81 resultados para asiakasohjautuva tuotanto


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The coagulation system of newborn infants differs markedly from that of older children and adults. The activities of most coagulation factors and anticoagulants are low, leading to altered regulation in the formation of the key enzyme, thrombin. Timely and adequate generation of thrombin is essential, as thrombin activates platelets and many coagulation factors, cleaves fibrinogen into fibrin and activates the antithrombotic and anti-inflammatory protein C pathway. On the other hand, excess thrombin may promote thrombotic complications and exacerbate harmful inflammatory reactions. Despite the characteristic features, the newborn coagulation system can be considered physiological, since healthy newborns rarely show haemorrhagic or thrombotic complications. Sick newborns, however, often encounter clinical situations that challenge their coagulation system. The aim of this study was to clarify the behaviour of the neonatal coagulation system in selected clinical situations, with a special emphasis on the generation of thrombin. Thrombin was measured by in vivo thrombin generation markers and by thrombin generation potential in vitro. The patient groups included sick newborns undergoing intensive care and receiving fresh-frozen plasma (FFP), requiring exchange transfusions (ET) or presenting with a congenital heart defect requiring open heart surgery. Additionally, healthy newborns with inherited heterozygous factor V Leiden (FVL) mutation were studied. Thrombin generation potential was also analysed in cord plasma of healthy infants and in adults. Healthy as well as sick newborn infants showed lower total thrombin generation potential in vitro but faster initiation of thrombin generation than adults. These findings were qualitatively similar when plasma was supplemented with platelets. Platelets, however, significantly altered the effect of the major anticoagulant, activated protein C (APC), on thrombin generation potential. In accordance with previous studies, thrombin generation in healthy newborn platelet-poor plasma was resistant to the anticoagulant effects of APC, but when the plasma was supplemented with platelets APC attenuated thrombin generation significantly more in newborns than in adults. In vivo generation of thrombin was elevated in nearly all of the sick newborn infants. The low-volume FFP transfusion as opposed to the change from neonatal to adult blood in ET exerted markedly different effects on neonatal thrombin generation. FFP reduced the in vivo generation of thrombin in those newborns with the highest pretransfusional thrombin generation, thus acting as an anticoagulant agent. In those infants with lower pretransfusional thrombin generation, the effect of FFP on thrombin generation was fairly neutral. On the other hand, the combination of red blood cells and FFP, used to perform ET, significantly increased the in vivo thrombin formation and shifted the balance in the newborn coagulation system to the procoagulant direction. Cardiopulmonary bypass (CPB) also significantly increased the in vivo thrombin generation, but the thrombin generation profile during CPB differed from that previously observed in adults. Escalation of thrombin at early reperfusion was not observed in newborns; in adults, its occurrence is associated with postoperative myocardial damage. Finally, in healthy newborns with FVL heterozygosity, faster initiation of thrombin generation was observed compared with controls. Interestingly, FV level was lower in FVL-heterozygous infants, possibly to counteract the procoagulant effects induced by FVL. In conclusion, unique features regarding thrombin regulation in newborn infants were observed. These features included a novel platelet effect on the regulation of the protein C pathway. The clinical challenges mainly seemed to shift the balance in the coagulation system of newborns to the procoagulant direction. Blood component transfusions markedly affected coagulation in a manner specific to the product but that could also be altered by the clinical situation. Overall, the results highlight the need for understanding developmental haemostasis for both diagnostic and therapeutic purposes.

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Liver transplantation is an established therapy for both acute and chronic liver failure. Despite excellent long-term outcome, graft dysfunction remains a problem affecting up to 15-30% of the recipients. The etiology of dysfunction is multifactorial, with ischemia-reperfusion injury regarded as one of the most important contributors. This thesis focuses on the inflammatory response during graft procurement and reperfusion in liver transplantation in adults. Activation of protein C was examined as a potential endogenous anti-inflammatory mechanism. The effects of inflammatory responses on graft function and outcome were investigated. Seventy adult patients undergoing liver transplantation in Helsinki University Central Hospital, and 50 multiorgan donors, were studied. Blood samples from the portal and the hepatic veins were drawn before graft procurement and at several time points during graft reperfusion to assess changes within the liver. Liver biopsies were taken before graft preservation and after reperfusion. Neutrophil and monocyte CD11b and L-selectin expression were analysed by flow cytometry. Plasma TNF-α, IL-6, IL-8, sICAM-1, and HMGB1 were determined by ELISA and Western-blotting. HMGB1 immunohistochemistry was performed on liver tissue specimens. Plasma protein C and activated protein C were determined by an enzyme-capture assay. Hepatic IL-8 release during graft procurement was associated with subsequent graft dysfunction, biliary in particular, in the recipient. Biliary marker levels increased only 5 7 days after transplantation. Thus, donor inflammatory response appears to influence recipient liver function with relatively long-lasting effects. Hepatic phagocyte activation and sequestration, with concomitant HMGB1 release, occurred during reperfusion. Neither phagocyte activation nor plasma cytokines correlated with postoperative graft function. Thus, activation of the inflammatory responses within the liver during reperfusion may be of minor clinical significance. However, HMGB1 was released from hepatocytes and were also correlated with postoperative transaminase levels. Accordingly, HMGB1 appears to be a marker of hepatocellular injury.

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Työntekijöiden henkilökohtaisia arvoja ja niiden yhteyksiä asenteisiin ei ole juuri tutkittu. Tämän tutkimuksen tavoitteena oli selvittää, onko suomalaisessa metalliteollisuuden yrityksen henkilöstön (N=1314) arvojen rakenne S. H. Schwartzin arvoteorian mukainen. Lisäksi tutkittiin arvojen yhteyksiä organisaatiomuutosta koskeviin asenteisiin ja tiedon jakamiseen työyhteisössä. Arvomittarina käytettiin uutta 40-osioista Portrait Value Questionnairea (PVQ). Mittarin validiteetti osoitettiin ver-taamalla nyt kerätyn aineiston arvorakennetta aikaisemmalla mittarilla kerättyihin arvoteorian mukaisiin yliopisto-opiskelijoiden vastauksiin. Organisaatiomuutosta koskevien asenteiden ja tiedonjakamisen mittarit luotiin laadullisissa esitutkimuksissa. Tilastolliset analyysit osoittivat, että toimihenkilöiden ja työntekijöiden arvojen rakenteet noudattivat pääosin Schwartzin teoriaa, mutta turvallisuusarvot sijaitsivat molemmissa ryhmissä universalismin ja hyväntahtoisuuden joukossa. Universalismi ja hyväntahtoisuus ennustivat myönteistä asennetta organisaatiomuutoksia kohtaan, mutta perinteiden ja mielihyvän arvostaminen liittyivät kielteisiin muutosasenteisiin. Sosiaalisia normeja kunnioittavien eli yhdenmukaisuutta arvostavien henkilöiden muut arvot vaikuttivat muutosasenteisiin vähemmän kuin niillä, joille yhdenmukaisuus ei ollut tärkeää. Lisäksi suoriutumisarvon yhteys muutosasenteisiin oli yhdenmukaisuutta arvostavilla henkilöillä positiivinen, mutta niillä, jotka eivät arvostaneet yhdenmukaisuutta, yhteys oli negatiivinen. Itseohjautuvuutta arvostavat henkilöt pitivät työyhteisönsä tiedon jakamista heikompana, kun taas hyväntahtoisuutta ja yhdenmukaisuutta arvostavat pitivät sitä muihin nähden parempana. Suoriutumisarvo oli yhteydessä tiedonjakamiseen vain silloin, kun yhdenmukaisuus oli tärkeää. Työpaikkojen (N=19) keskiarvoja vertailtaessa havaittiin, että ne työpaikat, joissa arvostettiin paljon universalismia, hyväntahtoisuutta ja yhdenmukaisuutta sekä vähän valtaa ja suoriutumista saivat henkilöstöltään parhaat arvioinnit tiedon jakamisesta. Tutkimukseen osallistuneet henkilöt jaettiin työtehtäviensä perusteella kolmeen ammatilliseen ympäristöön: konven-tionaaliseen (mm. taloushallinto), realistiseen (mm. tuotanto) ja yrittäjämäiseen (mm. myynti). Yrittäjämäisessä ammatillisessa ympäristössä toimivat arvostivat enemmän kuin konventionaalisessa ympäristössä toimivat valtaa, itseohjautuvuutta ja suoriutumista. Realistisessa ympäristössä arvostettiin enemmän perinteitä ja mielihyvää kuin yrittäjämäisessä ympäristössä. Ryhmien väliset erot arvoissa johtuivat koulutuksesta, iästä ja sukupuolijakaumasta.

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The use of human tissue sample collections has become an important tool in biomedical research. The collection, use and distribution of human tissue samples, which include blood and diagnostic tissue samples, from which DNA can be extracted and analyzed has also become a major bio-political preoccupation, not only in national contexts, but also at the transnational level. The foundation of medical research rests on the relationship between the doctor and the research subject. This relationship is a social one, in that it is based on informed consent, privacy and autonomy, where research subjects are made aware of what they are getting involved in and are then able to make an informed decision as to whether or not to participate. Within the post-genomic era, however, our understanding of what constitutes informed consent, privacy and autonomy is changing in relation to the needs of researchers, but also as a reflection of policy aspirations. This reflects a change in the power relations between the rights of the individual in relation to the interests of science and society. Using the notions of tissue economies and biovalue (Waldby, 2002) this research explores the changing relationship between sources and users of samples in biomedical research by examining the contexts under which human tissue samples and the information that is extracted from them are acquired, circulated and exchanged in Finland. The research examines how individual rights, particularly informed consent, are being configured in relation to the production of scientific knowledge in tissue economies in Finland from the 1990s to the present. The research examines the production of biovalue through the organization of scientific knowledge production by examining the policy context of knowledge production as well as three case studies (Tampere Research Tissue Bank, Hereditary Non-polyposis Colorectal Cancer and the Finnish Genome Information Center) in which tissues are acquired, circulated and exchanged in Finland. The research shows how interpretations of informed consent have become divergent and the elements and processes that have contributed to these differences. This inquiry shows how the relationship between the interests of individuals is re-configured in relation to the interests of science and society. It indicates how the boundary between interpretations of informed consent, on the one hand, and social and scientific interests, on the other, are being re-drawn and that this process is underscored, in part, by the economic, commercial and preventive potential that research using tissue samples are believed to produce. This can be said to fundamentally challenge the western notion that the rights of the individual are absolute and inalienable within biomedical legislation.

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The doctoral dissertation Critic Einari J. Vehmas and Modern Art deals with one of the central figures of the Finnish art scene and his work as an art critic, art museum curator and cultural critic. The main body of research material consists of the writings of Einari J. Vehmas (1902 1980) from 1937 to the late 1960s. Vehmas wrote art reviews for magazines, and from the year 1945 he was a regular art critic for one of the major newspapers in Finland. Vehmas was heavily inclined towards French literature and visual arts. Marcel Proust and Charles Baudelaire influenced his views on the nature of art from the late 1920s onwards. Vehmas is commonly regarded as the most influential art critic of post-war Finland. His writings have been referred to and cited in numerous research papers on Finnish 20th-century art. A lesser known aspect of his work is his position as the deputy director of the Ateneum Art Museum, the Finnish national gallery. Through his art museum work, his opinions also shaped the canon of modern art considered particularly Finnish following the second world war. The main emphasis of the dissertation is on studying Vehmas s writings, but it also illustrates the diversity of his involvement in Finnish cultural life through biographical documents. The long chronological span of the dissertation emphasises how certain central themes accumulate in Vehmas s writings. The aim of the dissertation is also to show how strongly certain philosophical and theoretical concepts from the early 20th century, specifically Wassily Kandinsky s principle of inner necessity and Henri Bergson s epistemology highlighting intuition and instinct, continued to influence the Finnish art discourse even in the early 1960s, in part thanks to the writings of Vehmas. Throughout his production, Vehmas contemplated the state and future of modern art and humanity. Vehmas used a colourful, vitalistic rhetoric to emphasise the role of modern art as a building block of culture and humanity. At the same time, however, he was a cultural pessimist whose art views became infused with anxiety, a sense of loss, and a desire to turn his back on the world.

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Agriculture’s contribution to climate change is controversial as it is a significant source of greenhouse gases but also a sink of carbon. Hence its economic and technological potential to mitigate climate change have been argued to be noteworthy. However, social profitability of emission mitigation is a result from factors among emission reductions such as surface water quality impact or profit from production. Consequently, to value comprehensive results of agricultural climate emission mitigation practices, these co-effects to environment and economics should be taken into account. The objective of this thesis was to develop an integrated economic and ecological model to analyse the social welfare of crop cultivation in Finland on distinctive cultivation technologies, conventional tillage and conservation tillage (no-till). Further, we ask whether it would be privately or socially profitable to allocate some of barley cultivation for alternative land use, such as green set-aside or afforestation, when production costs, GHG’s and water quality impacts are taken into account. In the theoretical framework we depict the optimal input use and land allocation choices in terms of environmental impacts and profit from production and derive the optimal tax and payment policies for climate and water quality friendly land allocation. The empirical application of the model uses Finnish data about production cost and profit structure and environmental impacts. According to our results, given emission mitigation practices are not self-evidently beneficial for farmers or society. On the contrary, in some cases alternative land allocation could even reduce social welfare, profiting conventional crop cultivation. This is the case regarding mineral soils such as clay and silt soils. On organic agricultural soils, climate mitigation practices, in this case afforestation and green fallow give more promising results, decreasing climate emissions and nutrient runoff to water systems. No-till technology does not seem to profit climate mitigation although it does decrease other environmental impacts. Nevertheless, the data behind climate emission mitigation practices impact to production and climate is limited and partly contradictory. More specific experiment studies on interaction of emission mitigation practices and environment would be needed. Further study would be important. Particularly area specific production and environmental factors and also food security and safety and socio-economic impacts should be taken into account.

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Monocarboxylate transporters (MCTs) transport lactate and protons across cell membranes. During intense exercise, lactate and protons accumulate in the exercising muscle and are transported to the plasma. In the horse, MCTs are responsible for the majority of lactate and proton removal from exercising muscle, and are therefore also the main mechanism to hinder the decline in pH in muscle cells. Two isoforms, MCT1 and MCT4, which need an ancillary protein CD147, are expressed in equine muscle. In the horse, as in other species, MCT1 is predominantly expressed in oxidative fibres, where its likely role is to transport lactate into the fibre to be used as a fuel at rest and during light work, and to remove lactate during intensive exercise when anaerobic energy production is needed. The expression of CD147 follows the fibre type distribution of MCT1. These proteins were detected in both the cytoplasm and sarcolemma of muscle cells in the horse breeds studied: Standardbred and Coldblood trotters. In humans, training increases the expression of both MCT1 and MCT4. In this study, the proportion of oxidative fibres in the muscle of Norwegian-Swedish Coldblood trotters increased with training. Simultaneously, the expression of MCT1 and CD147, measured immunohistochemically, seemed to increase more in the cytoplasm of oxidative fibres than in the fast fibre type IIB. Horse MCT4 antibody failed to work in immunohistochemistry. In the future, a quantitative method should be introduced to examine the effect of training on muscle MCT expression in the horse. Lactate can be taken up from plasma by red blood cells (RBCs). In horses, two isoforms, MCT1 and MCT2, and the ancillary protein CD147 are expressed in RBC membranes. The horse is the only species studied in which RBCs have been found to express MCT2, and the physiological role of this protein in RBCs is unknown. The majority of horses express all three proteins, but 10-20% of horses express little or no MCT1 or CD147. This leads to large interindividual variation in the capacity to transport lactate into RBCs. Here, the expression level of MCT1 and CD147 was bimodally distributed in three studied horse breeds: Finnhorse, Standardbred and Thoroughbred. The level of MCT2 expression was distributed unimodally. The expression level of lactate transporters could not be linked to performance markers in Thoroughbred racehorses. In the future, better performance indexes should be developed to better enable the assessment of whether the level of MCT expression affects athletic performance. In human subjects, several mutations in MCT1 have been shown to cause decreased lactate transport activity in muscle and signs of myopathy. In the horse, two amino acid sequence variations, one of which was novel, were detected in MCT1 (V432I and K457Q). The mutations found in horses were in different areas compared to mutations found in humans. One mutation (M125V) was detected in CD147. The mutations found could not be linked with exercise-induced myopathy. MCT4 cDNA was sequenced for the first time in the horse, but no mutations could be detected in this protein.

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Sahateollisuuden tuotantokapasiteetti on vähentynyt viime vuosina paljon. Syvä lama on leikannut vientiä ja myös rakentaminen on hiljentynyt. Tämä on pakottanut sopeuttamistoimiin samaan tapaan kuin massa- ja paperiteollisuuden kohdalla. Mikäli tällekin vuodelle suunnitellut toimet toteutuvat, yhteensä yksitoista sahaa ja seitsemän jalostetehdasta on suljettu. Kapasiteetin leikkaukset koskevat yhteensä kahtatoista maakuntaa ja viittätoista seutukuntaa. Puolet leikkauksista kohdistuu pieniin seutukuntiin, joka lisää aluetalouden sopeutumishaastetta. Tutkimuksessa on selvitetty sahojen ja jalostetehtaiden sulkemisten aluetaloudellisia vaikutuksia seutukuntien taloudelliseen kasvuun ja työllisyyteen. Sahateollisuuden menetyksiä verrattiin maakuntatasolla massa- ja paperiteollisuuden vastaaviin. Lisäksi tarkasteltiin alan kolmea tulevaisuuden kuvaa Suomen tasolla. Laskelmat suoritettiin alueellisella yleisen tasapainon RegFinDyn-simulointimallilla. Tarkasteluperiodi oli sulkemisten osalta vuodet 2004–2013 ja vuodet 2010–2014 tulevaisuuden kuvien kohdalla. Sulkemisten vaikutus seutukuntien taloudelliseen kasvuun näyttäisi jäävän suhteellisen pieneksi. Aluetalous sopeutuisi uuteen tilanteeseen muiden alojen kompensoidessa osan menetyksistä. Talouskasvun menetykset ovat yhteensä 173,8 miljoonaa euroa, jos Varkauden sahaa ei suljeta ja 184,7 miljoonaa, jos sulkeminen tapahtuu. Tilanne näyttäisi samalta työllisyyden suhteen. Työllisyyden menetykset ovat vastaavasti yhteensä 2 693 henkilötyövuotta tai 3 031. Menetysten osuus maakuntien yhteenlasketusta BKT:sta ja työllisyydestä on 0,3 %. Tämä on vähemmän kuin massa- ja paperiteollisuudessa. Ongelmalliseksi tilanteen tekee se, että molemmat alat ovat menettäneet talouskasvua ja työllisyyttä viidessä maakunnassa. ETLA:n sahateollisuuden ja rakentamisen tuotantoennusteiden samoin kuin PTT:n hintaennusteiden mukaan tulevaisuus näyttäisi valoisammalta. Laman pohjan saavuttamisen jälkeen sekä tuotanto että kv-hinnat alkaisivat vahvistua tästä vuodesta lähtien. Tulevaisuuden kuvat muodostettiin näiden suhdanne-ennusteiden pohjalta. Mikäli myönteinen kehitys toteutuisi, Suomen BKT voisi kasvaa yhteensä 300–900 miljoonalla eurolla vuoden 2014 loppuun mennessä. Työllisyys voisi vahvistua 1 000–5 000 henkilötyövuodella. Sahateollisuuden sopeuttaminen tulee jatkumaan, mikäli lama ei kohta hellitä. Alan kehitystä seurataan yleisellä tasolla, mutta myös sopeuttamisen aluetaloudellisten vaikutusten arviointia olisi syytä jatkaa.

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Tutkimuksen tavoitteena oli selvittää vuoden 2008 lopulla alkaneen laman näkymistä Suomen metalliteollisuudessa. Tehtävänä oli arvioida missä määrin toimialan tuotanto ja investoinnit ovat muuttuneen laman myötä. Lisäksi tuli tarkastella näiden muutosten aluetaloudellisia vaikutuksia. Tutkimus kohdennettiin yhdeksään seutukuntaan: Helsinki, Jyväskylä, Kemi-Tornio, Pori, Raahe, Rauma, Tampere, Turku ja Vaasa. Näillä alueilla toimii merkittäviä alan yrityksiä ja metalliteollisuudella on huomattava vaikutus. Lähtötiedot kerättiin eLomake-kyselyllä, haastatteluin ja hyödyntämällä ETLA:n maakunnallista tuotantoennustetta. Laskelmat tehtiin seutukuntatasoisina vuosille 2009–2013 käyttäen Ruralia-instituutissa kehitettyä yleisen tasapainon RegFinDyn-aluemallia. Tutkimuksen on rahoittanut Työ- ja elinkeinoministeriö. Kyselyyn vastanneiden ja ETLA:n ennusteen mukainen seutukuntien metalliteollisuuden lamanäkemys ovat lähellä toisiaan ja tuottavat saman johtopäätöksen. Alan tuotannon menetyksillä on huomattava negatiivinen vaikutus seutukuntien talouskasvuun ja työllisyyteen. Alueellisen BKT:n muutos on lamavuosina välillä -1,5% (Helsinki) ja -18,0% (Raahe) normaalikehitykseen verrattuna kun kerroinvaikutuksetkin huomioidaan. Vaikutukset ovat suhteellisesti suurimmat seutukunnissa, jotka ovat pieniä ja joissa toimiala on erittäin merkittävä. Tällaisia seutukuntia ovat Kemi-Tornio ja Raahe. Negatiivinen vaikutus kokonaistuotantoon on merkittävä myös Jyväskylän, Rauman, Tampereen ja Turun seutukunnissa. Kokonaistuotannon lasku on pienin Helsingin ja Porin seutukunnissa. Vaasan seutukunnan metalliteollisuuden kehitystä voi taloustilanteeseen nähden pitää hyvänä. Metalliteollisuuden lähiajan vaikutus alueen talouskasvuun ja työllisyyteen on neutraali. Tuotannon menetykset veisivät yhdeksän seutukunnan metalliteollisuudesta yhteensä 3500 henkilötyövuotta kun muun talouden kompensoiva vaikutuskin huomioidaan. Eniten henkilötyövuosia, yli 700 menettäisi Raahen seutukunta. Myös Helsingin, Tampereen ja Turun seutukuntien työpaikkojen menetykset olisivat tuntuvat, 400–600. Tulokset heijastelevat seutukunnan vahvimpien metalliteollisuuden alatoimialojen tilannetta. Raahen ja Kemi-Tornion vahvin metalliteollisuuden toimiala on perusmetallien valmistus, jonka vientiä lama on tiputtanut erityisen rajusti. Vaasan seutukunnan muista parempaa tilannetta selittää ainakin osaksi seudun voimakas energiaklusteri. Kyselyn ja ETLA:n ennusteiden mukaiset tuotannon muutokset eivät tutkimuksen mukaan pitäisi johtaa niin suureen toimialan investointien laskuun kuin mitä kyselyn vastaukset ennakoivat. Kemi-Tornion ja Tampereen seutukunnissa investointien ennakoitiin laskevan 70%:lla lamavuosien aikana. Syynä äkkijarrutukseen lienee maailmantalouden suuri epävarmuus, rahoituksen saamisen kiristyminen sekä yritysten pyrkimys investointeja leikkaamalla vähentää riskejään ja parantaa taseitaan. Tulosten mukaan tehokas yritys olisi leikannut investointejaan paljon vähemmän, 5–10%:lla. Tulosten mukaan hintojen lasku eli deflaatio on seutukuntatasolla selvästi suurempaa kuin koko kansantalouden tasolla on laman aikana tähän mennessä koettu. Metalliteollisuudesta riippuvaisissa seutukunnissa kuluttajahinnat laskivat välillä 1,1% (Helsinki) ja 5,8% (Raahe). Deflaatio on tulosten mukaan kuitenkin vain tilapäinen ilmiö, mutta auttaa laman aikana ylläpitämään yksityistä kulutusta. Teknologiateollisuus ry:n äskettäin esitetty lamanäkemys on synkkä, metalliteollisuus toipuisi vain hitaasti lamasta. Kyselyyn vastanneet suurten yritysten edustajat olivat sitä vastoin suhteellisen toiveikkaita. Heidän arvionsa oli, että lama voisi taittua jo vuoden 2010 keväästä lähtien.

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Tutkimuksen kohteena oli Suomen kaivosala. Tavoitteena oli analysoida yhdeksän vasta käynnistyneen tai valmisteilla olevan kaivoksen aluetaloudelliset vaikutukset elinkeinorakenteeseen ja työllisyyteen. Tutkimukseen valitut kaivoshankkeet olivat Kevitsa, Kylylahti, Laivakangas, Länttä, Pajala–Kolari, Pampalo, Sokli, Suurikuusikko ja Talvivaara. Aluetaloudelliset vaikutukset laskettiin kaivosten vaatimiin investointeihin ja tulevaan liikevaihtoon perustuen. Laskelmat tehtiin Ruralia-instituutissa kehitetyllä CGE RegFinDyn -aluemallilla periodille 2007–2020. Tulokset sisältävät aluetalouden täyden sopeutumisen ja kerroinvaikutukset. Tutkimuksen rahoittaja on Työ- ja elinkeinoministeriö. Kaivoksen investointi- eli rakentamisvaihe on kiihkeä, mutta suhteellisen lyhytaikainen. Toimintavaihe on puolestaan vakaa ja pitkäaikainen riippuen metallien maailmanmarkkinahintojen kehityksestä. Vaiheet voivat olla limittäisiä kuten Pajala–Kolarin ja Talvivaaran tapauksessa tai peräkkäisiä kuten Soklissa. Tulosten mukaan limittäisyys on aluetaloudellisen vaikuttavuuden kannalta parempi vaihtoehto. Kaivoksen rakentaminen ja kasvava malmin tuotanto luovat työllisyyttä ja kulutusmahdollisuuksia yhtä aikaa, jolloin vaiheiden yhteinen aluetaloudellinen vaikutus muodostuu suuremmaksi. Peräkkäisessä tapauksessa uuden tulovirran muodostuminen on selvästi tasaisempaa. Molemmissa tapauksissa työtulot jäävät toimintavaiheessa omaan maakuntaan. Ongelmaksi alueen kannalta muodostuu, kuinka saada ainakin osa pääomatuloista jäämään aluetta hyödyttämään. Tulosten perusteella kaivoshankkeista erottuu selvästi kolme taloudellisen kasvun kannalta vaikuttavinta: Pajala–Kolari, Sokli ja Talvivaara. Näiden kumulatiivinen pitkän tähtäimen vaikutus talouskasvuun olisi 1–3 prosenttia yli sijaintimaakuntiensa ennakoidun normaalikehityksen. Toinen ryhmä olisi Kevitsa ja Kylylahti, joiden vaikuttavuus olisi tasoa 0.7 prosenttia. Pampalo, Suurikuusikko, Laivakangas ja Länttä lisäisivät talouskasvua pitkällä tähtäimellä kumulatiivisesti tarkasteltuna 0.1–0.3 prosenttia yli maakuntiensa ennakoidun normaalikehityksen. Kaivokset loisivat huomattavan määrän uusia työmahdollisuuksia. Pajala–Kolarin ja Soklin kaivoshankkeissa suurimman työvoimatarpeen aikana vuonna 2014 työllisyys olisi parantunut viiden vuoden aikana yhteensä 4600–6000 henkilötyövuodella normaalikehitykseen verrattuna. Talvivaaran kaivoksella työllisyysvaikutuksen huippuvuosi on jo 2010, jolloin kaivos olisi luonut neljän vuoden aikana yhteensä 6000 uutta työpaikkaa. Kevitsan, Kylylahden ja Suurikuusikon kohdalla vastaavat korkeimmat kumulatiiviset luvut olisivat 1300, 1000 ja 800. Muiden hankkeiden vastaava työllisyysvaikutus olisi pienempi ja vaihtelisi 60–250 henkilötyövuoden välillä. Vuositasolla työvoimatarpeet olisivat Pajala–Kolarin ja Soklin tapauksessa keskimäärin 900–1200 ja Talvivaarassa 1200. Kaivoshankkeiden vaikutus elinkeinorakenteeseen näkyisi eri toimialojen tuotannon muutosten kautta. Kaivoksilla olisi luonnollisesti suora ja suuri vaikutus mineraalien kaivuuseen. Myös rakentamisen toimialaan kaivosten vaikutus olisi erittäin merkittävä, mutta väliaikainen ja rajoittuisi investointivaiheeseen. Rakentamisen ja mineraalien kaivuun tuotannon kasvu heijastuisivat muille aloille. Tuotanto nousisi muun muassa ei-metallisten mineraalituotteiden valmistuksen, koneiden ja laitteiden valmistuksen ja kuljetuksen, varastoinnin ja tietoliikenteen toimialoilla. Yleinen elintaso nousisi, jolloin palvelutoimialoista koulutus ja terveydenhuolto- ja sosiaalipalvelut vahvistuisivat. Kaivosten vuoksi resursseja luovuttamaan joutuvia toimialoja olisi useita ja ne olisivat pääasiassa samoja kaivoksesta ja maakunnasta riippumatta. Pitkällä tähtäimellä tuotanto laskisi alkutuotannossa kuten myös metallien jalostuksen ja metallituotteiden, elintarvikkeiden, tekstiilien, massan ja paperin sekä puutavaran ja puutuotteiden valmistuksen toimialoilla. Kaivosalan voimakas kasvu Pohjois- ja Itä-Suomessa ei ratkaisisi kokonaan maakuntien taloudellisia ongelmia. Hankkeet tukisivat kuitenkin merkittävästi taantumasta nousua. Lisäksi suotuisa talouskehitys syntyisi käytännössä seutukunta- ja työssäkäyntialueilla eli maakuntaa pienemmissä aluetalouden yksiköissä, jolloin vaikutukset olisivat paljon vahvemmat. Kaivosalasta on mahdollisuus kehittyä pysyvä uusi toimiala tarkastelluissa viidessä maakunnassa, mikäli metallien hinnat eivät vaihtele liikaa.

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The importance of lying behavior to dairy cows and the feasible definition of lying has attracted many studies on the subject. Cattle show both behavioral and physiological stress responses when subjected to thwarting of their lying behavior. If cows are unable to lie down they later compensate for lost lying time when possible. Environmental factors such as housing and bedding systems have been noted to affect the time spent lying, but there is usually large variation in lying time between individuals. Internal factors such as the reproductive stage, age and health of cows affect their lying time and can cause variation. However, the effect of higher milk production on behavior has not previously been illuminated. The objective of this study was to provide data applicable for the improvement of resting conditions of cows. The preference of stall surface material, differences in normal behavior per unit time and various health measures were observed. The aim was to evaluate lying behavior and cow comfort on different stall bedding materials. In addition, the effect of milk yield on behavior was examined in a tie stall experiment. The preferences for surface materials were investigated in 5 experiments using 3 surface materials with bedding manipulations. According to the results, the cows preferred abundant straw bedding and soft rubber mats. However, they showed an aversion to sand bedding. Some individuals even refused to use stalls with sand when no organic bedding material was present. However, this study was unable to determine the reason for the avoidance, as neither the sand particle size nor thermal properties appeared critical. However, previous exposure to particular surface materials increased the preference for them. The amount of straw bedding was found to be an important factor affecting the preferences for stalls, and the lying time in stalls increased when the flooring softness was improved by applying straw or by installing elastic mats. Despite sand being the least preferred flooring material in preference tests, the health of legs improved during exposure to sand-floored stalls. Moreover cows using sand were cleaner than those that used straw stalls. Thus, sand bedding entailed some health benefits despite the contradictory results of preference tests, which more strongly reflected the perceptions of individual animals. Milk yield was observed to affect behavior by reducing the lying time, possibly due to factors other than longer duration of eating. High yielding cows seemed to intensify their lying bouts, as they were observed to lie with the neck muscles relaxed sooner after lying down than lower yielding cows. In conclusion, cows were found to prefer softer stall surface materials and organic bedding material. In addition, the lying time was reduced by a high milk yield, although the lying time seemed to be important for resting. Cows might differ in the needs for their lying environment. The management of dairy cows should eliminate any unnecessary prevention of lying, as even in tie-stalls high yielding cows seem to be affected by time constraints. Adding fresh bedding material to stalls increases the comfort of any stall flooring material.

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Somatic embryogenesis (SE) is an asexual form of plant propagation that occurs in nature and mimics many of the events of sexual reproduction. Pinus sylvestris (L.) is an important source of timber in Northern Eurasia but it is recalcitrant to somatic embryogenesis. Several factors important for the success of the P. sylvestris embryogenic cultures have not been thoroughly investigated. In this study, we examined the effects of parental genotypes on the SE in P. sylvestris, the involvement of the gaseous plant growth regulator, ethylene in SE, and also biotic effects on somatic embryos as well as on seedlings. We tested parental effects on immature embryo initiation for different media, storage periods, and on the maturation process. Maternal effects were found to be crucial for SE in the absence of paternal effects. No maternal-paternal interaction was observed at any stage of somatic embryo production. Additionally the role of ethylene at different developmental stages of SE was investigated. Two ACC synthase genes, PsACS1 and PsACS2, were isolated and characterized. PsACS1 was expressed during the proliferation stage in all tested genotypes, whereas PsACS2 was only expressed in somatic embryos of each genotype. Ethylene production in embryos at stage 3 was significantly higher than the other stages. In a parallel study, the response of somatic embryos to fungal elicitors was investigated. Three fungi, a mutualistic ectomycorrhizal (ECM) fungus (Suillus bovinus), a weak Scots pine pathogen (Heterobasidion parviporum) and a strong pathogen (H. annosum) were used. The gene expression patterns for embryos exposed to the H. parviporum elicitor were found to be similar to that documented for S. bovinus among the tested genes. By contrast somatic embryos exposed to the H. annosum elicitor had a different pattern of regulation which was marked by a delayed response, and in some cases death of the embryos. Furthermore, interaction without direct contact between P. sylvestris seedlings and microbes (mutualistic and pathogenic fungus, cyanobacterium) were investigated. Several novel genes expressed in seedlings treated with ECM fungus were isolated which suggested that physical contact is not necessary for elicitation of host responses. The results suggest that somatic embryos and seedlings of P. sylvestris are genetically well equipped to respond to fungal elicitor/exudates and could serve as a suitable model for reproducible molecular studies in conifer tree patho- and symbiotic systems.

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Osakeyhtiömuotoisten maatilojen määrä on kasvanut vuodesta 1995 lähtien. Vuonna 2008 Suomessa oli 527 osakeyhtiömuotoista maatilaa. Kaikista Suomen maatiloista osake-yhtiömuotoisia on vielä hyvin vähän. Tutkielmassa tarkastellaan yksityisen maataloudenharjoittajan, verotusyhtymän ja osakeyhtiön ominaispiirteitä. Lisäksi tarkastellaan yksityisen maataloudenharjoittajan ja osakeyhtiön tilinpäätöksen toteuttamiseen ja verotukseen liittyviä eroavaisuuksia. Tutkimuksen tutkimusmenetelmänä on kvalitatiivinen tapaustutkimus. Tutkimusta varten haastateltiin kahdeksaa osakeyhtiömuotoisen maatilan yrittäjää. Teemahaastattelun avulla selvitettiin yritysmuodon muutoksen syitä, yritysmuodon muutoksen vaikutuksia, toimintaa rahoittajan kanssa ja osakeyhtiötä maatilan yritysmuotona. Haastateltavilla yrittäjillä oli maatalousalan koulutus ja heillä oli kokemusta toimimisesta maatalousyrittäjinä. Tutkimustilojen päätuotantosuuntina olivat kananmunan-, porsas- tai broilerin tuotanto. Yrittäjät olivat laajentaneet tuotantoaan merkittävästi viimeisen 15 vuoden aikana ja tilat olivat keskimääräistä suurempia. Osakeyhtiöittämisestä saatavat hyödyt olivat keskeisimmät syyt yritysmuodon muutokselle. Näistä merkittävin oli osakeyhtiöihin sovellettava 26 prosentin yhteisöverokanta. Sen katsottiin alentavan veroja ja parantavan kannattavuutta, vakavaraisuutta ja maksuvalmiutta. Lisäksi osakeyhtiö mahdollisti tuotannon aikaisempaa nopeamman laajentamisen. Toiminnallisia vaikutuksia ei yritysmuodon muutoksella katsottu olevan. Yrittäjät aikoivat jatkaa maatalouden harjoittamista osakeyhtiössä ja osakeyhtiön katsottiin olevan heidän tiloilleen oikea yritysmuoto. Osakeyhtiötä yritysmuotona koskevat rajoitteet verrattu yksityiseen maataloudenharjoittajaan oli pääasiassa poistettu. Osakeyhtiön katsottiin soveltuvan yritysmuodoksi varsinkin kannattaville ja velkaisille tiloille. Lisäksi usean yrittäjän omistamilla sekä peltoa omistuksessaan olevilla tiloilla osakeyhtiötyyppisen yritysmuodon katsottiin soveltuvan yritystoiminnan kehittämiseen.

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Africa is threatened by climate change. The adaptive capacity of local communities continues to be weakened by ineffective and inefficient livelihood strategies and inappropriate development interventions. One of the greatest challenges for climate change adaptation in Africa is related to the governance of natural resources used by vulnerable poor groups as assets for adaptation. Practical and good governance activities for adaptation in Africa is urgently and much needed to support adaptation actions, interventions and planning. The adaptation role of forests has not been as prominent in the international discourse and actions as their mitigation role. This study therefore focused on the forest as one of the natural resources used for adaptation. The general objective of this research was to assess the extent to which cases of current forest governance practices in four African countries Burkina Faso, The Democratic Republic of Congo (DRC), Ghana and Sudan are supportive to the adaptation of vulnerable societies and ecosystems to impacts of climate change. Qualitative and quantitative analyses from surveys, expert consultations and group discussions were used in analysing the case studies. The entire research was guided by three conceptual sets of thinking forest governance, climate change vulnerability and ecosystem services. Data for the research were collected from selected ongoing forestry activities and programmes. The study mainly dealt with forest management policies and practices that can improve the adaptation of forest ecosystems (Study I) and the adaptive capacity through the management of forest resources by vulnerable farmers (Studies II, III, IV and V). It was found that adaptation is not part of current forest policies, but, instead, policies contain elements of risk management practices, which are also relevant to the adaptation of forest ecosystems. These practices include, among others, the management of forest fires, forest genetic resources, non-timber resources and silvicultural practices. Better livelihood opportunities emerged as the priority for the farmers. These vulnerable farmers had different forms of forest management. They have a wide range of experience and practical knowledge relevant to ensure and achieve livelihood improvement alongside sustainable management and good governance of natural resources. The contributions of traded non-timber forest products to climate change adaptation appear limited for local communities, based on their distribution among the stakeholders in the market chain. Plantation (agro)forestry, if well implemented and managed by communities, has a high potential in reducing socio-ecological vulnerability by increasing the food production and restocking degraded forest lands. Integration of legal arrangements with continuous monitoring, evaluation and improvement may drive this activity to support short, medium and long term expectations related to adaptation processes. The study concludes that effective forest governance initiatives led by vulnerable poor groups represent one practical way to improve the adaptive capacities of socio-ecological systems against the impacts of climate change in Africa.

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Pre-eclampsia is a pregnancy complication that affects about 5% of all pregnancies. It is known to be associated with alterations in angiogenesis -related factors, such as vascular endothelial growth factor (VEGF). An excess of antiangiogenic substances, especially the soluble receptor-1 of VEGF (sVEGFR-1), has been observed in maternal circulation after the onset of the disease, probably reflecting their increased placental production. Smoking reduces circulating concentrations of sVEGFR-1 in non-pregnant women, and in pregnant women it reduces the risk of pre-eclampsia. Soluble VEGFR-1 acts as a natural antagonist of VEGF and placental growth factor (PlGF) in human circulation, holding a promise for potential therapeutic use. In fact, it has been used as a model to generate a fusion protein, VEGF Trap , which has been found effective in anti-angiogenic treatment of certain tumors and ocular diseases. In the present study, we evaluated the potential use of maternal serum sVEGFR-1, Angiopoietin-2 (Ang-2) and endostatin, three central anti-angiogenic markers, in early prediction of subsequent pre-eclampsia. We also studied whether smoking affects circulating sVEGFR-1 concentrations in pregnant women or their first trimester placental secretion and expression in vitro. Last, in order to allow future discussion on the potential therapy based on sVEGFR-1, we determined the biological half-life of endogenous sVEGFR-1 in human circulation, and measured the concomitant changes in free VEGF concentrations. Blood or placental samples were collected from a total of 268 pregnant women between the years 2001 2007 in Helsinki University Central Hospital for the purposes above. The biomarkers were measured using commercially available enzyme-linked immunosorbent assays (ELISA). For the analyses of sVEGFR-1, Ang-2 and endostatin, a total of 3 240 pregnant women in the Helsinki area were admitted to blood sample collection during two routine ultrasoundscreening visits at 13.7 ± 0.5 (mean ± SD) and 19.2 ± 0.6 weeks of gestation. Of them, 49 women later developing pre-eclampsia were included in the study. Their disease was further classified as mild in 29 and severe in 20 patients. Isolated early-onset intrauterine growth retardation (IUGR) was diagnosed in 16 women with otherwise normal medical histories and uncomplicated pregnancies. Fifty-nine women remaining normotensive, non-proteinuric and finally giving birth to normal-weight infants were picked to serve as the control population of the study. Maternal serum concentrations of Ang-2, endostatin and sVEGFR-1, were increased already at 16 20 weeks of pregnancy, about 13 weeks before the clinical manifestation of preeclampsia. In addition, these biomarkers could be used to identify women at risk with a moderate precision. However, larger patient series are needed to determine whether these markers could be applied for clinical use to predict preeclampsia. Intrauterine growth retardation (IUGR), especially if noted at early stages of pregnancy and not secondary to any other pregnancy complication, has been suggested to be a form of preeclampsia compromising only the placental sufficiency and the fetus, but not affecting the maternal endothelium. In fact, IUGR and preeclampsia have been proposed to share a common vascular etiology in which factors regulating early placental angiogenesis are likely to play a central role. Thus, these factors have been suggested to be involved in the pathogenesis of IUGR. However, circulating sVEGFR-1, Ang-2 and endostatin concentrations were unaffected by subsequent IUGR at early second trimester. Furthermore, smoking was not associated with alterations in maternal circulating sVEGFR-1 or its placental production. The elimination of endogenous sVEGFR-1 after pregnancy was calculated from serial samples of eight pregnant women undergoing elective Caesarean section. As typical for proteins in human compartments, the elimination of sVEGFR-1 was biphasic, containing a rapid halflife of 3.4 h and a slow one of 29 h. The decline in sVEGFR-1 concentrations after mid-trimester legal termination of pregnancy was accompanied with a simultaneous increase in the serum levels of free VEGF so that within a few days after pregnancy VEGF dominated in the maternal circulation. Our study provides novel information on the kinetics of endogenous sVEGFR-1, which serves as a potential tool in the development of new strategies against diseases associated with angiogenic imbalance and alterations in VEGF signaling.