624 resultados para Skrepenak, Greg


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Despite the rhetoric of schools serving the needs of specific communities, it is evident that the work of teachers and principals is shaped by government imperatives to demonstrate success according to a set of standard ‘benchmarks’. In this chapter, we draw from our current study of new forms of educational leadership emerging in South Australian public primary schools to explore the ways in which test-based accountability requirements are being mediated by principals in schools that serve high poverty communities. Taking an institutional ethnography approach we focus on the everyday work of a principal and a literacy leader in one suburban primary school to show the complexity of the impact of national testing on practices of literacy leadership. We elaborate on the inescapable textual framings and tasks faced by the principal and literacy leader, and those that they create and modify – such as a common literacy agreement and ‘literacy chats’ between a literacy leader and classroom teacher – in order to ‘hold on to ethics’. We argue that while leaders’ and teachers’ everyday work is regulated by ‘ruling relations’ (Smith, 1999), it is also organic and responsive to the local context. We conclude with a reflection on the important situated work that school leaders do in mediating trans-local policies that might otherwise close down possibilities for engaging ethically with students and their learning in a particular school.

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Big Data and Learning Analytics’ promise to revolutionise educational institutions, endeavours, and actions through more and better data is now compelling. Multiple, and continually updating, data sets produce a new sense of ‘personalised learning’. A crucial attribute of the datafication, and subsequent profiling, of learner behaviour and engagement is the continual modification of the learning environment to induce greater levels of investment on the parts of each learner. The assumption is that more and better data, gathered faster and fed into ever-updating algorithms, provide more complete tools to understand, and therefore improve, learning experiences through adaptive personalisation. The argument in this paper is that Learning Personalisation names a new logistics of investment as the common ‘sense’ of the school, in which disciplinary education is ‘both disappearing and giving way to frightful continual training, to continual monitoring'.

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This paper conceptualises think tanks and edu-businesses in relation to education policy work in the Australian polity. It situates the enhanced influence of both in relation to the restructured state, which has lost some key capacities in relation to the generation of research and ideas for policy. This restructuring has been strongly influenced by the techniques of new public management, the auditing of education through national and international testing and new forms of network governance, which have opened up spaces for the increased influence of think tanks and edu-businesses across the policy cycle in education. We see here the workings of a ‘polycentric state’. The paper also considers changing concepts of ‘evidence’, ‘expertise’ and ‘influence’ in respect of the involvement of think tanks and edu-businesses in circulating policy ideas and affecting policy development in Australian education. This introduction to this special issue of The Australian Educational Researcher serves as a provocation to further research on this new policy scenario.

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Non-government actors such as think-tanks are playing an important role in Australian policy work. As governments increasingly outsource policy work previously done by education departments and academics to these new policy actors, more think-tanks have emerged that represent a wide range of political views and ideological positions. This paper looks at the emergence of the Grattan Institute as one significant player in Australian education policy with a particular emphasis on Grattan’s report ‘Turning around low-performing schools’. Grattan exemplifies many of the facets of Barber’s ‘deliverology’, as they produce reports designed to be easily digested, simply actioned and provide reassurance that there is an answer, often through focusing on ‘what works’ recipes. ‘Turning around low-performing schools’ is a perfect example of this deliverology. However, a close analysis of the Report suggests that it contains four major problems which seriously impact its usefulness for schools and policymakers: it ignores data that may be more important in explaining the turn-around of schools, the Report is overly reliant on NAPLAN data, there are reasons to be suspicious about the evidence assembled, and finally the Report falls into a classic trap of logic—the post hoc fallacy.

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Exposure to ambient air pollution is a major risk factor for global disease. Assessment of the impacts of air pollution on population health and the evaluation of trends relative to other major risk factors requires regularly updated, accurate, spatially resolved exposure estimates. We combined satellite-based estimates, chemical transport model (CTM) simulations and ground measurements from 79 different countries to produce new global estimates of annual average fine particle (PM2.5) and ozone concentrations at 0.1° × 0.1° spatial resolution for five-year intervals from 1990-2010 and the year 2013. These estimates were then applied to assess population-weighted mean concentrations for 1990 – 2013 for each of 188 countries. In 2013, 87% of the world’s population lived in areas exceeding the World Health Organization (WHO) Air Quality Guideline of 10 μg/m3 PM2.5 (annual average). Between 1990 and 2013, decreases in population-weighted mean concentrations of PM2.5 were evident in most high income countries, in contrast to increases estimated in South Asia, throughout much of Southeast Asia, and in China. Population-weighted mean concentrations of ozone increased in most countries from 1990 - 2013, with modest decreases in North America, parts of Europe, and several countries in Southeast Asia.

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Historically, school leaders have occupied a somewhat ambiguous position within networks of power. On the one hand, they appear to be celebrated as what Ball (2003) has termed the ‘new hero of educational reform'; on the other, they are often ‘held to account’ through those same performative processes and technologies. These have become compelling in schools and principals are ‘doubly bound’ through this. Adopting a Foucauldian notion of discursive production, this paper addresses the ways that the discursive ‘field’ of ‘principal’ (within larger regimes of truth such as schools, leadership, quality and efficiency) is produced. It explores how individual principals understand their roles and ethics within those practices of audit emerging in school governance, and how their self-regulation is constituted through NAPLAN – the National Assessment Program, Literacy and Numeracy. A key effect of NAPLAN has been the rise of auditing practices that change how education is valued. Open-ended interviews with 13 primary and secondary school principals from Western Australia, South Australia and New South Wales asked how they perceived NAPLAN's impact on their work, their relationships within their school community and their ethical practice.

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Background The most common pathway to development of diabetes foot ulcers is repetitive daily activity stress on the plantar surface of the neuropathic foot. Studies suggest an association between different diabetic foot complications and physical activity. However, to the best of the authors knowledge the steps/day and sleep patterns of people with diabetic foot ulcers has yet to be investigated. This observational study aims to investigate the physical activity and sleep patterns of three groups of adults with type 2 diabetes and different foot complications Methods Participants with type 2 diabetes were recruited into three groups: 1. those with no reported foot complications (DNIL), 2. those with diagnosis of neuropathy (DPN) and 3. those with a neuropathic ulcer (DFU). Exclusion criteria included peripheral arterial disease and mobility aid use. Participants wore a SenseWear Pro 3 Armband continuously for 7 days and completed an Epworth Sleepiness Scale. The Armband is a validated automated measure of activity (walking steps, average Metabolic Equivalent Task (MET), physical activity (>3 METs) duration), energy expenditure(kJ) (total and physical activity (>3 METs)) and sleep (duration). Data on age, sex, BMI, diabetes duration and HbA1c were also collected. Results Sixty-Six (14 DNIL, 22 DPN and 30 DFU's participants were recruited; 71% males, mean age 61(±12) years, diabetes duration 13(±9) years, HbA1c 8.3(±2.8), BMI 32.6(±5.9), average METs 1.2(0.2). Significant differences were reported in mean(SD) steps/day (5,859(±2,381) in DNIL; 5,007(±3,349) in DPN and 3,271(±2,417) in DFU's and daily energy expenditure (10,868(±1,307)kJ in DNIL; 11,060(±1,916)kJ in DPN and 13,006(± 3,559) in DFU's(p <0.05). No significant differences were reported for average METs, physical activity duration or energy expenditure, sleep time or Epworth score (p>0.1). Conclusions Preliminary findings suggest people with diabetes are sedentary. Results indicate that patients with a diabetic foot ulcer work significantly less than those with neuropathy or nil complications and use significantly more energy to do so. Sleep Parameters showed no differences. Recruitment is still on going.

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This study examines the properties of Generalised Regression (GREG) estimators for domain class frequencies and proportions. The family of GREG estimators forms the class of design-based model-assisted estimators. All GREG estimators utilise auxiliary information via modelling. The classic GREG estimator with a linear fixed effects assisting model (GREG-lin) is one example. But when estimating class frequencies, the study variable is binary or polytomous. Therefore logistic-type assisting models (e.g. logistic or probit model) should be preferred over the linear one. However, other GREG estimators than GREG-lin are rarely used, and knowledge about their properties is limited. This study examines the properties of L-GREG estimators, which are GREG estimators with fixed-effects logistic-type models. Three research questions are addressed. First, I study whether and when L-GREG estimators are more accurate than GREG-lin. Theoretical results and Monte Carlo experiments which cover both equal and unequal probability sampling designs and a wide variety of model formulations show that in standard situations, the difference between L-GREG and GREG-lin is small. But in the case of a strong assisting model, two interesting situations arise: if the domain sample size is reasonably large, L-GREG is more accurate than GREG-lin, and if the domain sample size is very small, estimation of assisting model parameters may be inaccurate, resulting in bias for L-GREG. Second, I study variance estimation for the L-GREG estimators. The standard variance estimator (S) for all GREG estimators resembles the Sen-Yates-Grundy variance estimator, but it is a double sum of prediction errors, not of the observed values of the study variable. Monte Carlo experiments show that S underestimates the variance of L-GREG especially if the domain sample size is minor, or if the assisting model is strong. Third, since the standard variance estimator S often fails for the L-GREG estimators, I propose a new augmented variance estimator (A). The difference between S and the new estimator A is that the latter takes into account the difference between the sample fit model and the census fit model. In Monte Carlo experiments, the new estimator A outperformed the standard estimator S in terms of bias, root mean square error and coverage rate. Thus the new estimator provides a good alternative to the standard estimator.

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Koettu terveys on subjektiivinen mittari, jota voidaan käyttää objektiivisten mittareiden ohella kunnan sosiaali- ja terveyspolitiikan onnistumisen arviointiin sekä ohjaamaan palveluiden järjestämistä. Tutkimuksessa selvitettiin mahdollisuuksia tuottaa pienalue-estimointimenetelmillä tietoa Espoon eri alueiden 20–64 -vuotiaan väestön kokemasta terveydestä. Erityisesti työ keskittyi selvittämään; kuinka pienille Espoon alueille voidaan tuottaa luotettavaa tietoa käytettävissä olevasta otosaineistosta ja miten käytetty mallitaso sekä otoskoon kasvattaminen muiden pääkaupunkiseudun asukkaiden vastauksilla vaikuttaa estimointitulokseen? Tutkimusaineistona käytettiin vuoden 2008 aikana Helsingin sosiaalialan osaamiskeskuksen keräämän Pääkaupunkiseudun hyvinvointitutkimus -aineiston lisäksi Aluesarjat-tilastotietokannasta sekä Tilastokeskuksen Väestötilastopalvelusta saatavaa tietoa. Pienalue-estimointimenetelminä käytettiin malliavusteista GREG-estimointia sekä malliperusteista EBLUP-estimointia. Sekä Espoon että koko pääkaupunkiseudun otosaineistosta muodostettujen yksikkö- ja aluetason mallien parametrien ja Espoon eri alueiden 20–64 -vuotiaaseen väestöön liittyvän tiedon avulla tuotettiin alue-estimaatteja Espoon pien-, tilasto- ja suuralueille. Koetun terveyden aluekeskiarvon estimointi onnistui kaikilla aluetasoilla kyseisen aluetason malliin perustuvalla EBLUP-estimaattorilla. GREG-estimaattori onnistui vain suuraluetason estimoinnissa, muilla aluetasoilla alueiden pienet otoskoot huononsivat GREG-estimaatin tarkkuutta. Yksikkötason sekamallin huono selitysvoima ja mallista puuttuva selittäjä huononsivat siihen perustuvan EBLUP-estimaattorin tarkkuutta. Estimoinnin kannalta mallitasoa tärkeämmäksi osoittautui mallin hyvyyden toteutuminen. Voiman lainaaminen kohdejoukon ulkopuoliselta otokselta heikensi satunnaisvaikutuksen merkitsevyyttä ja alue-estimaattien välistä vaihtelua sekä lisäsi estimaattien tarkkuutta. Pienaluetiedon tuottaminen onnistuu EBLUP-estimaattoreilla jopa 85 pienalueelle noin 800 havainnon otosaineistosta, mikäli käytössä on luotettavaa lisäinformaatiota ja hyvä malli. GREG-estimaattori sallii huonomman mallin käytön, mutta edellyttää suurempia pienalueittaisia otoskokoja kuin EBLUP-estimaattorit. EBLUP-estimaattoreiden etuna on alueittaisen otoskoon lisäksi mahdollisuus perustaa estimointi sekä yksikkötasoiseen että aluetasoiseen malliin. Pienalueestimointimenetelmät lisäävät otosaineistojen hyödyntämismahdollisuuksia. Onnistumisen takaa menetelmiin sisältyvien, aineistoon ja malliin kohdistuvien vaatimusten huomiointi tiedonkeruun suunnitteluvaiheessa mm. kysymysten asettelussa. Pienalue-estimointimenetelmien käyttö edellyttää tilastollista osaamista, kriittisyyttä saatuja tuloksia kohtaan ja vastuullisuutta tuloksia julkaistaessa. Laatuvaatimukset täyttävät pienalue-estimaatit soveltuvat hyvin päätöksenteon tueksi, kun halutaan vertailla alueita ja kohdentaa resursseja tarvelähtöisesti.

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La influencia del manejo selectivo de malezas y coberturas sobre el crecimiento y rendimiento del café (Coffea arabica L.) después del recepo, fue evaluado desde febrero del 2000 a diciembre del 2001. El ensayo fue establecido en el Centro Experimental del Café del Pacífico conocido como Jardín Botánico, Masatepe, Masaya. Debido a que las plantas de café presentaron un excesivo crecimiento muy por arriba de lo normal, además del agotamiento producto de las seis cosechas de café uva realizadas durante los años 1994-1999, fue la causa de la recepa de las plantas a una altura de 40 cm por arriba de la superficie del suelo. Se estableció un diseño de bloques completos al azar (BCA) y se utilizó la variedad de café pacas. Los tratamientos consistieron en la erradicación total de las malezas con uso de machete y herbicidas (A), Manejo selectivo de malezas y coberturas con machete y herbicidas (B), Manejo selectivo de malezas y coberturas con machete, herbicidas y Arachis pintoiKrap & Greg (C), Manejo selectivo de malezas y coberturas con machete (D), Manejo selectivo de malezas y coberturas con machete y Arachis pintoi Krap & Greg (E). Las variables evaluadas fueron: Biomasa de malezas (g /m2) y su contenido de N, P y K, altura de plantas (cm), diámetro del tallo (mm), número de ramas primarias, número de nudos totales por rama, número de nudos productivos por rama, número de frutos totales por rama y rendimiento (grano oro en kg/ha). La biomasa de malezas y contenido de nutrientes se analizaron cualitativamente a través de tablas y figuras, interpretando su tendencia, cambios y asociaciones en el tiempo. Las variables de crecimiento y rendimiento se analizaron cuantitativamente por medio de ANDEVA al y comparación de medias a través de contrastes ortogonales. Se realizaron transformaciones en las variables discontinuas para mejorar la normalidad de los datos. En el manejo selectivo de malezas y coberturas con machete y Arachis pintoiKrap & Greg (E) se encontró una mayor cantidad de biomasa de las malezas nobles (175.50 g/m2) retornando al sistema suelo 5.0 kg de N, 0.61 kg de P y 6.3 kg de K por ha al final de la época lluviosa. El tratamiento selectivo mecánico-químico y Arachis pintoi Krap & Greg (C) presentó el mayor número de ramas con 37.60, y el mayor rendimiento con 486.51 grano oro en kg/ha, superando al manejo convencional (A) con 33.83 ramas y 364.57 grano oro en kg/ha. No se encontró diferencia significativa entre los tratamientos con respecto a las variables altura de plantas, diámetro de tallo, número de nudos por bandola, nudos productivos y rendimiento.

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(Document pdf contains 25 pages)

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In 2003, twelve marine protected areas were established in state waters (0-3 nmi) surrounding the Channel Islands. NOAA is considering extending this network (3-6 nmi) into deeper waters of the Channel Islands National Marine Sanctuary (CINMS). In order for effective long-term management of the deep water reserves to occur, a well-structured monitoring program is required to assess effectiveness. The CINMS and the National Marine Sanctuary Program (NMSP) hosted a 2-day workshop in April 2005 to develop a monitoring plan for the proposed federal marine reserves in that sanctuary. Conducted at the University of California at Santa Barbara, participants included scientists from academic, state, federal, and private research institutions. Workshop participants developed project ideas that could answer priority questions posed by the NMSP. This workshop report will be used to develop a monitoring plan for the reserves. (PDF contains 47 pages.)

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Gold Coast Water is responsible for the management of the water and wastewater assets of the City of the Gold Coast on Australia’s east coast. Treated wastewater is released at the Gold Coast Seaway on an outgoing tide in order for the plume to be dispersed before the tide changes and renters the Broadwater estuary. Rapid population growth over the past decade has placed increasing demands on the receiving waters for the release of the City’s effluent. The Seaway SmartRelease Project is designed to optimise the release of the effluent from the City’s main wastewater treatment plant in order to minimise the impact of the estuarine water quality and maximise the cost efficiency of pumping. In order to do this an optimisation study that involves water quality monitoring, numerical modelling and a web based decision support system was conducted. An intensive monitoring campaign provided information on water levels, currents, winds, waves, nutrients and bacterial levels within the Broadwater. These data were then used to calibrate and verify numerical models using the MIKE by DHI suite of software. The decision support system then collects continually measured data such as water levels, interacts with the WWTP SCADA system, runs the models in forecast mode and provides the optimal time window to release the required amount of effluent from the WWTP. The City’s increasing population means that the length of time available for releasing the water with minimal impact may be exceeded within 5 years. Optimising the release of the treated water through monitoring, modelling and a decision support system has been an effective way of demonstrating the limited environmental impact of the expected short term increase in effluent disposal procedures. (PDF contains 5 pages)