975 resultados para Elicotteri, ibridi, ala fissa


Relevância:

10.00% 10.00%

Publicador:

Resumo:

NHCH3 (X = Gly 1, Ala 2, Aib 3, Leu 4 and D-Ala 5), have been investigated by Raman and circular dichroism (CD) spectroscopy. Solid state Raman spectra are consistent with β-turn conformations in all five peptides. These peptides exhibit similar conformations of the disulfide segment in the solid state with a characteristic disulfide stretching frequency at 519 ± 3 cm-1, indicative of a trans-gauche-gauche arrangement about the Cα—Cβ—S—S—Cβ—Cα bonds. The results correlate well with the solid state conformations determined by X-ray diffraction for peptides 3 and 4. CD studies in chloroform and dimethylsulfoxide establish solvent dependent conformational changes for peptides 1, 3 and 5. Disulfide chirality has been derived using the quadrant rule. CD results together with previously reported nuclear magnetic resonance (n.m.r.) data suggest a conformational coupling between the peptide backbone and the disulfide segment

Relevância:

10.00% 10.00%

Publicador:

Resumo:

Two isomeric, acyclic tetrapeptides containing a Z-dehydrophenylalanine residue (Δz-Phe) at position 2 or 3, Boc-Leu-Ala-Δz-Phe-Leu-OMe (1) and Boc-Leu-Δz-Phe-Ala-Leu-OMe (2), have been synthesized and their solution conformations investigated by 270MHz 1H n.m.r. spectroscopy. In peptide 1 the Leu(4) NH group appears to be partially shielded from solvent, while in peptide 2 both Ala(3) and Leu(4) NH groups show limited solvent accessibility. Extensive difference nuclear Overhauser effect (n.O.e.) studies establish the occurrence of several diagnostic inter-residue n.O.e.s (CαjH ⇆ Ni+1H and NiH ⇆ Ni+1H) between backbone protons. The simultaneous observation of “mutually exclusive” n.O.e.s suggests the presence of multiple solution conformations for both peptides. In peptide 1 the n.O.e. data are consistent with a dynamic equilibrium between an -Ala-Δz-Phe- Type II β-turn structure and a second species with Δz-Phe adopting a partially extended conformation with Ψ values of ± 100° to ± 150°. In peptide 2 the results are compatible with an equilibrium between a highly folded consecutive β-turn structure for the -Leu-Δz-Phe-Ala- segment and an almost completely extended conformation.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

Earth s ice shelves are mainly located in Antarctica. They cover about 44% of the Antarctic coastline and are a salient feature of the continent. Antarctic ice shelf melting (AISM) removes heat from and inputs freshwater into the adjacent Southern Ocean. Although playing an important role in the global climate, AISM is one of the most important components currently absent in the IPCC climate model. In this study, AISM is introduced into a global sea ice-ocean climate model ORCA2-LIM, following the approach of Beckmann and Goosse (2003; BG03) for the thermodynamic interaction between the ice shelf and ocean. This forms the model ORCA2-LIM-ISP (ISP: ice shelf parameterization), in which not only all the major Antarctic ice shelves but also a number of minor ice shelves are included. Using these two models, ORCA2-LIM and ORCA2-LIM-ISP, the impact of addition of AISM and increasing AISM have been investigated. Using the ORCA2-LIM model, numerical experiments are performed to investigate the sensitivity of the polar sea ice cover and the Antarctic Circumpolar Current (ACC) transport through Drake Passage (DP) to the variations of three sea ice parameters, namely the thickness of newly formed ice in leads (h0), the compressive strength of ice (P*), and the turning angle in the oceanic boundary layer beneath sea ice (θ). It is found that the magnitudes of h0 and P* have little impact on the seasonal sea ice extent, but lead to large changes in the seasonal sea ice volume. The variation in turning angle has little impact on the sea ice extent and volume in the Arctic but tends to reduce them in the Antarctica when ignored. The magnitude of P* has the least impact on the DP transport, while the other two parameters have much larger influences. Numerical results from ORCA2-LIM and ORCA2-LIM-ISP are analyzed to investigate how the inclusion of AISM affects the representation of the Southern Ocean hydrography. Comparisons with data from the World Ocean Circulation Experiment (WOCE) show that the addition of AISM significantly improves the simulated hydrography. It not only warms and freshens the originally too cold and too saline bottom water (AABW), but also warms and enriches the salinity of the originally too cold and too fresh warm deep water (WDW). Addition of AISM also improves the simulated stratification. The close agreement between the simulation with AISM and the observations suggests that the applied parameterization is an adequate way to include the effect of AISM in a global sea ice-ocean climate model. We also investigate the models capability to represent the sea ice-ocean system in the North Atlantic Ocean and the Arctic regions. Our study shows both models (with and without AISM) can successfully reproduce the main features of the sea ice-ocean system. However, both tend to overestimate the ice flux through the Nares Strait, produce a lower temperature and salinity in the Hudson Bay, Baffin Bay and Davis Strait, and miss the deep convection in the Labrador Sea. These deficiencies are mainly attributed to the artificial enlargement of the Nares Strait in the model. In this study, the impact of increasing AISM on the global sea ice-ocean system is thoroughly investigated. This provides a first idea regarding changes induced by increasing AISM. It is shown that the impact of increasing AISM is global and most significant in the Southern Ocean. There, increasing AISM tends to freshen the surface water, to warm the intermediate and deep waters, and to freshen and warm the bottom water. In addition, increasing AISM also leads to changes in the mixed layer depths (MLD) in the deep convection sites in the Southern Ocean, deepening in the Antarctic continental shelf while shoaling in the ACC region. Furthermore, increasing AISM influences the current system in the Southern Ocean. It tends to weaken the ACC, and strengthen the Antarctic coastal current (ACoC) as well as the Weddell Gyre and the Ross Gyre. In addition to the ocean system, increasing AISM also has a notable impact on the Antarctic sea ice cover. Due to the cooling of seawater, sea ice concentration and thickness generally become higher. In austral winter, noticeable increases in sea ice concentration mainly take place near the ice edge. In regards with sea ice thickness, large increases are mainly found along the coast of the Weddell Sea, the Bellingshausen and Amundsen Seas, and the Ross Sea. The overall thickening of sea ice leads to a larger volume of sea ice in Antarctica. In the North Atlantic, increasing AISM leads to remarkable changes in temperature, salinity and density. The water generally becomes warmer, more saline and denser. The most significant warming occurs in the subsurface layer. In contrast, the maximum salinity increase is found at the surface. In addition, the MLD becomes larger along the Greenland-Scotland-Iceland ridge. Global teleconnections due to AISM are studied. The AISM signal is transported with the surface current: the additional freshwater from AISM tends to enhance the northward spreading of the surface water. As a result, more warm and saline water is transported from the tropical region to the North Atlantic Ocean, resulting in warming and salt enrichment there. It would take about 30 40 years to establish a systematic noticeable change in temperature, salinity and MLD in the North Atlantic Ocean according to this study. The changes in hydrography due to increasing AISM are compared with observations. Consistency suggests that increasing AISM is highly likely a major contributor to the recent observed changes in the Southern Ocean. In addition, the AISM might contribute to the salinity contrast between the North Atlantic and North Pacific, which is important for the global thermohaline circulation.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

Three-dimensional (3D) structure determination of proteins is benefitted by long-range distance constraints comprising the methyl groups, which constitute the hydrophobic core of proteins. However, in methyl groups (of Ala, Ile, Leu, Met, Thr and Val) there is a significant overlap of C-13 and H-1 chemical shifts. Such overlap can be resolved using the recently proposed (3,2)D HCCH-COSY, a G-matrix Fourier transform (GFT) NMR based experiment, which facilitates editing of methyl groups into distinct spectral regions by combining their C-13 chemical shifts with that of the neighboring, directly attached, C-13 nucleus. Using this principle, we present three GFT experiments: (a) (4,3)D NOESY-HCCH, (b) (4,3)D H-1-TOCSY-HCCH and (c) (4,3)D C-13-TOCSY-HCCH. These experiments provide unique 4D spectral information rapidly with high sensitivity and resolution for side-chain resonance assignments and NOE analysis of methyl groups. This is exemplified by (4,3)D NOESY-HCCH data acquired for 17.9 kDa non-deuterated cytosolic human J-protein co-chaperone, which provided crucial long-range distance constraints for its 3D structure determination.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

The contents of fibroin H RNA as a function of development have been quantitated in the posterior silk glands of Bombyx mori larvae on different days of 4th and 5th instars. The fibroin RNA levels increased during the feeding stages of larvae and the RNA got completely degraded during the interim moult. The patterns of accumulation of fibroin RNA were similar in both the instars. Although there was considerable increase in the fibroin RNA content during the 5th larval instar, the relative abundance of fibroin RNA in the total RNA was fairly constant during the 4th and 5th instars. The increased content of fibroin RNA in 5th instar was the consequence of an overall increase in transcription accompanying the development progress, rather than specific increase only in fibroin transcription. The contents of fibroin protein in the 4th and 5th instars of development have also been quantitated making use of a sensitive radioimmune assay with a purified, antifibroin antibody. There were substantial differences between 4th and 5th instars in the absolute fibroin contents as well as the relative proportion of fibroin in the total proteins. These results implied that although the fibroin gene was transcribed at the same efficiency during the 4th and 5th instars, the translational efficiency was much lower during the 4th instar. The extent of polyadenylation of fibroin RNA was similar in both instars. However, there was a two-fold increase in the polysome association of fibroin RNA in the 5th instar. Over and above this, there was substantial increase during the 5th instar in the contents of those tRNAs. (e.g. Gly, Ala and Ser) which are abundantly represented in fibroin and therefore directly related to the expression of fibroin. The increased polysome association of fibroin mRNA and the adequate supply of cognate tRNAs in the 5th instar, together contributes to the translational regulation of fibroin in a developmental stage-specific manner. Based on these observations, we propose that translational regulation plays a major role in the development stage-specific synthesis of fibroin in Bombyx mori.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

The crystal state conformations of three peptides containing the a,a-dialkylated residues, a,adi n-propylglycine (Dpg) and a,@-di-n-butylglycine (Dbg), have been established by x-ray diffraction. Boc-Ala-Dpg-Ala-OMe ( I ) and Boc-Ala-Dbg-Ala-OMe (III) adopt distorted type II @-turn conformations with Ala ( I ) and Dpg/Dbg (2) as the corner residues. In both peptides the conformational angles at the Dxg residue (I: 4 = 66.23 J/ = 19.3'; III: 4 = 66S0, J. = 21 .la)deviate appreciablyfrom ideal values for the i + 2 residue in a type II @-turn. In both peptides the observed(N. 0) distances between the Boc CO andAla(3) NHgroups are far too long (I:3.44 k; III: 3.63 k) for an intramolecular 4 + 1 hydrogen bond. Boc-Ala-Dpg-Ala-NHMe (II)crystallizes with two independent molecules in the asymmetric unit. Both molecules IIA and IIB adopt consecutive @-turn (type III-III in IIA and type III-I in IIB) or incipient 3,,,-helical structures, stabilized by two intramolecular 4 --t I hydrogen bonds. In all four molecules the bond angle N-C"-C' ( T ) at the Dxg residues are 2 1109 The observation of conformational angles in the helical region of 4,J/ space at these residues is consistent with theoretical predictions

Relevância:

10.00% 10.00%

Publicador:

Resumo:

The structural characterization in crystals of three designed decapeptides containing a double D-segment at the C-terminus is described. The crystal structures of the peptides Boc-Leu-Aib-Val-Xxx-Leu-Aib-Val- (D)Ala-(D)Leu-Aib-OMe, (Xxx = Gly 2, (D)Ala 3, Aib 4) have been determined and compared with those reported earlier for peptide 1 (Xxx = Ala) and the all L analogue Boc-Leu-Aib-Val-Ala-Leu-Aib-Val-Ala-Leu-Aib-OMe, which yielded a perfect right-handed a-helical structure. Peptides 1 and 2 reveal a right-handed helical segment spanning residues 1 to 7, ending in a Schellman motif with Ala(8) functioning as the terminating residue. Polypeptide chain reversal occurs at residue 9, a novel feature that appears to be the consequence of a C-(HO)-O-... hydrogen bond between residue 4 (CH)-H-alpha and residue 9 CO groups. The structures of peptides 3 and 4, which lack the pro R hydrogen at the C-alpha atom of residue 4, are dramatically different. Peptide 3 adopts a right-handed helical conformation over the 1 to 7 segment. Residues 8 and 9 adopt at conformations forming a C-terminus type I' beta-turn, corresponding to an incipient left-handed twist of the polypeptide chain. In peptide 4, helix termination occurs at Aib(6), with residues 6 to 9 forming a left-handed helix, resulting in a structure that accommodates direct fusion of two helical segments of opposite twist. Peptides 3 and 4 provide examples of chiral residues occurring in the less favored sense of helical twist; (D)Ala(4) in peptide 3 adopts an alpha(R) conformation, while (L)Val(7) in 4 adopts an alpha(L) conformation. The structural comparison of the decapeptides reported here provides evidence for the role of specific C-(HO)-O-... hydrogen bonds in stabilizing chain reversals at helix termini, which may be relevant in aligning contiguous helical and strand segments in polypeptide structures.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

This thesis report attempts to improve the models for predicting forest stand structure for practical use, e.g. forest management planning (FMP) purposes in Finland. Comparisons were made between Weibull and Johnson s SB distribution and alternative regression estimation methods. Data used for preliminary studies was local but the final models were based on representative data. Models were validated mainly in terms of bias and RMSE in the main stand characteristics (e.g. volume) using independent data. The bivariate SBB distribution model was used to mimic realistic variations in tree dimensions by including within-diameter-class height variation. Using the traditional method, diameter distribution with the expected height resulted in reduced height variation, whereas the alternative bivariate method utilized the error-term of the height model. The lack of models for FMP was covered to some extent by the models for peatland and juvenile stands. The validation of these models showed that the more sophisticated regression estimation methods provided slightly improved accuracy. A flexible prediction and application for stand structure consisted of seemingly unrelated regression models for eight stand characteristics, the parameters of three optional distributions and Näslund s height curve. The cross-model covariance structure was used for linear prediction application, in which the expected values of the models were calibrated with the known stand characteristics. This provided a framework to validate the optional distributions and the optional set of stand characteristics. Height distribution is recommended for the earliest state of stands because of its continuous feature. From the mean height of about 4 m, Weibull dbh-frequency distribution is recommended in young stands if the input variables consist of arithmetic stand characteristics. In advanced stands, basal area-dbh distribution models are recommended. Näslund s height curve proved useful. Some efficient transformations of stand characteristics are introduced, e.g. the shape index, which combined the basal area, the stem number and the median diameter. Shape index enabled SB model for peatland stands to detect large variation in stand densities. This model also demonstrated reasonable behaviour for stands in mineral soils.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

The effect of N-terminal diproline segments in nucleating helical folding in designed peptides has been studied in two model sequences Piv-Pro-Pro-Aib-Leu-Aib-Phe-OMe (1) and Boc-Aib-Pro-Pro-Aib-Val-Ala-Phe-OMe (2). The structure of 1 in crystals, determined by X-ray diffraction, reveals a helical (RR) conformation for the segment residues 2 to 5, stabilized by one 4 -> 1 hydrogen bond and two 5 -> 1 interactions. The N-terminus residue, Pro(1) adopts a polyproline II (P-II) conformation. NMR studies in three different solvent systems support a conformation similar to that observed in crystals. In the apolar solvent CDCl3, NOE data favor the population of both completely helical and partially unfolded structures. In the former, the Pro-Pro segment adopts an alpha(R)-alpha(R) conformation, whereas in the latter, a P-II-alpha(R) structure is established. The conformational equilibrium shifts in favor of the P-II-alpha(R) structure in solvents like methanol and DMSO. A significant population of the Pro(1)- Pro(2) cis conformer is also observed. The NMR results are consistent with the population of at least three conformational states about Pro- Pro segment: trans alpha(R)-alpha(R), trans P-II-alpha(R) and cis P-II-alpha(R). Of these, the two trans conformers are in rapid dynamic exchange on the NMR time scale, whereas the interconversion between cis and trans form is slow. Similar results are obtained with peptide 2. Analysis of 462 diproline segments in protein crystal structures reveals 25 examples of the alpha(R)-alpha(R) conformation followed by a helix. Modeling and energy minimization studies suggest that both P-II-alpha(R) and alpha(R)-alpha(R) conformations have very similar energies in the model hexapeptide 1

Relevância:

10.00% 10.00%

Publicador:

Resumo:

Ten new cyclic hexadepsipeptides, six isariins and four isaridins, from the fungus Isaria have been identified and characterized by high-performance liquid chromatography, coupled to tandem electrospray ionization mass spectrometry (LC-ESIMS/MS). The isariins possess a beta-hydroxy acid residue and five alpha-amino acids, while isaridins contain a beta-amino acid, an alpha-hydroxy acid, and four alpha-amino acids. One- and two-dimensional NMR spectroscopy confirmed the chemical identity of some of the isariin fractions. Mass spectral fragmentation patterns of [M + H](+) ions reveal clear diagnostic fragment ions for the isariins and isaridins. Previously described cyclic depsipeptides, isarfelins from Isaria felina (Guo, Y. X.; Liu, Q. H.; Ng, T. B.; Wang H. X. Peptides 2005, 26, 2384), are now reassigned as members of the isaridin family. Examination of isaridin sequences revealed significant similarities with cyclic hexadepsipeptides such as destruxins and roseotoxins. The structure of an isariin (isariin A) investigated by NMR spectroscopy indicated the presence of a hybrid alpha beta C-11 turn, formed by the beta-hydroxy acid and glycine residues and a (D)Leu-(L)Ala type II' beta-turn. Additionally, the inhibitory effect of isariins and an isaridin on the intra-erythrocytic growth of Plasmodium falciparum is presented.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

New chemical entities with unfavorable water solubility properties are continuously emerging in drug discovery. Without pharmaceutical manipulations inefficient concentrations of these drugs in the systemic circulation are probable. Typically, in order to be absorbed from the gastrointestinal tract, the drug has to be dissolved. Several methods have been developed to improve the dissolution of poorly soluble drugs. In this study, the applicability of different types of mesoporous (pore diameters between 2 and 50 nm) silicon- and silica-based materials as pharmaceutical carriers for poorly water soluble drugs was evaluated. Thermally oxidized and carbonized mesoporous silicon materials, ordered mesoporous silicas MCM-41 and SBA-15, and non-treated mesoporous silicon and silica gel were assessed in the experiments. The characteristic properties of these materials are the narrow pore diameters and the large surface areas up to over 900 m²/g. Loading of poorly water soluble drugs into these pores restricts their crystallization, and thus, improves drug dissolution from the materials as compared to the bulk drug molecules. In addition, the wide surface area provides possibilities for interactions between the loaded substance and the carrier particle, allowing the stabilization of the system. Ibuprofen, indomethacin and furosemide were selected as poorly soluble model drugs in this study. Their solubilities are strongly pH-dependent and the poorest (< 100 µg/ml) at low pH values. The pharmaceutical performance of the studied materials was evaluated by several methods. In this work, drug loading was performed successfully using rotavapor and fluid bed equipment in a larger scale and in a more efficient manner than with the commonly used immersion methods. It was shown that several carrier particle properties, in particular the pore diameter, affect the loading efficiency (typically ~25-40 w-%) and the release rate of the drug from the mesoporous carriers. A wide pore diameter provided easier loading and faster release of the drug. The ordering and length of the pores also affected the efficiency of the drug diffusion. However, these properties can also compensate the effects of each other. The surface treatment of porous silicon was important in stabilizing the system, as the non-treated mesoporous silicon was easily oxidized at room temperature. Different surface chemical treatments changed the hydrophilicity of the porous silicon materials and also the potential interactions between the loaded drug and the particle, which further affected the drug release properties. In all of the studies, it was demonstrated that loading into mesoporous silicon and silica materials improved the dissolution of the poorly soluble drugs as compared to the corresponding bulk compounds (e.g. after 30 min ~2-7 times more drug was dissolved depending on the materials). The release profile of the loaded substances remained similar also after 3 months of storage at 30°C/56% RH. The thermally carbonized mesoporous silicon did not compromise the Caco-2 monolayer integrity in the permeation studies and improved drug permeability was observed. The loaded mesoporous silica materials were also successfully compressed into tablets without compromising their characteristic structural and drug releasing properties. The results of this research indicated that mesoporous silicon/silica-based materials are promising materials to improve the dissolution of poorly water soluble drugs. Their feasibility in pharmaceutical laboratory scale processes was also confirmed in this thesis.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

In this dissertation I study language complexity from a typological perspective. Since the structuralist era, it has been assumed that local complexity differences in languages are balanced out in cross-linguistic comparisons and that complexity is not affected by the geopolitical or sociocultural aspects of the speech community. However, these assumptions have seldom been studied systematically from a typological point of view. My objective is to define complexity so that it is possible to compare it across languages and to approach its variation with the methods of quantitative typology. My main empirical research questions are: i) does language complexity vary in any systematic way in local domains, and ii) can language complexity be affected by the geographical or social environment? These questions are studied in three articles, whose findings are summarized in the introduction to the dissertation. In order to enable cross-language comparison, I measure complexity as the description length of the regularities in an entity; I separate it from difficulty, focus on local instead of global complexity, and break it up into different types. This approach helps avoid the problems that plagued earlier metrics of language complexity. My approach to grammar is functional-typological in nature, and the theoretical framework is basic linguistic theory. I delimit the empirical research functionally to the marking of core arguments (the basic participants in the sentence). I assess the distributions of complexity in this domain with multifactorial statistical methods and use different sampling strategies, implementing, for instance, the Greenbergian view of universals as diachronic laws of type preference. My data come from large and balanced samples (up to approximately 850 languages), drawn mainly from reference grammars. The results suggest that various significant trends occur in the marking of core arguments in regard to complexity and that complexity in this domain correlates with population size. These results provide evidence that linguistic patterns interact among themselves in terms of complexity, that language structure adapts to the social environment, and that there may be cognitive mechanisms that limit complexity locally. My approach to complexity and language universals can therefore be successfully applied to empirical data and may serve as a model for further research in these areas.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

This study explores labour relations between domestic workers and employers in India. It is based on interviews with both employers and workers, and ethnographically oriented field work in Jaipur, carried out in 2004-2007. Combining development studies with gender studies, labour studies, and childhood studies, it asks how labour relations between domestic workers and employers are formed in Jaipur, and how female domestic workers trajectories are created. Focusing on female part-time maids and live-in work arrangements, the study analyses children s work in the context of overall work force, not in isolation from it. Drawing on feminist Marxism, domestic labour relations are seen as an arena of struggle. The study takes an empirical approach, showing class through empiria and shows how paid domestic work is structured and stratified through intersecting hierarchies of class, caste, gender, age, ethnicity and religion. The importance of class in domestic labour relations is reiterated, but that of caste, so often downplayed by employers, is also emphasized. Domestic workers are crucial to the functioning of middle and upper middle class households, but their function is not just utilitarian. Through them working women and housewives are able to maintain purity and reproduce class disctinctions, both between poor and middle classes and lower and upper middle classes. Despite commodification of work relations, traditional elements of service relationships have been retained, particularly through maternalist practices such as gift giving, creating a peculiar blend of traditional and market practices. Whilst employers of part-time workers purchase services in a segmented market from a range of workers for specific, traditional live-in workers are also hired to serve employers round the clock. Employers and workers grudgingly acknowledged their dependence on one another, employers seeking various strategies to manage fear of servant crime, such as the hiring of children or not employing live-in workers in dual-earning households. Paid domestic work carries a heavy stigma and provide no entry to other jobs. It is transmitted from mothers to daughters and working girls were often the main income providers in their families. The diversity of working conditions is analysed through a continuum of vulnerability, generic live-in workers, particularly children and unmarried young women with no close family in Jaipur, being the most vulnerable and experienced part-time workers the least vulnerable. Whilst terms of employment are negotiated informally and individually, some informal standards regarding salary and days off existed for maids. However, employers maintain that workings conditions are a matter of individual, moral choice. Their reluctance to view their role as that of employers and the workers as their employees is one of the main stumbling blocks in the way of improved working conditions. Key words: paid domestic work, India, children s work, class, caste, gender, life course

Relevância:

10.00% 10.00%

Publicador:

Resumo:

Määräaikaisiin työsuhteisiin liittyvä epävarmuus on useiden tutkimusten mukaan yhteydessä stressiin ja vähentää psyykkistä hyvinvointia. Suomessa määräaikaiset työsuhteet ovat hieman yleisempiä kuin EU:ssa keskimäärin. Erityistä Suomen tilanteelle on se, että suomalaiset määräaikaiset palkansaajat ovat varsin koulutettuja eurooppalaisiin vertaisiinsa verrattuna. Yliopistoissa poikkeuksellisen suuri osa tekee työtä määräaikaisessa työsuhteessa. TUULI-kehittämishanke (2008–2011) toteutettiin Kuntoutussäätiön Malminkartanon kuntoutuskeskuksessa (syksystä 2010 Avire-Kuntoutus Oy), ja se oli tarkoitettu Helsingin yliopistossa määräaikaisissa palvelussuhteissa tai apurahalla työskenteleville henkilöille. Hankkeen rahoittivat Kela ja Työsuojelurahasto. Hankkeen arviointi toteutettiin Kuntoutussäätiön tutkimus- ja kehittämisyksikössä, ja arvioinnin rahoitti Kela. Hanke liittyi laajempaan Kelan toteuttamaan työhönkuntoutuksen kehittämishankkeeseen. Kuntoutusmalli TUULIn kohderyhmänä olivat Helsingin yliopiston akateemisesti koulutetut henkilöt, jotka ovat määräaikaisissa ja usein projektiluonteisissa työtehtävissä. Tämän kohderyhmän kuntoutustarvetta ei arvioida systemaattisesti työterveyshuollossa eikä työvoimatoimistossa. Osa kohderyhmään kuuluvista henkilöistä ei ole oikeutettu käyttämään työterveyshuollon palveluja, ja määräaikaisten työsuhteiden vuoksi he eivät myöskään valikoidu varhaiskuntoutukseen. Kuntoutusmalli TUULIn tavoitteena oli löytää kohderyhmälle soveltuvia kuntoutustarpeen arviointikeinoja (hyvinvointianalyysi). Tavoitteena oli myös kehittää kohderyhmälle soveltuva varhaiskuntoutusmuoto, johon määräaikaisissa työsuhteissa olevien on käytännössä mahdollista osallistua. Arvioinnissa keskeistä oli kehittävä arviointi, toisin sanoen tavoitteena oli myös tukea hankkeen toimintaa sen tavoitteiden toteuttamisessa ja kuntoutusmallin kehittämisessä. Arviointitutkimuksen tavoitteena oli tuottaa kokonaisarviointi TUULI-kuntoutusmallista. Hankkeen aluksi koottiin perustiedot sekä varsinaiseen interventioon osallistuvilta että ainoastaan hyvinvointianalyysiin osallistuneilta asiakkailta. Myös hankkeen päättyessä koottiin seurantatiedot molemmilta ryhmiltä. Jokainen kuntoutusryhmä on lisäksi haastateltu viimeisen seitsemän vuorokauden intensiivijaksoon kuuluvan päivän aikana. Arvioinnin aikana tehtiin osallistavaa yhteistyötä erityisesti hankkeen toteuttajien, ohjausryhmän ja rahoittajatahojen kanssa. Hyvinvointianalyysiin ja kuntoutusinterventioon saatiin rekrytoitua tavoiteltu määrä osallistujia. He kokivat määräaikaisuuteen liittyvän epätietoisuuden haittaavan työssä jaksamista. Hieman vajaa kolmasosa koki tämän haittaavan paljon. Selvä enemmistö raportoi työn henkisen kuormituksen ongelmista. Hyvinvointianalyysin ohjelma koostui sydämen sykevariaatioanalyysistä, psykologisista testeistä, lääkärin tutkimuksesta ja palautekeskustelusta. Hyvinvointianalyysi koettiin osallistujien keskuudessa varsin hyödylliseksi toimenpiteeksi. Koettu hyöty näyttäisi olevan samalla tasolla myös yhdeksän kuukautta hyvinvointianalyysin päättymisestä. Hyvinvointianalyysi toimi kuntoutustarpeen arviointivälineenä ja itsenäisenä mini-interventiona. Kuntoutusinterventiossa keskeisiä osa-alueita olivat stressin hallinnan ja rentoutumisen opetteleminen, oman työn kuormitustekijöiden tunnistaminen sekä psyykkisen hyvinvoinnin ja omien voimavarojen vahvistaminen. Myös kuntoutusintervention jälkeen osallistujien kokemukset olivat enimmäkseen positiivisia: he kokivat intervention kohentavan kykyään huolehtia omasta hyvinvoinnistaan sekä vahvistavan psyykkisiä ja sosiaalisia voimavarojaan ja stressin hallintaa. Myös työkyvyn koettiin kohentuneen. Sen sijaan osallistujat eivät kokeneet toiminnan ja työn tehokkuuden taitojen kohenneen. Toteuttajat arvioivat hankkeen saavuttaneen keskeisimmät tavoitteensa. Pätkätyöläisen ammatillisen identiteetin hahmottaminen ja työstäminen koettiin ongelmalliseksi; kehittämishankkeen aikana ei löydetty varteenotettavaa lähestymistapaa aiheeseen. Kuntoutusjärjestelmää tulee kehittää huomioiden työn ja työelämän muutokset. TUULI-hanke oli hyvä avaus tällä saralla, mutta hanke oli suunnattu vain pienelle osalle epätyypillistä työtä tekevien joukkoa. Koska määräaikainen työ on vakiintunut osaksi työmarkkinoita ja pätkistä koostuvaan työuraan liittyy työttömyysjaksoja, tulisi myös työttömyyskaudella olevat saada kuntoutusjärjestelmän piiriin. Arvioinnin kehittämissuositukset huomioiva TUULI-kuntoutusmalli tulisi toteuttaa ainakin kertaalleen Suomen yliopistoissa.

Relevância:

10.00% 10.00%

Publicador:

Resumo:

Lokakuussa 2002 voimaan astunut laki yksityisistä turvallisuuspalveluista ja eräiksi siihen liittyviksi laeiksi uudisti yksityistä turvallisuusalaa määrittävän lainsäädännön Suomessa. Tämän työn tarkoitus on avata kyseisen lakiuudistuksen valmistelua ja taustaa. Tarkastelun painopiste on ‘yleisen edun’ käsitteen käytössä. Tutkimuskysymyksiä ovat muun muassa kuka yleisen edun käsitettä käytti, mitä sillä perusteltiin ja mitä merkityksiä sille annettiin. Alkuperäislähteinä on käytetty lain valmistelun yhteydessä syntyneitä muistioita, mietintöjä, pöytäkirjoja ja lausuntoja. Tärkeimmän lähdeaineiston muodostavat lakia valmistelleelle hallintovaliokunnalle jätetyt niin kutsutut ‘asiantuntijalausunnot’. Näissä lausunnoissa kattava joukko turvallisuusalaan vaikuttavia organisaatioita työmarkkinajärjestöistä viranomaisiin esitti näkemyksensä lakiesitykseen. Asiantuntijalausuntojen ryhmittelyssä on käytetty apuna Jorma Hakalan kansainväliseen vertailuun perustuvaa, yksityisen turvallisuusalan säätelyn perustelujen jaottelua. Aineiston esittelyn, ryhmittelyn, tarkastelun ja havaintojen pohtimisen tuloksena työn keskeisimmät väitteet ovat seuraavat: 1) Lain valmistelu oli kaikkiaan kymmenen vuotta kestänyt prosessi, ja suhtautuminen yksityisen turvallisuusalan säätelyn kiristämiseen jakoi alan yrityksiä. Pienet yritykset ja maaseudulla toimivat yritykset vastustivat lakiehdotusta. Suurimmat toimijat ajoivat mahdollisimman tiukkaa säätelyä. Säätelyn kiristämisellä on merkittävä vaikutus alan kilpailutilanteeseen. 2) Asiantuntijalausuntojen antajat perustelevat mitä erinäisimpiä, jopa keskenään ristiriitaisia näkemyksiä yleisellä edulla. Lausuntoja voikin tarkastella kilpailutilanteena, jossa eri yleisen edun määritelmät kamppailevat käsitteen sisällöstä. 3) Yleinen etu - yksityinen etu vastakkainasettelu purkautuu lain voimaan astuessa lisääntyvänä julkisen ja yksityisen turvallisuussektorin yhteistyönä. 4) Laki on eräänlainen vedenjakaja, joka ilmentää turvallisuuden tuottamisen muutosta Suomessa. Lain myötä yksityinen turvallisuusala siirtyi osin asetuspohjaisesta säätelystä lakiperusteisen, systemaattisemman viranomaisvalvonnan alle. Laki havainnollistaa yksityisen turvallisuusalan kasvanutta yhteiskunnallista merkitystä ja Suomessa tapahtuvaa kehitystä kohti moninapaista turvallisuuden tuottamista, jossa yksityinen sektori on poliisin kumppani, ei nuorempi apulainen. Yksityinen turvallisuusala on huomattavan vanha palveluliiketoiminnan muoto. Yksityistä turvallisuusalaa määrittävän lainsäädännön kehittymiseen Suomessa on vaikuttanut muun muassa turvallisuusalan nopea kasvu ja palveluiden siirtyminen yksityisistä tiloista julkisiin tiloihin. Kehitys kohti moninapaista turvallisuuden tuottamista pakottaa määrittämään yksityisen turvallisuusalan aseman suhteessa julkiseen valtaan ja kansalaisten perusoikeuksiin.