979 resultados para Emergency protective measures


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Despite numerous discussions, workshops, reviews and reports about responsible development of nanotechnology, information describing health and environmental risk of engineered nanoparticles or nanomaterials is severely lacking and thus insufficient for completing rigorous risk assessment on their use. However, since preliminary scientific evaluations indicate that there are reasonable suspicions that activities involving nanomaterials might have damaging effects on human health; the precautionary principle must be applied. Public and private institutions as well as industries have the duty to adopt preventive and protective measures proportionate to the risk intensity and the desired level of protection. In this work, we present a practical, 'user-friendly' procedure for a university-wide safety and health management of nanomaterials, developed as a multi-stakeholder effort (government, accident insurance, researchers and experts for occupational safety and health). The process starts using a schematic decision tree that allows classifying the nano laboratory into three hazard classes similar to a control banding approach (from Nano 3 - highest hazard to Nano1 - lowest hazard). Classifying laboratories into risk classes would require considering actual or potential exposure to the nanomaterial as well as statistical data on health effects of exposure. Due to the fact that these data (as well as exposure limits for each individual material) are not available, risk classes could not be determined. For each hazard level we then provide a list of required risk mitigation measures (technical, organizational and personal). The target 'users' of this safety and health methodology are researchers and safety officers. They can rapidly access the precautionary hazard class of their activities and the corresponding adequate safety and health measures. We succeed in convincing scientist dealing with nano-activities that adequate safety measures and management are promoting innovation and discoveries by ensuring them a safe environment even in the case of very novel products. The proposed measures are not considered as constraints but as a support to their research. This methodology is being implemented at the Ecole Polytechnique de Lausanne in over 100 research labs dealing with nanomaterials. It is our opinion that it would be useful to other research and academia institutions as well. [Authors]

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Lay perceptions of collectives (e.g., groups, organizations, countries) implicated in the 2009 H1N1 outbreak were studied. Collectives serve symbolic functions to help laypersons make sense of the uncertainty involved in a disease outbreak. We argue that lay representations are dramatized, featuring characters like heroes, villains and victims. In interviews conducted soon after the outbreak, 47 Swiss respondents discussed the risk posed by H1N1, its origins and effects, and protective measures. Countries were the most frequent collectives mentioned. Poor, underdeveloped countries were depicted as victims, albeit ambivalently, as they were viewed as partly responsible for their own plight. Experts (physicians, researchers) and political and health authorities were depicted as heroes. Two villains emerged: the media (viewed as fear mongering or as a puppet serving powerful interests) and private corporations (e.g., the pharmaceutical industry). Laypersons' framing of disease threat diverges substantially from official perspectives.

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Because increasing evidence point to the convergence of environmental and genetic risk factors to drive redox dysregulation in schizophrenia, we aim to clarify whether the metabolic anomalies associated with early psychosis reflect an adaptation to oxidative stress. Metabolomic profiling was performed to characterize the response to oxidative stress in fibroblasts from control individuals (n = 20) and early psychosis patients (n = 30), and in all, 282 metabolites were identified. In addition to the expected redox/antioxidant response, oxidative stress induced a decrease of lysolipid levels in fibroblasts from healthy controls that were largely muted in fibroblasts from patients. Most notably, fibroblasts from patients showed disrupted extracellular matrix- and arginine-related metabolism after oxidative stress, indicating impairments beyond the redox system. Plasma membrane and extracellular matrix, 2 regulators of neuronal activity and plasticity, appeared as particularly susceptible to oxidative stress and thus provide novel mechanistic insights for pathophysiological understanding of early stages of psychosis. Statistically, antipsychotic medication at the time of biopsy was not accounting for these anomalies in the metabolism of patients' fibroblasts, indicating that they might be intrinsic to the disease. Although these results are preliminary and should be confirmed in a larger group of patients, they nevertheless indicate that the metabolic signature of reactivity to oxidative stress may provide reliable early markers of psychosis. Developing protective measures aimed at normalizing the disrupted pathways should prevent the pathological consequences of environmental stressors.

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Turvatekniikan keskuksella (TUKES) on valvottavanaan noin 1 000 teollisuuslaitosta, joissa on räjähdysvaarallisia tiloja. Olosuhdedirektiivin (1999/92/EY) mukainen kansal-linen asetus (VNa 576/2003) tuli voimaan 1.9.2003. Asetus koskee uusia räjähdysvaa-rallisia tiloja välittömästi, kun taas käytössä olevat tilat on saatettava sen mukaisiksi 30.6.2006 mennessä. Asetus edellyttää, että työnantaja laatii räjähdysvaarallisille tiloille räjähdyssuojausasiakirjan ja arvioi kirjallisesti näissä tiloissa käytettävien, ilman Ex-merkkiä olevien työvälineiden riskin. Räjähdyssuojausasiakirjan ja kirjallisena tehdyn riskin arvioinnin eräs keskeinen tarkoitus on varmistaa mahdollisten syttymislähteiden laaja-alainen hallinta ja pienentää onnettomuusriskiä. Tässä diplomityössä selvitetään, mitä riskin arvioinnin täytyy sisältää ja etsitään tehokas menetelmä arvioinnin tekoon. Kolmelta yritykseltä saatiin tutkittavaksi niiden alalle tyypillinen muu kuin sähkölaite, jota käytetään räjähdysvaarallisessa tilassa. Laitteiden tuli olla Ex-merkittömiä ja olla ollut käytössä ennen asetuksen voimaan tuloa. Laitteiden ja niiden dokumenttien tutkimisella testattiin eri menetelmien soveltuvuutta riskin arviointiin. Samalla selvitettiin jo käytössä olevien laitteiden turvallisuustaso. Jokaisen pilottitapauksen kohdalla on arvioinnissa menetelty eri tavoin. Työssä esitellään keskeisimmät menetelmät, joilla riskin arviointi voidaan tehdä. Suosi-tuksena esitellään ratkaisumalli, jonka avulla voidaan päätellä laitteen tarvitsema riskinarviointimenetelmä. Pilottitapauksia arvioitiin laitteiden sijoituksen ja lukumäärän pohjalta. Suosituksena on, että riskin arvioinnissa lähdetään liikkeelle itse laitteesta ja sen soveltuvuudesta räjähdysvaaralliseen tilaan. Tällä tavalla pystytään kohdistamaan käytössä olevat resurssit paremmin niihin laitteisiin, jotka vaativat tarkemman riskin arvioinnin. Pilottitapausten perusteella räjähdysvaaralliseen tilaan tarkoitetut laitteet soveltuivat käytettäväksi tarkoitetussa käytössään. Räjähdyssuojausasiakirjaa varten on dokumentoitava tiedot niiden käytöstä, mahdollisista syttymislähteistä ja suojaavista toimenpiteistä.

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Tutkielmassa tarkastellaan osakkeenomistajien suojaamiskeinoja Suomessa ja Delawaressa. Oikeusvertailevaa metodia sovelletaan kolmella tasolla: lakien ja määräysten osalta, menettelyn osalta sekä suojaamiskeinojen osalta. Osakkeenomistajien katsotaan tarvitsevan suojaa vähemmistöosakkeiden hankinnan yhteydessä, sillä siinä osakkeiden vapaan vaihdettavuuden perusperiaate ja pakkolunastaminen kohtaavat. Suojaamiskeinot on jaettu etukäteisiin, menettelya koskeviin sekä hinnanmäärittelyyn liittyviin keinoihin. Etukäteisiin keinoihin voidaan laskea johdon vastuu, joka koostuu huolellisuus- ja lojaliteettivelvoitteista, ja yhtiöjärjestysmääräykset. Delawaressa johdon vastuu on määritelty Suomea tarkemmin. Yhtiöjärjestysmääräykset ovat ongelmallisia Suomessa, sillä ne saattavat olla arvopaperimarkkinalain vastaisia. Delawaressa niiden käyttö on runsasta. Menettelyyn liittyviaä suojakeinoja löytyi useita. Vähemmistönsuojaperiaatetta toteutetaan Suomessa yhdenvertaisuusperiaatetta noudattamalla sekä määräämällä lunastusoikeudesta tai -velvollisuudesta. Delawaressa vähemmistöllä on oikeus saada erityistuomioistuin Court of Chanceryn arviointi menettelyn oikeellisuudesta. Menettelyn oikeellisuutta pyritään kummassakin tutkimuskohteessa suojaamaan myös tiedonantovelvollisuudella. Lisäksi Delawaressa johdon on asetettava aina erikoiskomitea neuvottelemaan ostajan kanssa. Hinnanmäärittelyn osalta suojaa antavat käyvän hinnan vaatimus, sekä Suomessa taloudellisen yhdenvertaisuuden periaate ja Delawaressa vähemmistön oikeus saada Court of Chanceryn arviointi oikeasta hinnasta.

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Occupational exposures to fungi are very frequent and are known to cause chronic or acute symptoms. To better assess health risks related to fungal exposure, it is crucial to characterize precisely the airborne fungal community in terms of quantity and composition. The objective of this chapter is to synthesize existing knowledge of airborne fungal contamination in various occupational settings. We analyzed 134 papers published between 2000 and 2014 focusing on five different work sectors considered as highly contaminated (i.e., more than 1000 fungal particles/m3): animal confinement buildings, sawmills, waste handling, the food industry, and grain/plant handling. Results show that harvesting grain, washing cheese, and handling salami seem to be the occupational situations with the worst potential for exposure. Moreover, a lack of standardized sampling and analysis methods among countries and even within the same country is highlighted. Occupational exposure limit values do not exist. Recommendations and guidelines based on culture-dependent methods, which are now recognized to underestimate true concentrations, are proposed. Those recommendations are frequently exceeded and protective measures are not always easy to implement.

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Within the framework of state security policy, the focus of this dissertation are the relations between how new security threats are perceived and the policy planning and bureaucratic implementation that are designed to address them. In addition, this thesis explores and studies some of the inertias that might exist in the core of the state apparatus as it addresses new threats and how these could be better managed. The dissertation is built on five thematic and interrelated articles highlighting different aspects of when new significant national security threats are detected by different governments until the threats on the policy planning side translate into protective measures within the society. The timeline differs widely between different countries and some key aspects of this process are also studied. One focus concerns mechanisms for adaptability within the Intelligence Community, another on the policy planning process within the Cabinet Offices/National Security Councils and the third focus is on the planning process and how policy is implemented within the bureaucracy. The issue of policy transfer is also analysed, revealing that there is some imitation of innovation within governmental structures and policies, for example within the field of cyber defence. The main findings of the dissertation are that this context has built-in inertias and bureaucratic seams found in most government bureaucratic machineries. As much of the information and planning measures imply security classification of the transparency and internal debate on these issues, alternative assessments become limited. To remedy this situation, the thesis recommends ways to improve the decision-making system in order to streamline the processes involved in making these decisions. Another special focus of the thesis concerns the role of the public policy think tanks in the United States as an instrument of change in the country’s national security decision-making environment, which is viewed from the perspective as being a possible source of new ideas and innovation. The findings in this part are based on unique interviews data on how think tanks become successful and influence the policy debate in a country such as the United States. It appears clearly that in countries such as the United States think tanks smooth the decision making processes, and that this model with some adaptations also might be transferrable to other democratic countries.

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"Thèse présentée à la Faculté des études supérieures en vue de l'obtention du grade de Docteur en droit (LL.D.)"

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Suite à l’essor des marchés financiers en ligne tant à l’intérieur de l’Union Européenne qu’en Amérique du Nord, les législateurs communautaires ont pris différentes mesures visant à exercer un certain contrôle sur le flux financier découlant de cet essor. Afin de mieux situer le lecteur dans cet amalgame de textes juridiques, l’auteur de cet article dresse un portrait exhaustif des différentes lois, directives et conventions applicables aux services financiers en ligne. Le domaine des services financiers n’échappant pas à l’aspect international du réseau Internet, la problématique de l’assujettissement de sites nord-américains au droit communautaire demeure d’un grand intérêt. Comme le souligne l’auteur, malgré le fait que certains joueurs ne devrait pas, à première vue être soumis au droit communautaire, les autorités de l’Union Européennes justifient leur occupation de la compétence par rapport aux activités financières en ligne en raison de leur intérêt pour la réalisation du marché unique. En partant de ce constat, l’auteur aborde exhaustivement les différents textes juridiques de droit européen pouvant accorder un recours quelconque au consommateur désirant obtenir des services financiers en ligne, peu importe l’origine géographique du site, notamment la très récente Directive 2002/65/CE du Parlement européen et du Conseil du 23 septembre 2002 concernant la commercialisation à distance de services financiers auprès des consommateurs, et modifiant les directives 90/619/CEE du Conseil, 97/7/CE et 98/27/CE. Ce nouveau texte prévoit, entre autres, que les protections accordées au consommateurs ne peuvent êtres outrepassées même lorsque la loi applicable au contrat est celle d’un pays tiers à condition que ledit consommateur soit résident d’un État membre de la Communauté et que le contrat ait des liens de rattachement proches avec la Communauté.

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Ce travail se situe dans la perspective des études sur la protection des savoirs traditionnels contre la biopiraterie commise par quelques industries pharmaceutiques et cosmétiques. Malgré le débat qui s’est déroulé à ce sujet après la signature de la Convention sur la diversité biologique, ces patrimoines culturels continuent d’être largement menacés. L’étude se propose d’analyser les mécanismes capables de protéger contre la biopiraterie les savoirs traditionnels associés à la biodiversité qui intéressent l’industrie pharmaceutique, et ce, par le biais des droits de propriété intellectuelle existants aussi bien à l’échelle internationale que dans le cadre des législations nationales. Ces mécanismes sont évalués quant à leur efficacité, en vue d’en identifier les plus intéressants, susceptibles d’être adoptés soit par des pays qui ne disposent pas encore de législation en matière de protection des savoirs traditionnels soit pour être utilisés dans le cadre international. Avec cet objectif, le présent travail dressera un panorama concernant la législation du Brésil, du Costa Rica et du Pérou. En outre, seront mises en exergue par la suite les différentes conventions en lien avec les savoirs traditionnels, à savoir la Convention sur la diversité biologique, le Protocole de Nagoya, le Comité intergouvernemental de la propriété intellectuelle relative aux ressources génétiques, aux savoirs traditionnels et au folklore de l’Organisation mondiale de la propriété intellectuelle. L’analyse menée a mis en lumière un certain nombre de dispositions assez efficaces pouvant être utilisées de façon optimale par des pays ne disposant pas de législation en matière de protection des savoirs traditionnels ou encore pouvant être intégrées dans des traités internationaux en la matière, afin de rendre lesdits traités plus efficaces sur le plan pratique. Bien plus, ladite analyse démontre que l’Accord sur les aspects des droits de propriété intellectuelle qui touchent au commerce est actuellement l’accord le plus coercitif et le plus contraignant lorsque l’on veut mener une lutte efficace contre la biopiraterie. Par ailleurs, en s’appuyant sur des fondements théoriques constructivistes, notre analyse essaye de démontrer que les pays du Sud, riches en biodiversité et en savoirs traditionnels, peuvent véritablement impulser un mouvement en faveur d’une législation internationale efficace en matière de protection des savoirs traditionnels

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The nearshore marine ecosystem is a dynamic environment impacted by many activities, especially the coastal waters and sediments contiguous to major urban areas. Although heavy metals are natural constituents of the marine environment, inputs are considered to be conservative pollutants and are potentially toxic, accumulate in the sediment, are bioconcentrated by organisms and may cause health problems to humans via the food chain. A variety of metals in trace amounts are essential for biological processes in all organisms, but excessive levels can be detrimental by acting as enzyme inhibitors. Discharge of industrial wastewater, agriculture runoff and untreated sewage pose a particularly serious threat to the coastal environment of Kerala, but there is a dearth of studies in documenting the contaminant metals. This study aimed principally to assess such contamination by examining the results of heavy metal (Cu, Pb, Cr, Ni, Zn, Cd and Hg) analysis in seawater, sediment and benthic biota from a survey of five transects along the central and northern coast of Kerala in 2008 covering a 10.0 km stretch of near shore environment in each transect. Trophic transfer of metal contaminants from aquatic invertebrates to its predators was also assessed, by employing a suitable benthic food chain model in order to understand which all metals are undergoing biotransference (transfer of metals from a food source to consumer).The study of present contamination levels will be useful for potential environmental remediation and ecosystem restoration at contaminated sites and provides a scientific basis for standards and protective measures for the coastal waters and sediments. The usefulness of biomonitor proposed in this study would allow identification of different bioavailable metals as well as provide an assessment of the magnitude of metal contamination in the coastal marine milieu. The increments in concentration of certain metals between the predator and prey discerned through benthic food chain can be interpreted as evidence of biotransference.

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Objetivo: Identificar las alteraciones espirométricas en trabajadores de las ladrilleras en el sur de Bogotá y sus condiciones sociodemográficas Metodologia: Se realizó un estudio descriptivo de tipo transversal, donde se evaluaron las condiciones demográficas de trabajadores de 17 ladrilleras de 33 que conforman LA ASOCIACIÓN NACIONAL DE FABRICANTES DE LADRILLOS Y MATERIALES DE CONSTRUCCIÓN (ANAFALCO) y el resultado de la espirometría en pacientes con exámenes médicos ocupacionales en el mes de agosto de 2013 realizados por la compañía ASODER CONSULTORES IPS en Bogotá Colombia. Los datos obtenidos son descritos mediante medidas de frecuencia relativas como porcentajes y se consideró el uso de tablas de contingencia para el cruce de variables. Resultados: Se encontro una población predominantemente masculina, cuya media de edad es de 41,6 años, con un nivel educativo dada por educación básica primaria incompleta y con prevalencia del estado civil de unión libre; el 91% de la población labora en el área operativa, con una antigüedad en la empresa prevalente entre 1 a 5 años con un 44%. El 31% de los trabajadores presento habito de consumo de cigarrillo, y el 35% reporto practicar algún ejercicio físico. En los resultados de la espirometria el 79% presento resultado normal, el 21% mostro espirometria anormal, con predominancia de patrón obstructivo leve (17%). Conclusiones: La alteración del patrón espirometrico predomina en trabajadores del área operativa, con edad mayor a 50 años, que llevan más de 10 años trabajando en la empresa. El habito de fumar no es un factor de riesgo directamente relacionado, pero la práctica de deporte si figura como factor protector. El patrón de alteración predominante fue el obstructivo leve, lo que sugiere la posibilidad de aplicar medidas de prevención y protección para minimizar la progresión hacia alteraciones de mayor severidad.

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Objetivo: Identificar las alteraciones espirométricas en trabajadores de las ladrilleras en el sur de Bogotá y sus condiciones sociodemográficas Metodología: Se realizó un estudio descriptivo de tipo transversal, donde se evaluaron las condiciones demográficas de trabajadores de 17 ladrilleras de 33 que conforman LA ASOCIACIÓN NACIONAL DE FABRICANTES DE LADRILLOS Y MATERIALES DE CONSTRUCCIÓN (ANAFALCO) y el resultado de la espirometría en pacientes con exámenes médicos ocupacionales en el mes de agosto de 2013 realizados por la compañía ASODER CONSULTORES IPS en Bogotá Colombia. Los datos obtenidos son descritos mediante medidas de frecuencia relativas como porcentajes y se consideró el uso de tablas de contingencia para el cruce de variables. Resultados: Se encontró una población predominantemente masculina, cuya media de edad es de 41,6 años, con un nivel educativo dada por educación básica primaria incompleta y con prevalencia del estado civil de unión libre; el 91% de la población labora en el área operativa, con una antigüedad en la empresa prevalente entre 1 a 5 años con un 44%. El 31% de los trabajadores presentó hábito de consumo de cigarrillo, y el 35% reporto practicar algún ejercicio físico. En los resultados de la espirometría el 79% presento resultado normal, el 21% mostró espirometría anormal, con predominancia de patrón obstructivo leve (17%). Conclusiones: La alteración del patrón espirométrico predomina en trabajadores del área operativa, con edad mayor a 50 años, que llevan más de 10 años trabajando en la empresa. El hábito de fumar no es un factor de riesgo directamente relacionado, pero la práctica de deporte si figura como factor protector. El patrón de alteración predominante fue el obstructivo leve, lo que sugiere la posibilidad de aplicar medidas de prevención y protección para minimizar la progresión hacia alteraciones de mayor severidad.

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Objetivo: considerando el elevado uso de plaguicidas en Colombia y los efectos nocivos que produce la exposición a estas sustancias para la salud humana y el ambiente, se realizó un estudio para la determinación de biomarcadores de exposición y efecto de plaguicidas en la población de Suesca que habita en la ribera del río Bogotá, de los niveles de plaguicidas en muestras de agua del río tomadas en el mismo municipio y en muestras de pez “Capitán de la sabana” (Eremophylus mutisii) capturado en dicha zona. Materiales y métodos: se realizaron determinaciones para organofosforados, carbamatos, ditiocarbamatos y organoclorados También se exploró, mediante una encuesta, la exposición ocupacional a plaguicidas y el conocimiento y utilización de medidas de protección personal en su actividad laboral. Adicionalmente, se examinó el hábito de la pesca de pez Capitán y su consumo en la dieta de los habitantes de esta zona del río. Resultados: los resultados muestran la presencia de plaguicidas organoclorados y organofosforados en el río y en el tejido de los peces y organoclorados y etilentiourea en las muestras biológicas humanas. En el estudio participaron trabajadores directamente expuestos a plaguicidas, quienes manipulan productos de alta toxicidad; en su mayoría conocen y emplean las medidas de protección personal e higiene industrial. Conclusiones: existe contaminación por plaguicidas en la cuenca alta del río Bogotá que afecta a la fauna y a las poblaciones ribereñas. Es necesario promover mejores medidas para el cuidado del ambiente, para la protección y para el autocuidado de las personas que manipulan plaguicidas en la zona.

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O calor, no ambiente onde o ser humano vive ou trabalha, atribui-se a: -fatores físicos: relação entre temperatura, radiação, umidade e movimento do ar; fatores humanos: o ser humano atua como fonte de energia através de seu metabolismo e atividade física. o calor caracterizado por um determinado meio ambiente é o resultado da atuação de diferentes variáveis, tais como: sistema de construção, situação geográfica do ambiente físico, climatização artificial, etc.; idade, sexo, capacidade física, estado de aclimatação, vestuário, tipo, carga e regime de trabalho, etc. A partir do momento em que o indivíduo for introduzido num determinado meio ambiente térmico, todos estes fatores vão influenciar a transmissão de calor entre ele e o ambiente. Na pretensão de haver equilíbrio térmico no meio ambiente quente, constata-se a necessidade de providenciar medidas de proteção a nível do sujeito e do ambiente, para que prevaleçam situações ambientais "confortáveis", ou pelo menos, "tolerantes". Desse modo, através da: definição das condições térmicas tolerantes e de conforto, parte-se para projetar meios ambientes de trabalho, que tornem praticáveis um isolamento térmico do calor exterior, assim como a perda de calor de dentro para fora. Atuando-se sobre variáveis individuais e ambientais estaremos incidindo diretamente sobre os meios de transmissão, procurando-se diminuir a quantidade de calor que o organismo produz e/ou recebe e aumentar a possibilidade de dissipá-lo.