942 resultados para Conceptual mistakes in text books


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Presentation at Open Repositories 2014, Helsinki, Finland, June 9-13, 2014

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Organismic-centered Darwinism, in order to use direct phenotypes to measure natural selection's effect, necessitates genome's harmony and uniform coherence plus large population sizes. However, modern gene-centered Darwinism has found new interpretations to data that speak of genomic incoherence and disharmony. As a result of these two conflicting positions a conceptual crisis in Biology has arisen. My position is that the presence of small, even pocket-size, demes is instrumental in generating divergence and phenotypic crisis. Moreover, the presence of parasitic genomes as in acanthocephalan worms, which even manipulate suicidal behavior in their hosts; segregation distorters that change meiosis and Mendelian ratios; selfish genes and selfish whole chromosomes, such as the case of B-chromosomes in grasshoppers; P-elements in Drosophila; driving Y-chromosomes that manipulate sex ratios making males more frequent, as in Hamilton's X-linked drive; male strategists and outlaw genes, are eloquent examples of the presence of real conflicting genomes and of a non-uniform phenotypic coherence and genome harmony. Thus, we are proposing that overall incoherence and disharmony generate disorder but also more biodiversity and creativeness. Finally, if genes can manipulate natural selection, they can multiply mutations or undesirable characteristics and even lethal or detrimental ones, hence the accumulation of genetic loads. Outlaw genes can change what is adaptively convenient even in the direction of the trait that is away from the optimum. The optimum can be "negotiated" among the variants, not only because pleiotropic effects demand it, but also, in some cases, because selfish, outlaw, P-elements or extended phenotypic manipulation require it. With organismic Darwinism the genome in the population and in the individual was thought to act harmoniously without conflicts, and genotypes were thought to march towards greater adaptability. Modern Darwinism has a gene-centered vision in which genes, as natural selection's objects can move in dissonance in the direction which benefits their multiplication. Thus, we have greater opportunities for genomes in permanent conflict.

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The general aim of the thesis was to study university students’ learning from the perspective of regulation of learning and text processing. The data were collected from the two academic disciplines of medical and teacher education, which share the features of highly scheduled study, a multidisciplinary character, a complex relationship between theory and practice and a professional nature. Contemporary information society poses new challenges for learning, as it is not possible to learn all the information needed in a profession during a study programme. Therefore, it is increasingly important to learn how to think and learn independently, how to recognise gaps in and update one’s knowledge and how to deal with the huge amount of constantly changing information. In other words, it is critical to regulate one’s learning and to process text effectively. The thesis comprises five sub-studies that employed cross-sectional, longitudinal and experimental designs and multiple methods, from surveys to eye tracking. Study I examined the connections between students’ study orientations and the ways they regulate their learning. In total, 410 second-, fourth- and sixth-year medical students from two Finnish medical schools participated in the study by completing a questionnaire measuring both general study orientations and regulation strategies. The students were generally deeply oriented towards their studies. However, they regulated their studying externally. Several interesting and theoretically reasonable connections between the variables were found. For instance, self-regulation was positively correlated with deep orientation and achievement orientation and was negatively correlated with non-commitment. However, external regulation was likewise positively correlated with deep orientation and achievement orientation but also with surface orientation and systematic orientation. It is argued that external regulation might function as an effective coping strategy in the cognitively loaded medical curriculum. Study II focused on medical students’ regulation of learning and their conceptions of the learning environment in an innovative medical course where traditional lectures were combined wth problem-based learning (PBL) group work. First-year medical and dental students (N = 153) completed a questionnaire assessing their regulation strategies of learning and views about the PBL group work. The results indicated that external regulation and self-regulation of the learning content were the most typical regulation strategies among the participants. In line with previous studies, self-regulation wasconnected with study success. Strictly organised PBL sessions were not considered as useful as lectures, although the students’ views of the teacher/tutor and the group were mainly positive. Therefore, developers of teaching methods are challenged to think of new solutions that facilitate reflection of one’s learning and that improve the development of self-regulation. In Study III, a person-centred approach to studying regulation strategies was employed, in contrast to the traditional variable-centred approach used in Study I and Study II. The aim of Study III was to identify different regulation strategy profiles among medical students (N = 162) across time and to examine to what extent these profiles predict study success in preclinical studies. Four regulation strategy profiles were identified, and connections with study success were found. Students with the lowest self-regulation and with an increasing lack of regulation performed worse than the other groups. As the person-centred approach enables us to individualise students with diverse regulation patterns, it could be used in supporting student learning and in facilitating the early diagnosis of learning difficulties. In Study IV, 91 student teachers participated in a pre-test/post-test design where they answered open-ended questions about a complex science concept both before and after reading either a traditional, expository science text or a refutational text that prompted the reader to change his/her beliefs according to scientific beliefs about the phenomenon. The student teachers completed a questionnaire concerning their regulation and processing strategies. The results showed that the students’ understanding improved after text reading intervention and that refutational text promoted understanding better than the traditional text. Additionally, regulation and processing strategies were found to be connected with understanding the science phenomenon. A weak trend showed that weaker learners would benefit more from the refutational text. It seems that learners with effective learning strategies are able to pick out the relevant content regardless of the text type, whereas weaker learners might benefit from refutational parts that contrast the most typical misconceptions with scientific views. The purpose of Study V was to use eye tracking to determine how third-year medical studets (n = 39) and internal medicine residents (n = 13) read and solve patient case texts. The results revealed differences between medical students and residents in processing patient case texts; compared to the students, the residents were more accurate in their diagnoses and processed the texts significantly faster and with a lower number of fixations. Different reading patterns were also found. The observed differences between medical students and residents in processing patient case texts could be used in medical education to model expert reasoning and to teach how a good medical text should be constructed. The main findings of the thesis indicate that even among very selected student populations, such as high-achieving medical students or student teachers, there seems to be a lot of variation in regulation strategies of learning and text processing. As these learning strategies are related to successful studying, students enter educational programmes with rather different chances of managing and achieving success. Further, the ways of engaging in learning seldom centre on a single strategy or approach; rather, students seem to combine several strategies to a certain degree. Sometimes, it can be a matter of perspective of which way of learning can be considered best; therefore, the reality of studying in higher education is often more complicated than the simplistic view of self-regulation as a good quality and external regulation as a harmful quality. The beginning of university studies may be stressful for many, as the gap between high school and university studies is huge and those strategies that were adequate during high school might not work as well in higher education. Therefore, it is important to map students’ learning strategies and to encourage them to engage in using high-quality learning strategies from the beginning. Instead of separate courses on learning skills, the integration of these skills into course contents should be considered. Furthermore, learning complex scientific phenomena could be facilitated by paying attention to high-quality learning materials and texts and other support from the learning environment also in the university. Eye tracking seems to have great potential in evaluating performance and growing diagnostic expertise in text processing, although more research using texts as stimulus is needed. Both medical and teacher education programmes and the professions themselves are challenging in terms of their multidisciplinary nature and increasing amounts of information and therefore require good lifelong learning skills during the study period and later in work life.

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This arts-based thesis, written from my perspective as a Manitoba Mennonite woman and English Language Arts educator, is a memoir of books and reading. As a voracious reader, I am dismayed by the general perception of literacy in public schools as being a set of measureable tasks, and I have found that reading, in particular, has become divorced from its traditional link to life-giving and sacred things. In this thesis, I used life writing to share some of my reading history to illustrate, in part, the degree to which books may enrich our lives by helping us understand the past, present, and future - but only if we allow them to do so.

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This study investigated instructor perceptions of motivators and barriers that exist with respect to participation in educational development in the postsecondary context. Eight instructors from a mid-size, research intensive university in south-western Ontario participated in semistructured interviews to explore this particular issue. Data were analyzed using a qualitative approach. Motivation theory was used as a conceptual framework in this study, referring primarily to the work of Ryan and Deci (2000), Deci and Ryan (1985), and Pink (2009). The identified motivators and barriers spanned all 3 levels of postsecondary institutions: the micro (i.e., the individual), the meso (i.e., the department or Faculty), and the macro (i.e., the institution). Significant motivators to participation in educational development included desire to improve one’s teaching (micro), feedback from students (meso), and tenure and promotion (macro). Significant barriers to participation included lack of time (micro), the perception that an investment towards one’s research was more important than an investment to enhancing teaching (meso), and the impression that quality teaching was not valued by the institution (macro). The study identifies connections between the micro, meso, macro framework and motivation theory, and offers recommendations for practice.

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Cette thèse porte sur l’évaluation de la cohérence du réseau conceptuel démontré par des étudiants de niveau collégial inscrits en sciences de la nature. L’évaluation de cette cohérence s’est basée sur l’analyse des tableaux de Burt issus des réponses à des questionnaires à choix multiples, sur l’étude détaillée des indices de discrimination spécifique qui seront décrits plus en détail dans le corps de l’ouvrage et sur l’analyse de séquences vidéos d’étudiants effectuant une expérimentation en contexte réel. Au terme de ce projet, quatre grands axes de recherche ont été exploré. 1) Quelle est la cohérence conceptuelle démontrée en physique newtonienne ? 2) Est-ce que la maîtrise du calcul d’incertitude est corrélée au développement de la pensée logique ou à la maîtrise des mathématiques ? 3) Quelle est la cohérence conceptuelle démontrée dans la quantification de l’incertitude expérimentale ? 4) Quelles sont les procédures concrètement mise en place par des étudiants pour quantifier l’incertitude expérimentale dans un contexte de laboratoire semi-dirigé ? Les principales conclusions qui ressortent pour chacun des axes peuvent se formuler ainsi. 1) Les conceptions erronées les plus répandues ne sont pas solidement ancrées dans un réseau conceptuel rigide. Par exemple, un étudiant réussissant une question sur la troisième loi de Newton (sujet le moins bien réussi du Force Concept Inventory) montre une probabilité à peine supérieure de réussir une autre question sur ce même sujet que les autres participants. De nombreux couples de questions révèlent un indice de discrimination spécifique négatif indiquant une faible cohérence conceptuelle en prétest et une cohérence conceptuelle légèrement améliorée en post-test. 2) Si une petite proportion des étudiants ont montré des carences marquées pour les questions reliées au contrôle des variables et à celles traitant de la relation entre la forme graphique de données expérimentales et un modèle mathématique, la majorité des étudiants peuvent être considérés comme maîtrisant adéquatement ces deux sujets. Toutefois, presque tous les étudiants démontrent une absence de maîtrise des principes sous-jacent à la quantification de l’incertitude expérimentale et de la propagation des incertitudes (ci-après appelé métrologie). Aucune corrélation statistiquement significative n’a été observée entre ces trois domaines, laissant entendre qu’il s’agit d’habiletés cognitives largement indépendantes. Le tableau de Burt a pu mettre en lumière une plus grande cohérence conceptuelle entre les questions de contrôle des variables que n’aurait pu le laisser supposer la matrice des coefficients de corrélation de Pearson. En métrologie, des questions équivalentes n’ont pas fait ressortir une cohérence conceptuelle clairement démontrée. 3) L’analyse d’un questionnaire entièrement dédié à la métrologie laisse entrevoir des conceptions erronées issues des apprentissages effectués dans les cours antérieurs (obstacles didactiques), des conceptions erronées basées sur des modèles intuitifs et une absence de compréhension globale des concepts métrologiques bien que certains concepts paraissent en voie d’acquisition. 4) Lorsque les étudiants sont laissés à eux-mêmes, les mêmes difficultés identifiées par l’analyse du questionnaire du point 3) reviennent ce qui corrobore les résultats obtenus. Cependant, nous avons pu observer d’autres comportements reliés à la mesure en laboratoire qui n’auraient pas pu être évalués par le questionnaire à choix multiples. Des entretiens d’explicitations tenus immédiatement après chaque séance ont permis aux participants de détailler certains aspects de leur méthodologie métrologique, notamment, l’emploi de procédures de répétitions de mesures expérimentales, leurs stratégies pour quantifier l’incertitude et les raisons sous-tendant l’estimation numérique des incertitudes de lecture. L’emploi des algorithmes de propagation des incertitudes a été adéquat dans l’ensemble. De nombreuses conceptions erronées en métrologie semblent résister fortement à l’apprentissage. Notons, entre autres, l’assignation de la résolution d’un appareil de mesure à affichage numérique comme valeur de l’incertitude et l’absence de procédures d’empilement pour diminuer l’incertitude. La conception que la précision d’une valeur numérique ne peut être inférieure à la tolérance d’un appareil semble fermement ancrée.

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Multilingual terminological resources do not always include valid equivalents of legal terms for two main reasons. Firstly, legal systems can differ from one language community to another and even from one country to another because each has its own history and traditions. As a result, the non-isomorphism between legal and linguistic systems may render the identification of equivalents a particularly challenging task. Secondly, by focusing primarily on the definition of equivalence, a notion widely discussed in translation but not in terminology, the literature does not offer solid and systematic methodologies for assigning terminological equivalents. As a result, there is a lack of criteria to guide both terminologists and translators in the search and validation of equivalent terms. This problem is even more evident in the case of predicative units, such as verbs. Although some terminologists (L‘Homme 1998; Lerat 2002; Lorente 2007) have worked on specialized verbs, terminological equivalence between units that belong to this part of speech would benefit from a thorough study. By proposing a novel methodology to assign the equivalents of specialized verbs, this research aims at defining validation criteria for this kind of predicative units, so as to contribute to a better understanding of the phenomenon of terminological equivalence as well as to the development of multilingual terminography in general, and to the development of legal terminography, in particular. The study uses a Portuguese-English comparable corpus that consists of a single genre of texts, i.e. Supreme Court judgments, from which 100 Portuguese and 100 English specialized verbs were selected. The description of the verbs is based on the theory of Frame Semantics (Fillmore 1976, 1977, 1982, 1985; Fillmore and Atkins 1992), on the FrameNet methodology (Ruppenhofer et al. 2010), as well as on the methodology for compiling specialized lexical resources, such as DiCoInfo (L‘Homme 2008), developed in the Observatoire de linguistique Sens-Texte at the Université de Montréal. The research reviews contributions that have adopted the same theoretical and methodological framework to the compilation of lexical resources and proposes adaptations to the specific objectives of the project. In contrast to the top-down approach adopted by FrameNet lexicographers, the approach described here is bottom-up, i.e. verbs are first analyzed and then grouped into frames for each language separately. Specialized verbs are said to evoke a semantic frame, a sort of conceptual scenario in which a number of mandatory elements (core Frame Elements) play specific roles (e.g. ARGUER, JUDGE, LAW), but specialized verbs are often accompanied by other optional information (non-core Frame Elements), such as the criteria and reasons used by the judge to reach a decision (statutes, codes, previous decisions). The information concerning the semantic frame that each verb evokes was encoded in an xml editor and about twenty contexts illustrating the specific way each specialized verb evokes a given frame were semantically and syntactically annotated. The labels attributed to each semantic frame (e.g. [Compliance], [Verdict]) were used to group together certain synonyms, antonyms as well as equivalent terms. The research identified 165 pairs of candidate equivalents among the 200 Portuguese and English terms that were grouped together into 76 frames. 71% of the pairs of equivalents were considered full equivalents because not only do the verbs evoke the same conceptual scenario but their actantial structures, the linguistic realizations of the actants and their syntactic patterns were similar. 29% of the pairs of equivalents did not entirely meet these criteria and were considered partial equivalents. Reasons for partial equivalence are provided along with illustrative examples. Finally, the study describes the semasiological and onomasiological entry points that JuriDiCo, the bilingual lexical resource compiled during the project, offers to future users.

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Au niveau méthodologique, ce travail innove en combinant plusieurs moyens d'observation complémentaires sur le processus d'écriture et sur le processus de correction. Les observations qualitatives ainsi recueillies sont retranscrites en les combinant selon l'ordre chronologique d'apparition, puis elles sont traitées et analysées sous le logiciel QDA Miner.

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Éminent naturaliste du XIXe siècle, Charles Darwin publie en 1859 ce qui s'avérera être l’un des textes fondateurs des sciences de la vie : On the origin of species by means of natural selection, or the preservation of favoured races in the struggle for life (ou OS). Ce volumineux ouvrage pose les assises conceptuelles de la théorie darwinienne de l'évolution. Cette dernière suscite encore de nos jours la controverse : certains la nient (créationnisme, dessein intelligent, etc.) alors que d'autres la poussent à l'extrême (eugénisme, darwinisme social, etc.). Vu la grande portée de l'OS, le problème de sa traduction en français se présente de lui-même. Ce champ d'étude reste pourtant largement inexploré. Nous avons donc choisi, dans le présent travail, d’étudier les traductions françaises de l’OS. Notre étude s’inscrivant dans un axe de recherche qui s’intéresse aux modes de conceptualisation métaphorique en usage dans les domaines biomédicaux, ainsi qu’aux problèmes de traduction qu’ils soulèvent, nous avons choisi de nous concentrer plus particulièrement sur les modes de conceptualisation métaphorique présents dans le texte de l'OS, et sur la manière dont ils ont été traduits en français. Pour mener à bien ce projet, nous avons élaboré une méthodologie à partir de celle déjà utilisée avec succès dans des études antérieures menées au sein du même axe de recherche que le nôtre. En plus de l’annotation et l’interrogation informatisée de notre corpus, cette méthodologie consiste en la mise en relation, au plan informatique, de plusieurs traductions d’un même texte. De par sa complexité technique, son élaboration constitue l’un des objectifs majeurs de notre étude. Les résultats obtenus nous ont permis de confirmer deux de nos trois hypothèses : 1) la totalité des modes de conceptualisation identifiés dans notre corpus anglais se retrouvent également dans chacune des traductions, et 2) aucun mode de conceptualisation métaphorique ne peut être dégagé des traductions françaises qui n’est pas déjà présent dans l’original anglais. En plus de nous permettre de comparer chaque traduction à l’original anglais, ces résultats nous ont également permis de comparer entre elles les différentes traductions françaises de l’OS. Ce mémoire de maîtrise comporte six chapitres, qui correspondent tour à tour à : notre cadre théorique, l'état de la question, nos hypothèses et nos objectifs, notre méthodologie, nos résultats et la discussion de ces résultats.

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Ce mémoire de maitrise vise à dresser un portrait des erreurs syntaxiques des élèves du secondaire en analysant un corpus de textes de cinq groupes du Québec, de la 1re à la 5e secondaire. Les résultats actuels aux épreuves ministérielles des élèves de 5e secondaire nous indiquent que les élèves éprouvent des difficultés avec l’écriture du français. Une analyse approfondie nous permet de comprendre que l’amélioration de la situation passe par une meilleure connaissance des erreurs syntaxiques des élèves. En nous appuyant sur la grille de Boivin et Pinsonneault (2014), nous avons analysé les données provenant du codage des textes d’élèves de la 1re à la 5e secondaire. L’analyse de ces données nous a permis de constater que parmi les sept grandes catégories d’erreurs de la grille, c’est en syntaxe que les élèves commettent le plus d’erreurs. Une incursion au cœur des six sous-catégories de la syntaxe a révélé que la ponctuation causait le plus de problème aux élèves, et ce, à tous les niveaux. Les erreurs liées à la détermination de la catégorie grammaticale des mots (homophones) arrivaient en deuxième place. Par la suite, nous avons précisé davantage l’analyse en déterminant, pour chacun des codes, l’évolution du nombre d’erreurs d’un niveau du secondaire à l’autre. Il est ressorti de cette étude que les deux principales erreurs, basées sur les sous-catégories syntaxiques, sont celles portant sur l’usage de la virgule et celles liées à la confusion qui existe encore un verbe terminant par «er» et un adjectif ou un participe passé terminant par «é-e-s».

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Formal Concept Analysis allows to derive conceptual hierarchies from data tables. Formal Concept Analysis is applied in various domains, e.g., data analysis, information retrieval, and knowledge discovery in databases. In order to deal with increasing sizes of the data tables (and to allow more complex data structures than just binary attributes), conceputal scales habe been developed. They are considered as metadata which structure the data conceptually. But in large applications, the number of conceptual scales increases as well. Techniques are needed which support the navigation of the user also on this meta-level of conceptual scales. In this paper, we attack this problem by extending the set of scales by hierarchically ordered higher level scales and by introducing a visualization technique called nested scaling. We extend the two-level architecture of Formal Concept Analysis (the data table plus one level of conceptual scales) to many-level architecture with a cascading system of conceptual scales. The approach also allows to use representation techniques of Formal Concept Analysis for the visualization of thesauri and ontologies.

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There are numerous text documents available in electronic form. More and more are becoming available every day. Such documents represent a massive amount of information that is easily accessible. Seeking value in this huge collection requires organization; much of the work of organizing documents can be automated through text classification. The accuracy and our understanding of such systems greatly influences their usefulness. In this paper, we seek 1) to advance the understanding of commonly used text classification techniques, and 2) through that understanding, improve the tools that are available for text classification. We begin by clarifying the assumptions made in the derivation of Naive Bayes, noting basic properties and proposing ways for its extension and improvement. Next, we investigate the quality of Naive Bayes parameter estimates and their impact on classification. Our analysis leads to a theorem which gives an explanation for the improvements that can be found in multiclass classification with Naive Bayes using Error-Correcting Output Codes. We use experimental evidence on two commonly-used data sets to exhibit an application of the theorem. Finally, we show fundamental flaws in a commonly-used feature selection algorithm and develop a statistics-based framework for text feature selection. Greater understanding of Naive Bayes and the properties of text allows us to make better use of it in text classification.

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La inversión extranjera directa en Colombia es un asunto que particularmente desde 1990 ha venido tomando fuerza y que a su vez genera múltiples cuestiones. Para abordar el impacto que la IED ha tenido en Colombia se hace necesario hacer un acercamiento teórico para comprender el concepto, pasando por el estudio del caso latinoamericano para después seleccionar los principales sectores de la economía colombiana y en los cuales la IED ha jugado un rol destacado, como es el caso del sector financiero, la industria manufacturera, el sector de electricidad, gas y agua, el sector de transporte, almacenamiento y comunicaciones y el sector petróleo. Con ello en mente será posible establecer y medir el impacto económico de la IED, tomando como principal indicador la correlación entre la IED y PIB por sector y otros aspectos como el impacto en el empleo y la transferencia de conocimiento y tecnología. Igualmente es necesario abordar la perspectiva del inversionista y los riesgos y beneficios que corre al invertir en Colombia, esto permitirá ampliar el campo de análisis y establecer otras relaciones e impactos conexos de la IED en los aspectos sociales y culturales del país. Gracias a estos análisis será posible emitir un juicio de valor sustentado en un análisis científico detallado sobre el verdadero impacto de la IED y extendiéndose más allá del campo económico.

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Las denominadas tecnologías en rehabilitación hacen parte de las estrategias que facilitan la integración de la persona en situación de discapacidad. Su comprensión demanda aproximaciones conceptuales básicas sobre tecnología, ingeniería y salud, puesto que estos campos confluyen en su área de estudio. Con el presente escrito se pretende inicialmente precisar las diferencias conceptuales entre tecnología en rehabilitación y otras áreas de similar denominación como biotecnología, bioingeniería, ingeniería de la rehabilitación y tecnología de asistencia, y la manera como éstas se relacionan y se alimentan unas a otras. En segunda instancia, se explican las tecnologías en rehabilitación, dando una caracterización y exponiendo su impacto en la capacidad funcional de las personas en situación de discapacidad. Finalmente se expone la relación entre tecnología en rehabilitación, accesibilidad y autonomía personal.

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El presente trabajo tiene como objetivo mostrar la relación que existe entre la cadena de suministro, global manufacturing y su relación con el desempeño organizacional en el sector manufacturero. El proyecto va a estar divido en tres grandes partes, en primer lugar estará el marco conceptual donde se especificarán los conceptos más significativos que abarcan la investigación, seguido del marco teórico donde se expondrán las teorías y estudios encontrados, analizados y estudiados con el fin de desembocar en la tercer parte que serán las conclusiones y recomendaciones que se darán a partir de los análisis y teorías que compactan el tema de la relación existente entre la cadena de suministro, global manufacturing y el desempeño organizacional.