880 resultados para Parental refusal of consent
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Le désengagement scolaire constitue un problème social important au Québec. Les difficultés qu’éprouvent certains élèves à suivre les instructions, à participer en classe et à s’investir dans leur travail scolaire peuvent, à plus long terme, influencer leur réussite scolaire et mener à l’échec ou au décrochage. Vu l’importance du rôle joué par les parents et les enseignants sur l’engagement, la présente étude a pour but d’étudier la contribution des parents et des enseignants à l’engagement comportemental des élèves d’origine haïtienne issus de l’immigration fréquentant des écoles primaires en milieux défavorisés à Montréal. Elle vise également à examiner comment la contribution de ces acteurs se combine pour favoriser l’engagement comportemental de ces élèves. Les données ont été recueillies auprès de 211 élèves de 3e à 5e année provenant d’écoles de milieux défavorisés et multiethniques sur l'île de Montréal, et de leurs enseignants. Les résultats de nos analyses de régressions montrent que la chaleur dans la relation maître-élève exerce un effet modérateur sur le lien entre l’importance accordée à la réussite scolaire et l’engagement comportemental. Ainsi, l’importance accordée à la réussite scolaire par les parents est plus importante pour l’engagement des élèves qui partagent des relations peu chaleureuses et amicales avec leur enseignant que pour leurs pairs qui ont de bonnes relations avec leur enseignant. Des pistes pour l’intervention et pour la recherche future sont présentées à la lumière de ces résultats.
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The eighteen-eighties under Chancellor Otto von Bismarck saw the establishment of statutory workers' insurance in Germany. Germany remained backwards, however, in the statutory protection of workers at their workplace, the prevention of dangers arising from industrial work, and the limitation of hours of work for children, young persons, women or even workers in general. The protection of young workers, for example, remained until 1891 as it had been in 1853. That was due to the fundamental refusal of all improvments in matters of regulations for the protection of workers on the part of Bismarck, who blocked all relevant initiatives. Along with other sources this article draws on previously rarely used marginalia of Bismarck's in ministerial documents on factory inspection, children's and women's labour, the prohibition of Sunday work, and the introduction of a standard working day. The investigation deals with the Chancellor's motives and the arguments deployed in his prevention of measures of workers' protection, which he called an infringement of workers' freedom of action.
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Ausgangspunkt dieser Dissertation ist die Überlegung, warum Mädchen und Frauen in mathematisch-naturwissenschaftlichen Fächern und Berufen unterrepräsentiert sind. Irrtümlicherweise werden als Erklärung hierfür häufig Geschlechterdifferenzen in der Mathematikleistung herangezogen. Diese bieten jedoch aufgrund nicht einheitlicher Forschungsbefunde keinen zufriedenstellenden Erklärungsansatz. Naheliegender ist es, das mangelnde Selbstvertrauen von Mädchen in Mathematik (als mathematisches Selbstkonzept bezeichnet) als Ursache heranzuziehen, denn verschiedene Studien kamen zu dem Ergebnis, dass Mädchen, auch bei vergleichbarer Leistung, ein geringeres mathematisches Selbstkonzept aufweisen als Jungen (Dickhäuser & Stiensmeier-Pelster, 2003; Frome & Eccles, 1998; Rustemeyer & Jubel, 1996; Skaalvik & Skaalvik, 2004). Die Rolle der Eltern als primäre Sozialisationsinstanz wird als bedeutsamer Einflussfaktor auf das mathematische Selbstkonzept von Kindern beschrieben. Besonders für den Bereich Mathematik besteht die Gefahr, dass Eltern durch geschlechtsstereotype Einstellungen und Erwartungen ihre Tochter ungünstig beeinflussen (Jacobs, 1991; Tiedemann, 2000). In dieser Arbeit wird untersucht, inwiefern Eltern Geschlechtsstereotype zuungunsten der Mädchen in Mathematik äußern und inwiefern sich diese – schon zur Grundschulzeit – in den elterlichen Einschätzungen (elterliche Leistungs- und Fähigkeitseinschätzungen sowie elterliche Ursachenerklärungen) des eigenen Kindes widerspiegeln. Es wird angenommen, dass Mädchen entsprechend dem klassischen Geschlechtsstereotyp weniger talentiert und weniger leistungsstark in Mathematik eingeschätzt werden als Jungen. Für die Einschätzungen des eigenen Kindes wird erwartet, dass diese geschlechtsspezifische Verzerrungen zuungunsten der Mädchen aufweisen. Anhand von Pfadmodellen wird in dieser Arbeit der Einfluss elterlicher Geschlechtsstereotype und Einschätzungen, unter Kontrolle der vorangegangenen Mathematikleistung und des vorangegangenen mathematischen Selbstkonzeptes des Kindes, auf das aktuelle mathematische Selbstkonzept des Kindes am Ende des dritten Schuljahres analysiert. Als Grundlage dienen Daten von circa 900 Schülern und 400 Eltern aus dem Projekt Persönlichkeits- und Lernentwicklung von Grundschulkindern (PERLE). Die Befunde der vorliegenden Arbeit können bisherige Forschungsbefunde aus dem Sekundarbereich für den Grundschulbereich replizieren und weitere erstmalige Befunde ergänzen. Zusammenfassend kann festgehalten werden, dass knapp zwei Drittel der Eltern Geschlechtsstereotype zuungunsten der Mädchen in Mathematik äußern. Die Pfadanalysen ergeben, dass nicht das Geschlecht des Kindes, sondern Wechselwirkungen zwischen Geschlecht und elterlichen Geschlechtsstereotypen die elterlichen Einschätzungen des eigenen Kindes beeinflussen. Wenn Eltern Geschlechtsstereotype vertreten, schätzen sie eine Tochter ungünstiger ein als einen Sohn (unabhängig von der tatsächlichen Mathematikleistung des Kindes). Die elterlichen Einschätzungen haben wiederum einen signifikanten Einfluss auf das mathematische Selbstkonzept des Kindes. Die Ergebnisse dieser Arbeit werden abschließend diskutiert und Ansätze für Interventionen aufgezeigt.
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El síndrome Down (SD) es la trisomía más común en humanos, presentándose en 1 de cada 745 nacidos vivos y es la causa más frecuente de retardo mental. El origen más observado de la trisomíaes una no disyunción meiótica (95%), la cual generalmente es de origen materno, mientras un 5% se debe a errores post-cigóticos mitóticos. Objetivo: identificar el origen parental delcromosoma 21 extra, el momento del error no disyuncional y establecer una correlación entre estos eventos y las manifestaciones fenotípicas de los pacientes afectados. Materiales y métodos: se estudiaron cincuenta familias con un hijo con SD mediante el uso de cinco short tandem repeats (STR) a lo largo de 21q, se construyeron los haplotipos de cada paciente y sus padres, determinandoel origen parental y el momento en que surgió el error no disyuncional. Resultados:en 80% de las familias el error fue en meiosis I y 20% en la meiosis II; 98% de los cromosomasadicionales fue de origen materno y 2% paterno. Se encontró correlación genotipo-fenotipo en ocho características estudiadas: cuello corto y ancho, tercera fontanela, labio inferior prominente, paladar estrecho y corto, raíz del hélix cruzando la concha, alopecia, pliegue único palmar yotras anomalías como nevus y xeroderma y eventos de recombinación en 24,5% de las familias analizadas. Conclusiones: la edad materna y la variación en el número de recombinaciones está asociada con no disyunciones meióticas I y II; se encontró correlación entre el momento del errorno disyuncional y algunas variables clínicas.
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En este documento se quiere demostrar que una teoría que pretenda fundamentar la política social que no permita las comparaciones interpersonales es inadecuada. Por esta razón, el punto de partida es una crítica a la economía normativa neoclásica. Esta crítica consiste, en últimas, en una crítica al concepto de bienestar de los utilitaristas. Se plantea que el bienestar entendido como utilidad excluye información relevante para juzgar el bienestar de las personas, y se propone que el concepto de bienestar del profesor Amartya Sen es adecuado como base de una teoría para la política social.
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“La questione di Trieste”, ovvero la questione del confine italo-yugoslavo all’indomani della seconda guerra mondiale costituisce da lungo tempo oggetto di attenzione e di esame da parte della storiografia italiana e straniera. Con alcune importanti eccezioni, la ricostruzione complessiva di quelle vicende ha visto il più delle volte il prevalere di un approccio storico-diplomatico che ha reso difficile comprendere con chiarezza i rapporti e le interdipendenze fra contesto locale, contesto nazionale e contesto internazionale. Attraverso la lettura incrociata dell’ampia documentazione proveniente dai fondi dei National Archives Records Administration (NARA) questo studio tenta una rilettura delle varie fasi di sviluppo della questione nel periodo compreso tra il giugno del 1945 e l’ottobre del 1954 secondo una duplice prospettiva: nella prima parte si concentra sulla politica americana a Trieste, guardando nello specifico a due aspetti interni tra loro strettamente correlati, la gestione dell’ordine pubblico e la “strategia” del consenso da realizzarsi mediante il controllo dell’informazione da un lato e la promozione di una politica culturale dall’altro. Sono aspetti entrambi riconducibili al modello del direct rule, che conferiva al governo militare alleato (GMA) piena ed esclusiva autorità di governo sulla zona A della Venezia Giulia, e che ci appaiono centrali anche per cogliere l’interazione fra istituzioni e soggetti sociali. Nella seconda parte, invece, il modificarsi della fonte d’archivio indica un cambiamento di priorità nella politica estera americana relativa a Trieste: a margine dei negoziati internazionali, i documenti del fondo Clare Boothe Luce nelle carte dell’Ambasciata mostrano soprattutto come la questione di Trieste venne proiettata verso l’esterno, verso l’Italia in particolare, e sfruttata – principalmente dall’ambasciatrice – nell’ottica bipolare della guerra fredda per rinforzare il sostegno interno alla politica atlantica. Il saggio, dunque, si sviluppa lungo due linee: dentro e fuori Trieste, dentro 1945-1952, fuori 1953-1954, perché dalle fonti consultate sono queste ad emergere come aree di priorità nei due periodi. Abstract - English The “Trieste question”, or the question regarding the Italian - Yugoslav border after the Second World War, has been the object of careful examination in both Italian and foreign historiography for a long time. With a few important exceptions, the overall reconstruction of these events has been based for the most part on historic and diplomatic approaches, which have sometimes made it rather difficult to understand clearly the relationships and interdependences at play between local, national and international contexts. Through a comparative analysis of a large body of documents from the National Archives and Records Administration (NARA), College Park MD, this essay attempts a second reading of the various phases in which the question developed between June 1945 and October 1954, following a twofold perspective: the first part focuses on American policy for Trieste, specifically looking at two internal and closely linked aspects, on the one hand, the management of ‘law and order’, as well as a ‘strategy’ of consent, to be achieved through the control of all the means of information , and, on the other, the promotion of a cultural policy. Both aspects can be traced back to the ‘direct rule’ model, which gave the Allied Military Government (AMG) full and exclusive governing authority over Venezia Giulia’s Zone A. These issues are also fundamental to a better understanding of the relationships between institutions and social subjects. In the second part of the essay , the change in archival sources clearly indicates a new set of priorities in American foreign policy regarding Trieste: outside any international negotiations for the settlement of the question, the Clare Boothe Luce papers held in the Embassy’s archives, show how the Trieste question was focused on external concerns, Italy in particular, and exploited – above all by the ambassador – within the bi-polar optic of the Cold War, in order to strengthen internal support for Atlantic policies. The essay therefore follows two main lines of inquiry: within and outside Trieste, within in 1945-1952, and outside 1953-1954, since, from the archival sources used, these emerge as priority areas in the two periods.
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The low rates of child literacy in South Africa are cause for considerable concern. Research from the developed world shows that parental sharing of picture books with infants and young children is beneficial for child language and cognitive development, as well as literacy skills. We conducted a pilot study to examine whether such benefits might extend to an impoverished community in South Africa, by evaluating the impact of training mothers in book sharing with their 14–18 month old infants. Seventeen mothers received book sharing training; and 13 mothers did not, but instead received a comparison training in toy play. We assessed the mothers’ behavior during both book sharing and toy play before and after training, and we also assessed infant attention and language. Mothers receiving book sharing training engaged well with it, and they also benefited from it; thus, compared to the comparison group mothers, they became more sensitive, more facilitating, and more elaborative with their infants during book sharing, and they also became more sensitive to their infants during toy play. In addition, infants whose mothers received the book sharing training showed greater benefits than the comparison group infants in both their attention and language. Training in book sharing for families living in conditions of marked socio-economic adversity in South Africa has the potential to be of considerable benefit to child developmental progress. A large scale controlled trial is required to confirm this.
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The hypothesis of gene flow between species with large differences in chromosome numbers has rarely been tested in the wild, mainly because species of different ploidy are commonly assumed to be reproductively isolated from each other because of instantaneous and strong postzygotic barriers. In this study, a broad-scale survey of molecular variation was carried out between two orchid species with different ploidy levels: Epidendrum fulgens (2n = 2x = 24 chromosomes) and Epidendrum puniceoluteum (2n = 4x = 52 chromosomes). To test the strength of their reproductive barriers, we investigated the distribution of genetic variation in sympatric and allopatric populations of these two species and conducted crossing experiments. Nuclear and plastid microsatellite loci were used to genotype 463 individuals from eight populations across the geographical range of both species along the Brazilian coastal plain. All six sympatric populations analysed presented hybrid zones, indicating that hybridization between E. fulgens and E. puniceoluteum is a common phenomenon. Bayesian assignment analysis detected the presence of F(1) and F(2) individuals and also signs of introgression, demonstrating a high potential for interspecific gene flow. Introgression occurs preferentially from E. fulgens to E. puniceoluteum. Pure parental individuals of both species display strong genotype-habitat associations, indicating that environment-dependent selection could be acting in all hybrid zones. This study suggests that hybridization and introgression are evolutionary processes playing a role in the diversification of Epidendrum and indicates the importance of investigations of hybrid zones in understanding reproductive barriers and speciation processes in Neotropical orchid species.
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The Early Cretaceous alkaline magmatism in the northeastern region of Paraguay (Amambay Province) is represented by stocks, plugs, dikes, and dike swarms emplaced into Carboniferous to Triassic-Jurassic sediments and Precambrian rocks. This magmatism is tectonically related to the Ponta Pora Arch, a NE-trending structural feature, and has the Cerro Sarambi and Cerro Chiriguelo carbonatite complexes as its most significant expressions. Other alkaline occurrences found in the area are the Cerro Guazu and the small bodies of Cerro Apua, Arroyo Gasory, Cerro Jhu, Cerro Tayay, and Cerro Teyu. The alkaline rocks comprise ultramafic-mafic, syenitic, and carbonatitic petrographic associations in addition to lithologies of variable composition and texture occurring as dikes; fenites are described in both carbonatite complexes. Alkali feldspar and clinopyroxene, ranging from diopside to aegirine, are the most abundant minerals, with feldspathoids (nepheline, analcime), biotite, and subordinate Ti-rich garnet; minor constituents are Fe-Ti oxides and cancrinite as the main alteration product from nepheline. Chemically, the Amambay silicate rocks are potassic to highly potassic and have miaskitic affinity, with the non-cumulate intrusive types concentrated mainly in the saturated to undersaturated areas in silica syenitic fields. Fine-grained rocks are also of syenitic affiliation or represent more mafic varieties. The carbonatitic rocks consist dominantly of calciocarbonatites. Variation diagrams plotting major and trace elements vs. SiO(2) concentration for the Cerro Sarambi rocks show positive correlations for Al(2)O(3), K(2)O, and Rb, and negative ones for TiO(2), MgO, Fe(2)O(3), CaO, P(2)O(5), and Sr, indicating that fractional crystallization played an important role in the formation of the complex. Incompatible elements normalized to primitive mantle display positive spikes for Rb, La, Pb, Sr, and Sm, and negative for Nb-Ta, P, and Ti, as these negative anomalies are considerably more pronounced in the carbonatites. Chondrite-normalized REE patterns point to the high concentration of these elements and to the strong LRE/HRE fractionation. The Amambay rocks are highly enriched in radiogenic Sr and have T(DM) model ages that vary from 1.6 to 1.1 Ga. suggesting a mantle source enriched in incompatible elements by metasomatic events in Paleo-Mesoproterozoic times. Data are consistent with the derivation of the Cerro Sarambi rocks from a parental magma of lamprophyric (minette) composition and suggest an origin by liquid immiscibility processes for the carbonatites. (C) 2011 Elsevier Ltd. All rights reserved.
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Internationally, research on psychiatric intensive care units (PICUs) commonly reportsresults from demographic studies such as criteria for admission, need for involuntary treatment, andthe occurrence of violent behaviour. A few international studies describe the caring aspect of thePICUs based specifically on caregivers’ experiences. The concept of PICU in Sweden is not clearlydefined. The aim of this study is to describe the core characteristics of a PICU in Sweden and todescribe the care activities provided for patients admitted to the PICUs. Critical incident techniquewas used as the research method. Eighteen caregivers at a PICU participated in the study bycompleting a semistructured questionnaire. In-depth interviews with three nurses and two assistantnurses also constitute the data. An analysis of the content identified four categories that characterizethe core of PICU: the dramatic admission, protests and refusal of treatment, escalating behaviours, andtemporarily coercive measure. Care activities for PICUs were also analysed and identified as controlling– establishing boundaries, protecting – warding off, supporting – giving intensive assistance, andstructuring the environment. Finally, the discussion put focus on determining the intensive aspect ofpsychiatric care which has not been done in a Swedish perspective before. PICUs were interpreted asa level of care as it is composed by limited structures and closeness in care.
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O presente trabalho tem como objetivo o estudo sobre o cabimento da ação anulatória - prevista no artigo 32 da Lei de Arbitragem - contra uma sentença arbitral doméstica que tenha violado a ordem pública. A relevância do tema encontra-se no fato de que o legislador, ao elencar as hipóteses pelas quais poderá ser declarada a invalidade de uma decisão arbitral, excluiu, propositalmente, a violação à ordem pública como uma delas. O Poder Judiciário ainda não teve a oportunidade de analisar o assunto. A preocupação, quando elaborada a Lei de Arbitragem em 1996, era a de que, caso o artigo 32 previsse expressamente a violação à ordem pública, todos os procedimentos arbitrais desembocariam no Judiciário, tendo em vista a indeterminação do conceito. Somava-se a isso o elevado preconceito que o instituto sofria no Brasil, além de seu pouco uso. O debate ganha ainda maior proporção quando se analisa as causas pelas quais o Poder Judiciário poderá negar homologação a uma sentença arbitral estrangeira. Quis o legislador, e o fez de modo expresso, que a violação à ordem pública fosse causa de negativa de homologação, mas nada disse com relação às sentenças domésticas. Analisarei, neste trabalho, todos os avanços pelos quais a arbitragem passou no Brasil, tudo para concluir, na primeira parte do trabalho, que a preocupação do legislador não mais subsiste. Além disso, analisarei os posicionamentos existentes na doutrina nacional para responder a principal pergunta desse trabalho: É possível ajuizar uma ação anulatória contra uma sentença arbitral doméstica que tenha violado a ordem pública, mesmo sem que o artigo 32 da Lei de Arbitragem a preveja, expressamente, como uma das causas de anulabilidade? Finalmente, no último capítulo do trabalho, exporei o meu entendimento sobre o assunto, no sentido de ser possível o ajuizamento de ação anulatória com base na combinação dos artigos 32, IV, com o artigo 2º, § 1º, ambos da Lei de Arbitragem.
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Considerando o contexto atual de globalização e expansão do comércio internacional, a Importação Paralela tem sido um grande desafio para os doutrinadores e tribunais de todo o mundo. No presente trabalho é possível observar como a prática de Importação Paralela vem interferindo e gerando conflitos nas relações comerciais entre os titulares do direito marcário, seus licenciados e os terceiros importadores, aprofundando a análise na exaustão dos direitos de Propriedade Intelectual adotado no Brasil. A complexidade do tema está intimamente ligada à questão do consentimento do titular da marca neste tipo de relação. Dessa forma, este trabalho tem como principal objetivo analisar como os tribunais vêm interpretando o art. 132, inciso III da Lei 9.279/96 e associando a licitude da prática de Importação Paralela com o consentimento tácito ou expresso.
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The objective of this work - which is characterized analyze the search for symptomatic tuberculosis in practice and perspective of the Community Health Agent (ACS) in the districts of Natal. Methods: This is a cross-sectional study. The study population was 646 professionals, and conducted a probabilistic random sampling, stratified by districts. The data were collected from one instrument to collect data based on Primary Care Assesment Toll (PCAT) and analyzed by descriptive statistics. The sample consisted of ACS was 87% female. Among the study participants 58% completed high school and 120 months of exercise training (95% CI 111.9 to 129.5) on average. 90% were USF. The average follow-up of cases found were 2 cases of TB since the beginning of the career of the ACS and the last three years the average is presented in a case accompanied. The ACS received satisfactory ratings on the bond of trust with the user, so as access to homes in the community. The ACS reported for denying the fear of being positive result was the biggest reason for not performing the sputum. All units have a professional that responds to the Tuberculosis Control Program. Regarding the structural capacity of primary care settings for the diagnosis of TB, we observed satisfactory levels in different districts of pots for sputum collection, however, a point that deserves attention from managers is lack of materials for packaging sputum. Fear of positive result was one of the reasons for the refusal of sputum collection, followed by alcoholism. With regard to TB suspects, all responded that ACS always suspect when the user has TB coughs, but in all districts were noticed at low delivery of requests for applications for smear. BSR in TB control, is characterized in practice as a complex action goes beyond technical expertise and contact with the family that breaks with the Cartesian. The BSR is part of the ACS can perform them from the daily visits. We conclude that the ACS is difficult to achieve. This practice should not be the privilege of this actor, but the entire team of primary care. We must rethink the practices of TB care, seeing the health surveillance while aegis of the working process of primary care teams for early diagnosis and thereby reduce TB in communities
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It is investigating why reason Nietzsche affirms, in 1888, when revises his work (Ecce Homo), that to be exactly with The Birth of Tragedy it will be necessary to forget some things , and, in spite of, insist, in the same writing, in naming himself the first tragic philosopher - that is, the opposite and antipode of a pessimistic philosopher . Nietzsche elaborates in The Birth of Tragedy a theory about tragic starting from the opposition and complementarity among Apollo and Dionysian, rationalism and instinct, and in the refusal of the pessimistic perspective. The objective of the dissertation is to discuss how the theory of tragedy modifies due to the rupture with the inspiring of the first moment of the nietzschian philosophy, Schopenhauer and Wagner - maybe the such things to be forgotten about The Birth of Tragedy - and the implications of this rupture, that transforms the philosophy of Nietzsche in dissident of the metaphysical tradition. Like this, it is noticed that there is more continuity than estrangement in what concerns to the definition of tragic, just announced in 1871. By the sentence of the eternal return to the concept of will of power Nietzsche elaborates a tragic perspective, marked by the Dionysian celebration of the life, also acted through the pessimism dionisiac , defined in Gaya Science's § 370 (1881-2), and of the sentence of the love fate, enunciated in the §276 of the same work; all those concepts, discussed in this research, concentrate, decisively, the acceptance idea and statement of life, or more precisely, the decline of the tragic hero, between joy and ruin
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To clarify the functional mechanisms of habitat use is necessary to analyze it in conjunction with the conduct performed by animals. The occurrence, distribution and use of space are characteristic of a species resulting from habitat selection that is in search of conditions favorable to its survival. One can relate the physical and biological factors of the environment with the ecological characteristics of the species, since these factors act by regulating the ecological success of organisms, and from there you can get important information about the habitat use and behavior of individuals. This study aimed to characterize the use of habitat and diurnal activity expressed by the Guiana dolphin, Sotalia guianensis in an estuarine area of Sergipe state, Brazil, analyzing the influence of tide and time days on the occurrence of animals and behavior s state, and group s size and composition in this cetacean species. From March 2009 to February 2010, focal groups observations of dolphins were made from fixed - point and records snapshots of data taken every 5 min. in the interval from 6 a.m to 6 p.m, in alternating shifts. The results showed that the constant presence of animals in the area of the Sergipe River estuary indicates that this is an important area of occurrence of S. guianensis, which use the region mainly in the morning, at low tide and as a feeding. As in other regions of northeastern Brazil, small groups formed 2-12 individuals were most common, with adults and immatures. The high frequency of immature animals may indicate that this area of the estuary is used as brood area and parental care of pups and young animals, since the immature animals were very associated with adults and monitoring the activities of foraging / feeding may be related to a form of learning or training of such behavior