924 resultados para Jay, Martin: Songs of experience


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Each volume has individual title-page.

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"Bibliography of Texas legends": No. 3, p.[255]-260.

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Mode of access: Internet.

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Sports venues are in a position to potentially influence the safety practices of their patrons. This study examined the knowledge, beliefs and attitudes of venue operators that could influence the use of protective eyewear by squash players. A 50% random sample of all private and public squash venues affiliated with the Victorian Squash Federation in metropolitan Melbourne was selected. Face-to-face interviews were conducted with 15 squash venue operators during August 2001. Interviews were transcribed and content and thematic analyses were performed. The content of the interviews covered five topics: (1) overall injury risk perception, (2) eye injury occurrence, (3) knowledge, behaviors, attitudes and beliefs associated with protective eyewear, (4) compulsory protective eyewear and (5) availability of protective eyewear at venues. Venue operators were mainly concerned with the severe nature of eye injuries, rather than the relatively low incidence of these injuries. Some venue operators believed that players should wear any eyewear, rather than none at all, and believed that more players should use protective eyewear. Generally, they did not believe that players with higher levels of experience and expertise needed to wear protective eyewear when playing. Only six venues had at least one type of eyewear available for players to hire or borrow or to purchase. Operators expressed a desire to be informed about correct protective eyewear. Appropriate protective eyewear is not readily available at squash venues. Better-informed venue operators may be more likely to provide suitable protective eyewear.

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Objective: For both paediatricians and child psychiatrists, referrals to assess possible autistic spectrum disorders (ASD) are increasing. This study examines current practices of medical specialists in the assessment of these disorders. Methods: An anonymous, self-report questionnaire was sent to all Queensland paediatricians and child psychiatrists. The survey elicited frequencies of consultation for ASD, diagnostic method, advice provided and perceived adequacy of training for this work. Results: Responses were received from 79 (85%) eligible paediatricians and 26 (58%) eligible child psychiatrists. For one-third of all clinicians, new consultations for possible ASD occurred as often as 2-3 times per week. Most specialists approached the clinical diagnosis of ASD by considering history from different sources and professional assessments. Paediatricians (86%) were more likely than child psychiatrists (62%) to request genetic studies for children with severe autism (P = 0.01). Both general paediatricians and developmental paediatricians perceived level of training for possible ASD consultations was significantly worse than child psychiatrists (P < 0.001 and P = 0.02, respectively), but no difference was found between paediatric groups (P = 0.27). Perceived adequacy of specialist training was not associated with length of experience in clinical practice. Conclusion: Medical practice in Queensland around diagnosis of ASD is characterized by considerable variability. There is still a long way to go if we are to achieve consistency around medical issues of organic diagnosis and practices impacting on health as well as consideration of differential developmental diagnoses. The finding that recently trained paediatricians felt just as unprepared for this work as their older colleagues suggests that the graduate training response to this 'new morbidity' has not been adequate.

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Purpose/Objectives: To evaluate the impact of a cancer nursing education course on RNs. Design: Quasi-experimental, longitudinal, pretest/post-test design, with a follow-up assessment six weeks after the completion of the nursing education course. Setting: Urban, nongovernment, cancer control agency in Australia. Sample: 53 RNs, of whom 93% were female, with a mean age of 44.6 years and a mean of 16.8 years of experience in nursing; 86% of the nurses resided and worked in regional areas outside of the state capital. Methods: Scales included the Intervention With Psychosocial Needs: Perceived Importance and Skill Level Scale, Palliative Care Quiz for Nurses, Breast Cancer Knowledge, Preparedness for Cancer Nursing, and Satisfaction With Learning. Data were analyzed using multiple analysis of variance and paired t tests. Main Research Variables: Cancer nursing-related knowledge, preparedness for cancer nursing, and attitudes toward and perceived skills in the psychosocial care of patients with cancer and their families. Findings: Compared to nurses in the control group, nurses who attended the nursing education course improved in their cancer nursing-related knowledge, preparedness for cancer nursing, and attitudes toward and perceived skills in the psychosocial care of patients with cancer and their families. Improvements were evident at course completion and were maintained at the six-week follow-up assessment. Conclusions: The nursing education course was effective in improving nurses' scores on all outcome variables. Implications for Nursing: Continuing nursing education courses that use intensive mode timetabling, small group learning, and a mix of teaching methods, including didactic and interactive approaches and clinical placements, are effective and have the potential to improve nursing practice in oncology.

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Academia Sinica is the leading research institute in Taiwan founded in 1928. Its Office of Technology Transfer (OTT) was established in 1998. It made great efforts to dramatically turn around the technology transfer activity of Academia Sinica, especially in biotechnology. Academia Sinica has more than 80 cases of experience in biotechnology transfer with companies in Taiwanese industry in the past five years. The purpose of this study is to identify potential success and failure factors for biotechnology transfer in Taiwan. Eight cases were studied through in-depth interview. The results of the analysis were used to design two surveys to further investigate 81 cases (48 successful and 33 failure cases) of biotechnology transfer in Academia Sinica from 1999–2003. The results indicated that 10 of the 14 success factors were cited in more than 40% of the cases as contributing to the success of technology transfer. By contrast, only 5 out of 16 key factors were present in more than 30% of the failure cases.

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There has been a marked increase in the number of government-funded, high performance institutes and academies of sport within Australia. Given that these organisations employ significant numbers of full-time performance sport coaches, they may be accurately characterised as workplaces. Performance sport coaches have underscored the importance of experience in developing their coaching skill. However, despite wide acceptance of the view that learning occurs everywhere but to different extents and with different efficiency, and the acknowledgement of current national coach education programs as insufficient, no sport coaching research has focused specifically on sport workplaces as sites for learning. This paper will review the current nature of coach development with a view to examining the interaction between what the workplace (institute/academy) affords the individual and the personal agency of the individual (high performance sports coaches).

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Knowledge of the plan competes with self-consciousness of experience. The less we are able to understand our spatio-visual experience by the abstract coordinates of the plan, the more we are thrust back into a lived experience of the building in duration. This formula, frequently unacknowledged, has been one of the main precepts of the experientialist modernism which arises out of the picturesque and which stands in critique of classical idealism. One of the paths to critique this formula is by showing that the attention to the experience of the spaces in duration is predicated on obscuring, complicating and weakening the apprehension of the plan as a figure. Another development in the practice of modern planning has been architects using a kind of over-drawing where human circulation diagrams or 'movement lines' are drawn expressively across the orthographic plane; thus representing the lived experience of buildings. We will show that these two issues are linked; the plan's weak figure and the privilege this supposes for durational experience has a corollary - experience itself demands to be visible in the plan, and this is one origin of the present fascination with 'diagramming'. In this paper we explore the practice of architectural planning and its theoretical underpinnings in an attempt to show the viability of a history of architectural planning methods.

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Esta dissertação tem por objeto analisar os textos do livro do Apocalipse capítulos 4 e 5. As fontes de pesquisa pertencem às tradições do Misticismo Judaico. Esta linha, hoje ecoa em estudos do misticismo apocalíptico e do êxtase visionário relativo ao contexto do judaísmo e cristianismo primitivos, em autores tais como: Christopher Rowland, Alan Segal, C. R. A. Morray-Jones e John Ashton, John Collins, Adella Collins, Jonas Machado, Paulo A. S. Nogueira, Carol Newsom, David E. Aune, Philip Alexander, Crispin H.T. Fletcher-Louis, Florentino García Martínez dentre outros; sendo que, estes autores se alinham aos resultados das pesquisas iniciais de Gershom Scholem sobre o Misticismo Judaico, e aos desenvolvimentos mais recentes neste âmbito. Nogueira1 menciona que foi Scholem quem realmente usou este misticismo para produzir a chave das histórias de ascensão celestial presentes nos apocalipses dos últimos dois séculos a.C. e dos primeiros dois séculos d.C. Foi Scholem, na verdade, quem iniciou a discussão acadêmica dos místicos judaicos em seu livro Major Trends in Jewish Myticism - Principais Tendências no Misticismo Judaico em 1941. Corroborando com a tradição destes estudos se encontram as descobertas dos manuscritos de Qumran, como a dos Cânticos do Sacrifício Sabático, uma composição de treze cânticos, também chamada de liturgia angélica, e que tem contribuído para o desenvolvimento das pesquisas, bem como sustentado os argumentos de Scholem. Dentre os manuscritos de Qumran há um fragmento de hinos denominado 4Q405, que trouxe ao conhecimento a terminologia Merkaváh, em que anjos louvam a imagem do Trono da Carruagem citado no primeiro capítulo do livro de Ezequiel. Identificou-se nestes o sincretismo da comunidade de Qumran acerca do canto dos anjos com outras ideias sobre os deveres dos mesmos, sendo uma característica comum às tradições da Ma asseh Merkaváh - (Trabalhos do Divino Trono/Carruagem). 1 NOGUEIRA, Sebastiana M. Silva. 2 Coríntios 12 e o Misticismo Judaico (Os Quatro que Entraram no Pardes). Oracula, 2012 p.04. Assim, a pesquisa segue os pressupostos de Rowland2, de que os textos do Apocalipse 4 e 5 possuem em sua narrativa uma semelhança básica com a liturgia descrita nas tradições do misticismo apocalíptico do judaísmo no I século, bem como em textos de Qumran, principalmente no fragmento 4Q405. Conforme Nogueira3 Ezequiel capítulo 1 é considerado chave desta tradição mística do judaísmo, sendo, também um elemento central do Apocalipse de João, o principal visionário do cristianismo. Assim, a pesquisa inclui a aproximação dos textos considerados fundantes, sendo: (Isaías 6; Ezequiel 1; Daniel 7; I Enoque 14), junto aos textos de Qumran, como o complexo dos 13 Cânticos Sábaticos relacionados ao culto no santuário celestial. A apocalíptica pode ser assim compreendida como um tipo de literatura mística, cujas imagens se conjecturam nos escritos que, por meio da ascensão do visionário aos céus e a contemplação do trono de Deus, descortinam uma determinada tradição do judaísmo antigo. Desta forma podemos também interpretar os capítulos 4 e 5 do Apocalipse como texto místico, de conteúdos similares aos dos textos apocalípticos judaicos, e talvez até com um tipo de experiência religiosa análoga.

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Esta dissertação tem por objeto analisar os textos do livro do Apocalipse capítulos 4 e 5. As fontes de pesquisa pertencem às tradições do Misticismo Judaico. Esta linha, hoje ecoa em estudos do misticismo apocalíptico e do êxtase visionário relativo ao contexto do judaísmo e cristianismo primitivos, em autores tais como: Christopher Rowland, Alan Segal, C. R. A. Morray-Jones e John Ashton, John Collins, Adella Collins, Jonas Machado, Paulo A. S. Nogueira, Carol Newsom, David E. Aune, Philip Alexander, Crispin H.T. Fletcher-Louis, Florentino García Martínez dentre outros; sendo que, estes autores se alinham aos resultados das pesquisas iniciais de Gershom Scholem sobre o Misticismo Judaico, e aos desenvolvimentos mais recentes neste âmbito. Nogueira1 menciona que foi Scholem quem realmente usou este misticismo para produzir a chave das histórias de ascensão celestial presentes nos apocalipses dos últimos dois séculos a.C. e dos primeiros dois séculos d.C. Foi Scholem, na verdade, quem iniciou a discussão acadêmica dos místicos judaicos em seu livro Major Trends in Jewish Myticism - Principais Tendências no Misticismo Judaico em 1941. Corroborando com a tradição destes estudos se encontram as descobertas dos manuscritos de Qumran, como a dos Cânticos do Sacrifício Sabático, uma composição de treze cânticos, também chamada de liturgia angélica, e que tem contribuído para o desenvolvimento das pesquisas, bem como sustentado os argumentos de Scholem. Dentre os manuscritos de Qumran há um fragmento de hinos denominado 4Q405, que trouxe ao conhecimento a terminologia Merkaváh, em que anjos louvam a imagem do Trono da Carruagem citado no primeiro capítulo do livro de Ezequiel. Identificou-se nestes o sincretismo da comunidade de Qumran acerca do canto dos anjos com outras ideias sobre os deveres dos mesmos, sendo uma característica comum às tradições da Maasseh Merkaváh Trabalhos do Divino Trono/CarruagemAssim, a pesquisa segue os pressupostos de Rowland2, de que os textos do Apocalipse 4 e 5 possuem em sua narrativa uma semelhança básica com a liturgia descrita nas tradições do misticismo apocalíptico do judaísmo no I século, bem como em textos de Qumran, principalmente no fragmento 4Q405. Conforme Nogueira3 Ezequiel capítulo 1 é considerado chave desta tradição mística do judaísmo, sendo, também um elemento central do Apocalipse de João, o principal visionário do cristianismo. Assim, a pesquisa inclui a aproximação dos textos considerados fundantes, sendo: (Isaías 6; Ezequiel 1; Daniel 7; I Enoque 14), junto aos textos de Qumran, como o complexo dos 13 Cânticos Sábaticos relacionados ao culto no santuário celestial. A apocalíptica pode ser assim compreendida como um tipo de literatura mística, cujas imagens se conjecturam nos escritos que, por meio da ascensão do visionário aos céus e a contemplação do trono de Deus, descortinam uma determinada tradição do judaísmo antigo. Desta forma podemos também interpretar os capítulos 4 e 5 do Apocalipse como texto místico, de conteúdos similares aos dos textos apocalípticos judaicos, e talvez até com um tipo de experiência religiosa análoga.

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In 1992, in a historic move, the Church of England voted to allow women's ordination to priesthood and in 1994 the first women priests started to be ordained. Despite much research interest, the experiences of priests who are mothers to dependent children have been minimally investigated. Based on in-depth interviews with seventeen mothers ordained in the Church, this paper will focus on how the sacred-profane boundary is managed. Priests who are mothers have a particular insight into the Church hierarchy as they symbolically straddle the competing discourses of sacred and profane. However, instead of reifying these binaries, the experiences of these women show how such dualisms are challenged and managed in everyday life. Indeed, in terms of experience, ritual, ministry and preaching, priests who are mothers are resisting, recasting and renegotiating sacred terrain in subtle and nuanced ways. Mothers thus not only negotiate the practical and sacramental demands placed on priests, but also illuminate how the sacred domain is regulated and constructed.

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This work is undertaken in the attempt to understand the processes at work at the cutting edge of the twist drill. Extensive drill life testing performed by the University has reinforced a survey of previously published information. This work demonstrated that there are two specific aspects of drilling which have not previously been explained comprehensively. The first concerns the interrelating of process data between differing drilling situations, There is no method currently available which allows the cutting geometry of drilling to be defined numerically so that such comparisons, where made, are purely subjective. Section one examines this problem by taking as an example a 4.5mm drill suitable for use with aluminium. This drill is examined using a prototype solid modelling program to explore how the required numerical information may be generated. The second aspect is the analysis of drill stiffness. What aspects of drill stiffness provide the very great difference in performance between short flute length, medium flute length and long flute length drills? These differences exist between drills of identical point geometry and the practical superiority of short drills has been known to shop floor drilling operatives since drilling was first introduced. This problem has been dismissed repeatedly as over complicated but section two provides a first approximation and shows that at least for smaller drills of 4. 5mm the effects are highly significant. Once the cutting action of the twist drill is defined geometrically there is a huge body of machinability data that becomes applicable to the drilling process. Work remains to interpret the very high inclination angles of the drill cutting process in terms of cutting forces and tool wear but aspects of drill design may already be looked at in new ways with the prospect of a more analytical approach rather than the present mix of experience and trial and error. Other problems are specific to the twist drill, such as the behaviour of the chips in the flute. It is now possible to predict the initial direction of chip flow leaving the drill cutting edge. For the future the parameters of further chip behaviour may also be explored within this geometric model.

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A detailed literature survey confirmed cold roll-forming to be a complex and little understood process. In spite of its growing value, the process remains largely un-automated with few principles used in set-up of the rolling mill. This work concentrates on experimental investigations of operating conditions in order to gain a scientific understanding of the process. The operating conditions are; inter-pass distance, roll load, roll speed, horizontal roll alignment. Fifty tests have been carried out under varied operating conditions, measuring section quality and longitudinal straining to give a picture of bending. A channel section was chosen for its simplicity and compatibility with previous work. Quality measurements were measured in terms of vertical bow, twist and cross-sectional geometric accuracy, and a complete method of classifying quality has been devised. The longitudinal strain profile was recorded, by the use of strain gauges attached to the strip surface at five locations. Parameter control is shown to be important in allowing consistency in section quality. At present rolling mills are constructed with large tolerances on operating conditions. By reduction of the variability in parameters, section consistency is maintained and mill down-time is reduced. Roll load, alignment and differential roll speed are all shown to affect quality, and can be used to control quality. Set-up time is reduced by improving the design of the mill so that parameter values can be measured and set, without the need for judgment by eye. Values of parameters can be guided by models of the process, although elements of experience are still unavoidable. Despite increased parameter control, section quality is variable, if only due to variability in strip material properties. Parameters must therefore be changed during rolling. Ideally this can take place by closed-loop feedback control. Future work lies in overcoming the problems connected with this control.

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The work described in this thesis is directed towards the reduction of noise levels in the Hoover Turbopower upright vacuum cleaner. The experimental work embodies a study of such factors as the application of noise source identification techniques, investigation of the noise generating principles for each major source and evaluation of the noise reducing treatments. It was found that the design of the vacuum cleaner had not been optimised from the standpoint of noise emission. Important factors such as noise `windows', isolation of vibration at the source, panel rattle, resonances and critical speeds had not been considered. Therefore, a number of experimentally validated treatments are proposed. Their noise reduction benefit together with material and tooling costs are presented. The solutions to the noise problems were evaluated on a standard Turbopower and the sound power level of the cleaner was reduced from 87.5 dB(A) to 80.4 db(A) at a cost of 93.6 pence per cleaner.The designers' lack of experience in noise reduction was identified as one of the factors for the low priority given to noise during design of the cleaner. Consequently, the fundamentals of acoustics, principles of noise prediction and absorption and guidelines for good acoustical design were collated into a Handbook and circulated at Hoover plc.Mechanical variations during production of the motor and the cleaner were found to be important. These caused a vast spread in the noise levels of the cleaners. Subsequently, the manufacturing processes were briefly studied to identify their source and recommendations for improvement are made.Noise of a product is quality related and a high level of noise is considered to be a bad feature. This project suggested that the noise level be used constructively both as a test on the production line to identify cleaners above a certain noise level and also to promote the product by `designing' the characteristics of the sound so that the appliance is pleasant to the user. This project showed that good noise control principles should be implemented early in the design stage.As yet there are no mandatory noise limits or noise-labelling requirements for household appliances. However, the literature suggests that noise-labelling is likely in the near future and the requirement will be to display the A-weighted sound power level. However, the `noys' scale of perceived noisiness was found more appropriate to the rating of appliance noise both as it is linear and therefore, a sound level that seems twice as loud is twice the value in noys and also takes into consideration the presence of pure tones, which even in the absence of a high noise level can lead to annoyance.