioassay. This strategy efficiently detects Toxoplasma oocysts in water and may be suitable as a public health sentinel method. Alternative methods can be used in conjunction with this one to determine the infectivity of parasites that were detected by molecular methods.
Resumo:
To evaluate whether an activity monitor based on body acceleration measurement can accurately assess the energy cost of the human locomotion, 12 subjects walked a combination of three different speeds (preferred speed +/- 1 km/h) and seven slopes (-15 to +15% by steps of 5%) on a treadmill. Body accelerations were recorded using a triaxial accelerometer attached to the low back. The mean of the integral of the vector magnitude (norm) of the accelerations (mIAN) was calculated. VO2 was measured using continuous indirect calorimetry. When the results were separately analysed for each incline, mIAN was correlated to VO2 (average r = 0.87, p<0.001, n = 36). VO2 was not significantly correlated to mIAN when data were globally analysed (n = 252). Large relative errors occurred when predicted VO2 (estimated from data of level walking) was compared with measured VO2 for different inclines (-53% at +15% incline, to +55% at -15% incline). It is concluded that without an external measurement of the slope, the standard method of analysis of body accelerations cannot accurately predict the energy cost of uphill or downhill walking.
Resumo:
Thesenhafte Zusammenfassung 1. Geschäftsmethoden ist urheberrechtlicher Schutz zu versagen. Vordergründig lässt sich die Schutzversagung mit dem Fehlen von Schutzvoraussetzungen er¬klären. Soweit es an einem Bezug zu Literatur, Wissenschaft oder Kunst man¬gelt, ist Schutz nach § 1 UrhG zu verwehren. Im Übrigen scheitert ein Schutz von Geschäftsmethoden in aller Regel an § 2 Abs. 2 UrhG. Angesichts ihrer Ausrichtung am Effizienzziel orientieren sich Geschäftsmethoden an Vorgege¬benem bzw. an Zweckmäßigkeitsüberlegungen, so dass Individualität ausschei¬det. Hintergrund sind jedoch Legitimierungsüberlegungen: Schutz ist mit Blick auf das Interesse der Allgemeinheit zu versagen, das auf ein Freibleiben von Geschäftsmethoden gerichtet ist und das Interesse des Entwicklers einer Geschäftsmethode an Ausschließlichkeit überwiegt. 2. Die Berücksichtigung der Interessen der Allgemeinheit ist durch Art. 14 Abs. 2 verfassungsrechtlich geboten. Im Urheberrechtsgesetz drückt sie sich vor allem in den Schrankenregelungen der §§ 44a ff. UrhG aus. Die Allgemeininteressen sind darüber hinaus auch auf der Ebene der Entstehung des Rechts zu berück¬sichtigen. Bei der Ermittlung der Interessen der Allgemeinheit sind auch öko¬nomische Überlegungen anzustellen und die wettbewerbsmäßigen Auswirkun¬gen eines Sonderrechtsschutzes zu berücksichtigen. 3. Im Bereich des urheberrechtlichen Datenbankschutzes konnte der Schutz von Geschäftsmethoden hinsichtlich der Auswahl oder Anordnung von Daten bisher durch das Erfordernis einer besonderen Gestaltungshöhe im Rahmen der Schutzvoraussetzung der Individualität verhindert werden. 4. Nach der Umsetzung der Datenbankrichtlinie kommt es infolge der Absenkung der Gestaltungshi5he hin zu einer einfachen Individualität sowie durch die Ein¬beziehung des konzeptionellen Modells in den urheberrechtlichen Schutzbereich vermehrt zu einem indirekten und direkten Schutz von Methoden. Das stellt einen Verstoß gegen die in Art. 9 Abs. 2 TRIPs statuierte Schutzfreiheit von Methoden dar. Auch wenn die Frage der unmittelbaren Anwendbarkeit dieser Norm noch nicht abschließend geklärt ist, hat das deutsche Urheberrechtsgesetz sie doch insofern zu berücksichtigen, als eine konventionsfreundliche Auslegung des Urheberrechtsgesetzes geboten ist. 5. Die bloße "Implementierung" von Geschäftsmethoden in Datenbanken darf nicht zum Schutz eines Gegenstandes führen, dem der Schutz an sich versagt ist. 6. Im Rahmen des Datenbankschutzes eine Monopolisierung von Methoden zuzulassen ist auch im Hinblick auf Art. 3 GG nicht unproblematisch. Denn Geschäftsmethoden, die anderen Werkarten zugrunde liegen, ist dieser Schutz weiterhin versagt, ohne dass ein sachlicher Grund für eine solche Differenzierung erkennbar wäre. 7. Überdies kann sich die Monopolisierung von Auswahl- und Anordnungsmethoden auch negativ auf die Informationsfreiheit auswirken. Es kann faktisch zu Monopolen an den in der Datenbank enthaltenen Informationen kommen. 8. Der Monopolisierung von Geschäftsmethoden zur Auswahl oder Anordnung von Daten ist daher entgegenzutreten. 9. Lösungen, die erst auf der Rechtsfolgenseite ansetzen, indem sie solche Methoden zwar als schutzbegründend ansehen, den Schutzumfang aber beschränken, sind abzulehnen. Sie durchbrechen den axiomatischen Zusammenhang zwischen Schutzbegründung und -umfang und führen dadurch zu willkürlichen Ergebnissen. Auch aus Anreizgesichtspunkten können sie nicht überzeugen. 10. Schutz ist bereits auf Tatbestandsebene zu versagen. 11. Die Schutzfreiheit von Geschäftsmethoden im Bereich des Datenbankschutzes kann dabei nicht durch eine Rückkehr zum Erfordernis einer besonderen Gestaltungshöhe erreicht werden. Dem steht der Wortlaut des Art. 3 Abs. 1 S. 2 der Datenbankrichtlinie ("keine anderen Kriterien") entgegen. Abgesehen davon ist das Individualitätskriterium auch nicht das geeignete Mittel, die Schutzfreiheit von Geschäftsmethoden zu gewährleisten: Zum einen erweist es sich als anfällig für Eingriffe seitens des Europäischen Gesetzgebers. Zum anderen kann es - da es an die sich im Werk ausdrückende Persönlichkeit des Urhebers anknüpft - insoweit nicht weiterhelfen, als Schutz nicht mangels Eigenpersönlichkeit, sondern aufgrund fehlender Legitimierbarkeit nach einer Interessenabwägung versagt wird. 12. Die Schutzfreiheit von Methoden sollte daher unabhängig von den Schutzvoraussetzungen, namentlich der Individualität, statuiert werden. 13. De lege lata kann das durch die Einführung eines ungeschriebenen negativen Tatbestandmerkmals geschehen. Dafür spricht die Regelung des § 69a Abs. 2 S. 2 UrhG, die für Computerprogramme die Schutzfreiheit von Ideen statuiert. Ein Verstoß gegen Art. 3 Abs. 1 S. 2 der Datenbankrichtlinie ("keine anderen Kriterien") kann einem solchen Tatbestandsmerkmal nicht entgegengehalten werden. Denn mit dem Ausschluss anderer Kriterien wollte der Europäische Gesetzgeber nur dem Erfordernis einer besonderen Gestaltungshöhe Einhalt gebieten, nicht aber die Tür für einen Methodenschutz öffnen. Ein dahingehender Wille darf ihm mit Blick auf Art. 9 Abs. 2 TRIPs auch nicht unterstellt werden. Die Schutzfreiheit sollte jedoch - anders als bei § 69a Abs. 2 S. 2 UrhG - schon auf Tatbestandsebene verankert werden. Ein solches Tatbestandsmerkmal könnte lauten: "Der Auswahl oder Anordnung zugrundeliegende abstrakte Methoden sowie solche konkreten Methoden, die sich an Vorgegebenem oder Zweckmäßigkeitsüberlegungen orientieren, können einen Schutz nach dieser Vorschrift nicht begründen." 14. Aus Gründen der Rechtsklarheit sollte de lege ferenda - wie im Patentrecht - die Schutzfreiheit von Geschäftsmethoden ausdrücklich und allgemein im Urheberrechtsgesetz festgeschrieben werden. Dafür sollte § 2 UrhG ein entsprechender Absatz 3 angefügt werden. Er könnte lauten: "Geschäftliche Methoden können einen Schutz nach diesem Gesetz nicht begründen 15. Soweit Datenbanken urheberrechtlicher Schutz mit Blick auf die Schutzfreiheit von Geschäftsmethoden versagt werden muss, verbleibt jedoch die Möglichkeit eines Schutzes nach den §§ 87a ff. UrhG. Dieser Schutz wird allein aufgrund einer wesentlichen Investition gewahrt. Die wirtschaftlich wertvollen auf Vollständigkeit angelegten Datenbanken werden dem sui-generis-Schutz regelmäßig unterfallen, so dass ausreichende Anreize zur Schaffung von Faktendatenbanken bestehen. Auch auf internationaler Ebene scheint dieses zweigleisige Sys¬tem Anklang zu finden, wie Reformarbeiten zur Einführung eines sui-generis-Schutzes für Datenbanken im Rahmen der WIPO belegen. Résumé sous forme de thèses 1. Une protection juridique des méthodes commerciales au sein du droit d'auteur doit être refusée. Au premier plan, le refus de protection peut être expliqué par un manque de conditions. S'il n'y a pas de référence dans la littérature, les sciences ou les arts, une protection doit être rejetée selon l'art. 1 de la législation allemande sur le droit d'auteur. D'ailleurs, une protection des méthodes commerciales sera interrompue en toute règle à cause de l'art. 2 al. 2 de la législation sur le droit d'auteur. Comme elles poursuivent l'objectif de l'efficacité, les méthodes commerciales se réfèrent à des faits donnés et/ou à des considérations d'utilité ce qui exclut l'individualité. En arrière-plan, cependant, il y a des considérations de légitimité. La protection doit être rejetée étant donné l'intérêt du public, qui est orienté vers un manque de protection des méthodes commerciales. Cet intérêt du public est prépondérant l'intérêt du fabricant, qui est dirigé vers une exclusivité sur la méthode commerciale. 2. La prise en considération des intérêts du public est imposée par l'art. 14 al. 2 de la Constitution allemande. Dans la loi sur le droit d'auteur, elle s'exprime avant tout dans les règlements restrictifs des art. 44a et suivants. Les intérêts du public doivent d'ailleurs être considérés au niveau de la formation du droit. En évaluant les intérêts du public, il est utile de considérer aussi les conséquences économiques et celles d'une protection particulière du droit d'auteur au niveau de la concurrence. 3. Dans le domaine de la protection des bases de données fondé dans le droit d'auteur, une protection des méthodes commerciales a pu été empêchée jusqu'à présent en vue du choix ou de la disposition de données par l'exigence d'un niveau d'originalité particulier dans le cadre des conditions de protection de l'individualité. 4. La mise en pratique de la directive sur les bases de données a abouti de plus en plus à une protection directe et indirecte des méthodes en conséquence de la réduction des exigences de l'originalité vers une simple individualité ainsi que par l'intégration du modèle conceptionnel dans le champ de protection du droit d'auteur. Cela représente une infraction contre l'exclusion de la protection des méthodes commerciales stipulée dans l'art. 9 al. 2 des Accords ADPIC (aspects des droits de propriété intellectuelle qui touchent au commerce), respectivement TRIPS. Même si la question de l'application directe de cette norme n'est pas finalement clarifiée, la législation allemande sur le droit d'auteur doit la considérer dans la mesure où une interprétation favorable aux conventions de la législation du droit d'auteur est impérative. 5. La simple mise en pratique des méthodes commerciales sur des bases de données ne doit pas aboutir à la protection d'une chose, si cette protection est en effet refusée. 6. En vue de l'art. 3 de la Constitution, il est en plus problématique de permettre une monopolisation des méthodes au sein de la protection de bases de données. Car, des méthodes commerciales qui sont basées sur d'autres types d'oeuvres, n'ont toujours pas droit à cette protection, sans qu'une raison objective pour une telle différenciation soit évidente. 7. En plus, une monopolisation des méthodes pour le choix ou la disposition des données peut amener des conséquences négatives sur la liberté d'information. En effet, cela peut entraîner des monopoles des informations contenues dans la base de données. 8. Une monopolisation des méthodes commerciales pour le choix ou la disposition des données doit donc être rejetée. 9. Des solutions présentées seulement au niveau des effets juridiques en considérant, certes, ces méthodes comme justifiant une protection, mais en même temps limitant l'étendue de la protection, doivent être refusées. Elles rompent le contexte axiomatique entre la justification et l'étendue de la protection et aboutissent ainsi à des résultats arbitraires. L'argument de créer ainsi des stimulants commerciaux n'est pas convaincant non plus. 10. La protection doit être refusée déjà au niveau de l'état de choses. 11. Une exclusion de la protection des méthodes commerciales dans le domaine des bases de données ne peut pas être atteinte par un retour à l'exigence d'un niveau d'originalité particulier. Le texte de l'art 3 al. 1 p. 2 de la directive sur les bases de données s'oppose à cela (« aucun autre critère »). A part cela, le critère de l'individualité n'est pas non plus le moyen propre pour garantir une exclusion de la protection des méthodes commerciales. D'un côté, ce critère est susceptible d'une intervention par le législateur européen. D'un autre côté, il n'est pas utile, comme il est lié à la personnalité de l'auteur exprimé dans l'oeuvre, dans la mesure où la protection n'est pas refusée pour manque d'individualité mais pour manque de légitimité constaté après une évaluation des intérêts. 12. L'exclusion de la protection des méthodes devra donc être stipulée indépendamment des conditions de protection, à savoir l'individualité. 13. De lege lata cela pourra se faire par l'introduction d'un élément constitutif négatif non écrit. Cette approche est supportée par le règlement dans l'art. 69a al. 2 p. 2 de la législation allemande sur le droit d'auteur qui stipule l'exclusion de la protection des idées pour des programmes d'ordinateur. Un tel élément constitutif ne représente pas d'infraction à l'art. 3 al. 1 p. 2 de la directive sur les bases de données (« aucun autre critère »). En excluant d'autres critères, le législateur européen n'a voulu qu'éviter l'exigence d'un niveau d'originalité particulier et non pas ouvrir la porte à une protection des méthodes. En vue de l'art. 9 al. 2 des Accords TRIPs, il ne faut pas prêter une telle intention au législateur européen. Cependant, l'exclusion de la protection devrait - autre que dans le cas de l'art. 69a al. 2 p. 2 de la législation allemande sur le droit d'auteur - être ancrée déjà au niveau de l'état de choses. Un tel élément constitutif pourrait s'énoncer comme suit : « Des méthodes abstraites se référant au choix ou à la disposition de données ainsi que des méthodes concrètes s'orientant à des faits donnés ou à des considérations d'utilité ne peuvent pas justifier une protection selon ce règlement. » 14. Pour assurer une clarté du droit, une exclusion de la protection des méthodes commerciales devrait de lege ferenda - comme dans la législation sur les brevets - être stipulée expressément et généralement dans la législation sur le droit d'auteur. Un troisième alinéa correspondant devrait être ajouté. Il pourrait s'énoncer comme suit : « Des méthodes commerciales ne peuvent pas justifier une protection selon cette loi ». 15. S'il faut refuser aux bases de données une protection au sein du droit d'auteur en vue de l'exclusion de la protection pour des méthodes commerciales, il est quand même possible d'accorder une protection selon les articles 87a et suivants de la législation allemande sur le droit d'auteur. Cette protection est uniquement accordée en cas d'un investissement substantiel. Les bases de données ayant une grande importance économique et s'orientant vers l'intégralité seront régulièrement soumises à la protection sui generis de sorte qu'il y ait de suffisants stimulants pour la fabrication de bases de données de faits. Ce système à double voie semble également rencontrer de l'intérêt au niveau international, comme le prouvent des travaux de réforme pour l'introduction d'une protection sui generis pour des bases de données au sein de l'OMPI.
Asthme professionnel dû aux isocyanates: nouvelles orientations des recherches en hygiène du travail
Resumo:
The replacement of the HDI monomer by less volatile prepolymers is not accompanied by a decrease of the incidence of occupational asthma in Switzerland. Field measurements show that the prepolymer concentration levels may be high although the monomer is hardly detectable or complies with the norm. Our researches are focused on the improvement of generation and measurement techniques (international quality control), on the characterization of the prepolymers to study their transformation in biological media. Field surveys will be conducted to establish the prepolymer concentration profiles. We recommend for the introduction in Switzerland of threshold limit values for HDI-biuret and isocyanurate.
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El projecte de tesi doctoral que estem portant a terme requereix una mitjana de quatre anys de durada. A hores d‟ara, nou mesos després de la concessió de l‟ajut, estem treballant per a la defensa del projecte, que farem en el primer trimestre de l‟any 2012. El nostre treball pertany al camp de la lingüística i està directament relacionat amb la lexicografia i la semàntica. L‟objectiu final és el disseny de materials per a la traducció i l‟ensenyament de llengües. L‟ús de lèxic és el tema escollit. D‟una banda, volem esbrinar com autors consagrats de literatura utilitzen el llenguatge. Per això, mirem de diferenciar el que es consideran usos “normals” del llenguatge del que serien “explotacions”, especialmente aquelles relacionades amb l‟extensió de significat i, més específicament, amb la metáfora. D‟altra banda, perseguim fer una proposta de material destinat tant a l‟ensenyament de llengües estrangeres com a la traducció (els idiomas amb els quals treballem són anglès i espanyol). Les teories que utilitzem en la nostra recerca són la teoria del lèxic generatiu (de J. Pustejovsky) i la teoria de normes i explotacions (de P. Hanks). Encara no hem decidit quins autors estudiarem, tot i estar consultant obres d‟escriptors com V. S. Naipaul i J. Marías. El treball de recerca desenvolupat fins avui ha consistit en la redacció de la memòria final de màster (Màster Oficial en Formació de Professors d‟Espanyol com a Llengua Estrangera) en què s‟estudiava el tractament de la metáfora en diferents diccionaris d‟ELE i d‟EFL i en la cerca, lectura i selección de documents que podran ajudar-nos en la nostra empresa.
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OBJECTIVES: We aimed to (i) evaluate psychological distress in adolescent survivors of childhood cancer and compare them to siblings and a norm population; (ii) compare the severity of distress of distressed survivors and siblings with that of psychotherapy patients; and (iii) determine risk factors for psychological distress in survivors. METHODS: We sent a questionnaire to all childhood cancer survivors aged <16 years when diagnosed, who had survived ≥ 5 years and were aged 16-19 years at the time of study. Our control groups were same-aged siblings, a norm population, and psychotherapy patients. Psychological distress was measured with the Brief Symptom Inventory-18 (BSI-18) assessing somatization, depression, anxiety, and a global severity index (GSI). Participants with a T-score ≥ 57 were defined as distressed. We used logistic regression to determine risk factors. RESULTS: We evaluated the BSI-18 in 407 survivors and 102 siblings. Fifty-two survivors (13%) and 11 siblings (11%) had scores above the distress threshold (T ≥ 57). Distressed survivors scored significantly higher in somatization (p=0.027) and GSI (p=0.016) than distressed siblings, and also scored higher in somatization (p ≤ 0.001) and anxiety (p=0.002) than psychotherapy patients. In the multivariable regression, psychological distress was associated with female sex, self-reported late effects, and low perceived parental support. CONCLUSIONS: The majority of survivors did not report psychological distress. However, the severity of distress of distressed survivors exceeded that of distressed siblings and psychotherapy patients. Systematic psychological follow-up can help to identify survivors at risk and support them during the challenging period of adolescence.
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We formulate a necessary and sufficient condition for polynomials to be dense in a space of continuous functions on the real line, with respect to Bernstein's weighted uniform norm. Equivalently, for a positive finite measure [lletra "mu" minúscula de l'alfabet grec] on the real line we give a criterion for density of polynomials in Lp[lletra "mu" minúscula de l'alfabet grec entre parèntesis].
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INTRODUCTION: We report the impact of canakinumab, a fully human anti-interleukin-1β monoclonal antibody, on inflammation and health-related quality of life (HRQoL) in patients with difficult-to-treat Gouty Arthritis. METHODS: In this eight-week, single-blind, double-dummy, dose-ranging study, patients with acute Gouty Arthritis flares who were unresponsive or intolerant to--or had contraindications for--non-steroidal anti-inflammatory drugs and/or colchicine were randomized to receive a single subcutaneous dose of canakinumab (10, 25, 50, 90, or 150 mg) (N = 143) or an intramuscular dose of triamcinolone acetonide 40 mg (N = 57). Patients assessed pain using a Likert scale, physicians assessed clinical signs of joint inflammation, and HRQoL was measured using the 36-item Short-Form Health Survey (SF-36) (acute version). RESULTS: At baseline, 98% of patients were suffering from moderate-to-extreme pain. The percentage of patients with no or mild pain was numerically greater in most canakinumab groups compared with triamcinolone acetonide from 24 to 72 hours post-dose; the difference was statistically significant for canakinumab 150 mg at these time points (P < 0.05). Treatment with canakinumab 150 mg was associated with statistically significant lower Likert scores for tenderness (odds ratio (OR), 3.2; 95% confidence interval (CI), 1.27 to 7.89; P = 0.014) and swelling (OR, 2.7; 95% CI, 1.09 to 6.50, P = 0.032) at 72 hours compared with triamcinolone acetonide. Median C-reactive protein and serum amyloid A levels were normalized by seven days post-dose in most canakinumab groups, but remained elevated in the triamcinolone acetonide group. Improvements in physical health were observed at seven days post-dose in all treatment groups; increases in scores were highest for canakinumab 150 mg. In this group, the mean SF-36 physical component summary score increased by 12.0 points from baseline to 48.3 at seven days post-dose. SF-36 scores for physical functioning and bodily pain for the canakinumab 150 mg group approached those for the US general population by seven days post-dose and reached norm values by eight weeks post-dose. CONCLUSIONS: Canakinumab 150 mg provided significantly greater and more rapid reduction in pain and signs and symptoms of inflammation compared with triamcinolone acetonide 40 mg. Improvements in HRQoL were seen in both treatment groups with a faster onset with canakinumab 150 mg compared with triamcinolone acetonide 40 mg. TRIAL REGISTRATION: clinicaltrials.gov: NCT00798369.