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Pro gradu -tutkielmassani tarkastelen toimijarooleja poliittisen puolueen periaateohjelmassa. Aineistonani on Vihreän liiton vuonna 2006 voimaan tullut periaateohjelma. Periaateohjelma on puolueen yhteisen keskustelun tuloksena syntyvä, kantaaottava ja voimakkaan ideologinen teksti, johon valikoidaan mukaan puolueen tärkeäksi katsomat asiat. Ohjelma on tekstinä preskriptiivinen ja sisältää runsaasti toimintavaatimuksia ja -ohjeita, mikä korostaa toimijuuden keskeisyyttä tutkimuskohteena juuri tässä tekstilajissa. Tekstilajikysymykset ja periaateohjelman kirjoituksen konventiot vaikuttavat myös aineistossani leimalliseen aktiivisesti toimivan subjektin häivyttämisen. Pyrin erittelemään ja analysoimaan Vihreän liiton ohjelmaa tapausesimerkkinä siitä, miten toimijaroolien kautta rakennetaan ohjelmatekstin maailmaa ja toimijoiden suhteita siinä. Välineenä analyysissani käytän A.J. Greimasin kehittelemää aktanttimallia (katso Greimas 1979). Semanttinen malli jäsentää tekstin maailman toimijoita rooleihin niiden suorittamien funktioiden perusteella. Keskeisimmät tarkasteltavat roolit ovat aktiivisen toimijan kategoria, statiivisen vaikuttajan kategoria ja toiminnan kohteiden kategoriat. Aineistonani olevan tekstin tunnusomaisen polarisaation tähden jaan kunkin näistä kategorioista edelleen puolueen kannan mukaiseen eli hyväksi esitettyyn ja kannan vastaiseen eli pahaksi esitettyyn. Analyysin tuloksena muodostuu käsitys periaateohjelman prototyyppisille toimijarooleille annetuista ominaisuuksista. Tärkeimpiä erottelevia ominaisuuksia ovat statiivisuus/dynaamisuus, agentiivisuus/sen puute sekä abstraktisuus/konkreettisuus. Statiivisuuden ja abstraktiuden totean koko tekstille leimallisiksi piirteiksi, erityisesti periaateohjelman pahalle. Tyypillinen paha on epäinhimillinen voima kuten ilmastonmuutos tai globalisaatio. Puolueen kannan puolella olevissa rooleissa ominaisuuksien hajonta on suurempaa. Puolueviitteiset toimijat sekä puoluetulkintainen me-pronomini ovat lähinnä kielen prototyyppistä agentiivista toimijaa. Ne ovat subjektiasemissa kommunikaatiotoiminnalle ja evidentiaalisuuden lähteenä asenteita ilmaistessa. Kommunikaatio itsessään hahmottuu keskeisenä toimintana ohjelmassa. Ihmisviitteisyys on lähinnä uhrin tai hyötyjän roolien piirre. Erityisen mielenkiintoinen seikka on kansalainen-sanaan ja sen lähimerkityksisiin vastineisiin kohdistuva ristiriita ohjelman metatekstin kansan aktiivista toimintaa ihannoivassa kielenkäytössä ja samanaikaisessa kansalaisten kielentämisessä tekstissä toiminnan kohteiksi. Ihmiset ovat periaateohjelmassa uhreja tai hyötyjiä, kun taas toimintavelvoitteet kohdennetaan tyypillisesti valtioille ja yhteiskunnan rakenteille. Poimin myös tarkasteltavaksi sellaisia kielen keinoja ja ilmiöitä kuin modaalisuus, kausaatiot, vaihtoehtoisten maailmojen käyttö ja nominalisaatio, sikäli kuin ne valottavat tarkasteltavana olevia toimijarooleja. Modaalisuus ja kausaatiot ovat tekstin merkityssuhteiden ilmiöitä. Kausaatio on ohjelmassa merkittävän vähäkäyttöinen, kun taas runsaslukuiset nesessiivirakenteet edustuvat ilman niille odotuksenmukaisia argumentteja. Modaalisuuden lähde ja kohde jätetään usein kielentämättä. Molemmat edellä mainitut seikat korostavat nykyhetkeä ja tulevaa toimintaa tekstin keskiössä. Toiminnan suorittajaa häivytetään tekstistä eri keinoin. Näin on erityisesti, kun puhutaan sävyltään negatiivisesta toiminnasta tai dynaamisesta toiminnasta. Dynaamista toimintaa kuvaavat verbit sijoittuvat tyypillisesti infinitiivisiin lausekkeihin, jotka on upotettu argumenttirakenteeseen tai sijoitettu ehtolauseella tai tulevaisuudesta puhuttaessa mahdollisiin maailmoihin. Näin toiminta ei reaalistu rakenteessa tässä ja nyt, vaan potentiaalisena toimintana tulevaisuudessa. Samalla syntyy myös potentiaalisen sankarin rooli, joka tässä ja nyt olevasta sankarista poiketen on ohjelmassa yleinen. Tätä roolia tarjotaan niin puolueen potentiaalisille tukijoille kuin pahoille voimillekin, kunhan ne määritellään uudelleen puolueen aatteille alisteisena sijoittamalla niiden yhteyteen puolueen diskurssin kiinteästi liittyviä attribuutteja kuten vihreä tai ekologinen.

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Tutkimuksen aiheena on Suomessa asuvien virolaisten puhuman suomen kielen vokaalien keston variaatio. Tutkimuksen tavoitteena on selvittää, miten viron kieli vaikuttaa suomen kielen vokaalien keston ääntymiseen ja miten keston edustuminen varioi informanteilla. Tutkimuksen teoreettiset lähtökohdat ovat kontrastiivisessa kielentutkimuksessa ja sen siirtovaikutuksena (transfer) tunnetussa käsitteessä sekä toisen kielen variaation tutkimuksessa ja sosiolingvistiikassa. Kestoa tutkitaan tarkastelmalla kahden virossa ja suomessa kestoltaan toisistaan poikkeavasti ääntyvän piirteen edustumista virolaisten suomenkielisessä puheessa. Tutkittavat piirteet ovat diftongien jälkikomponentin ja jälkitavun pitkien vokaaliainesten pituus. Työssä tarkastellaan myös A-loppuisten vokaaliyhtymien edustumista jälkitavujen pitkän vokaaliaineksen edustumisen näkökulmasta. Tutkimusaineistona on yhdeksän Virosta Suomeen muuttaneen aikuisen kanssa käydyt keskustelut. Informantit on pyritty valitsemaan siten, että aineistossa olisi esimerkkejä kummankin sukupuolen edustajien sekä eripituisia aikoja Suomessa asuneiden, koulutustaustaltaan erilaisten ja eri puolilla Suomea asuvien muuttajien kielenkäytöstä. Työn voi jakaa kahteen osaan. Ensimmäisessä osassa selvitetään, miten ja missä määrin viron kieli vaikuttaa virolaisten suomen kielen diftongien jälkikomponentin pidentymiseen ja jälkitavujen pitkien vokaaliainesten lyhentymiseen. Tarkastelun fokuksessa on siirtovaikutus, jonka esiintymistä ja esiintymisen ehtoja selvitetään tutkimalla kielenpiirteiden edustumisessa esiintyvää variaatiota erilaisissa äänne- ja leksikaalisissa ympäristöissä. Tarkastelu on pääasiassa kvantitatiivista, mutta kvantitatiivisen tarkastelun tuloksia täydennetään kvalitatiivisilla havainnoilla. Tutkimuksen tulokset osoittavat, että viron kielen siirtovaikutus on melko yleinen vokaalien keston ääntämiseen vaikuttava ilmiö. Tutkimuksen keskeisin tulos on se, että fonologisen tason siirtovaikutus kytkeytyy leksikaalisen tason ilmiöihin siten, että siirtovaikutuksen esiintyminen on todennäköisintä silloin, kun virossa ja suomessa kestoltaan eri tavoin ääntyvä vokaaliaines esiintyy viron sanamuotoa muistuttavassa sanamuodossa. Työn toisessa osassa tarkastellaan viron- ja suomenmukaisen edustuksen variaatiota taustoiltaan erilaisilla informanteilla. Tarkastelun näkökulma on sosiolingvistinen, ja tarkoituksena on selvittää, miten muun muassa Suomessa asutun ajan pituus, informanttien sukupuoli ja koulutustausta vaikuttavat informanttien välillä esiintyvään variaatioon vokaalien keston edustumisessa. Variaation rakennetta verrataan suomea äidinkielenään puhuvien tuottamaan variaatioon silloin, kun se on mahdollista. Tutkimuksen tulosten mukaan informanttien väliseen variaatioon vaikuttaa ennen kaikkea Suomessa asutun ajan pituus siten, että eniten suomen kielen mukaisesta edustuksesta poikkeavia variantteja esiintyy lyhimmän aikaa Suomessa asuneilla informanteilla. Virolaisilla esiintyvän variaation rakenne myös poikkeaa suomea äidinkielenään puhuvien variaation rakenteesta. Tutkimuksessa todetaan, että puhesuomen virotaustainen variantti on oma erityinen suomen kielen muotonsa, joka varioi sille ominaisella tavallaan ja jonka muotoutumiseen vaikuttavat suomen yleiskielen lisäksi niin viron kieli kuin erilaiset puhesuomen muodotkin. Kiinnostavaksi jatkotutkimuskohteeksi todetaan tarkempi perehtyminen virolaisilla esiintyvän (äänne)variaation vertaamiseen suomea äidinkielenään puhuvilla esiintyvään variaatioon.

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This research deals with direct speech quotations in magazine articles through two questions: As my major research question, I study the functions of speech quotations based on a data consisting of six literary-journalistic magazine articles. My minor research question builds on the fact that there is no absolute relation between the sound waves of the spoken language and the graphemes of the written one. Hence, I study the general thoughts on how utterances should be arranged in the written form based on a large review of literature and textbooks on journalistic writing as well as interviews I have made with magazine writers and editors, and the Council of Mass Media in Finland. To support my main research questions, I also examine the reference system of the Finnish language, define the aspects of the literary-journalistic article and study vernacular cues in written speech quotations. FUNCTIONS OF QUOTATIONS. I demonstrate the results of my analysis with a six-pointed apparatus. It is a continuum which extends from the structural level of text, all the way through the explicit functions, to the implicit functions of the quotation. The explicit functions deal with the question of what is the content, whereas the implicit ones base mainly on the question how the content is presented. 1. The speech quotation is an distinctive element in the structure of the magazine article. Thereby it creates a rhythm for the text, such as episodes, paragraphs and clauses. 2. All stories are told through a plot, and in magazine articles, the speech quotations are one of the narrative elements that propel the plot forward. 3. The speech quotations create and intensify the location written in the story. This location can be a physical one but also a social one, in which case it describes the atmosphere and mood in the physical environment and of the story characters. 4. The quotations enhance the plausibility of the facts and assumptions presented in the article, and moreover, when a text is placed between quotation marks, the reader can be assured that the text has been reproduced in the authentic verbatim way. 5. Speech quotations tell about the speaker's unique way of using language and the first-hand experiences of the person quoted. 6. The sixth function of speech quotations is probably the most essential one: the quotations characterize the quoted speaker. In other words, in addition to the propositional content of the utterance, the way in which it has been said transmits a lot of the speaker's character (e.g. nature, generation, behaviour, education, attitudes etc.). It is important to notice, that these six functions of my speech quotation apparatus do not exlude one another. It means that every speech quotation basically includes all of the functions discussed above. However, in practice one or more of them have a principal role, while the others play a subsidiary role. HOW TO MAKE QUOTATIONS? It is not suprising that the field of journalism (textbooks, literature and interviews) holds heterogeneous and unestablished thoughts on how the spoken language should be arranged in written quotations, which is my minor research question. However, the most frequent and distinctive aspects can be depicted in a couple of words: serve the reader and respect the target person. Very common advice on how to arrange the quotations is − firstly, to delete such vernacular cues (e.g. repetitions and ”expletives”) that are common in spoken communication, but purposeless in the written language. − secondly, to complete the phonetic word forms of the spoken language into a more reader-friendly form (esim. punanen → punainen, 'red'), and − thirdly, to enhance the independence of clauses from the (authentic) context and to toughen reciprocal links between them. According to the knowledge of the journalistic field, utterances recorded in different points in time of an interview or a data-collecting session can be transferred as consecutive quotations or even merged together. However, if there is any temporal-spatial location written in the story, the dialogue of the story characters should also be situated in an authentic context – chronologically in the right place in the continuum of the events. To summarize, the way in which the utterances should be arranged into written speech quotations is always situationally-specific − and it is strongly based on the author's discretion.

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Pro gradu -tutkielma “Teori, praktik och yrkesval: En etnografisk analys av yrkeslivsrelevansen på Nordicas översättarlinje” käsittelee pohjoismaisten kielten ja pohjoismaisen kirjallisuuden laitoksen (Nordican) kääntäjälinjan koulutusta. Tutkielman tavoite on tuottaa käytännöllistä tietoa kääntäjäkoulutuksen opinnoista ja opiskelijoista. Tietoa voidaan käyttää suunnitteluapuna Helsingin yliopiston kääntäjäkoulutuksen uudelleenorganisoinnissa, joka tapahtuu vuonna 2009. Tutkimuskysymyksissä keskitytään erityisesti Nordican kääntäjäkoulutuksen työelämäorientaatioon liittyviin opintoihin. Työelämäorientaation osuutta opinnoissa ja kääntäjälinjan opiskelijoiden opintosuunnittelua tutkitaan kyselytutkimuksen ja haastattelujen avulla. Kyselytutkimukseen on vastannut 19 nykyistä ja valmistunutta opiskelijaa kääntäjälinjalta (vastausprosentti on n. 36). Haastatteluihin on osallistunut viisi henkilöä – kolme opiskelijaa ja kaksi valmistunutta. Materiaalin suurin ongelma on aineiston vähyys ja se, että haastateltavista suurin osa opiskelee tai on opiskellut toisen kotimaisen kielen linjalla. Tutkimuksessa ei siis saada riittävästi tietoa äidinkielen linjan opiskelijoiden tilanteesta. Tutkimusmetodi on kvalitatiivinen osaksi aineiston pienuuden takia, mutta kyselytutkimuksen tuloksia analysoidaan myös kvantitatiivisesti. Kyselyn ja haastattelujen avoimet vastaukset analysoidaan etnografisen metodin avulla, joka soveltuu hyvin pienen aineiston analysointiin. Metodissa korostuvat tutkimuksen prosessiluonteisuus ja esimerkiksi tutkimuskysymysten muotoiluun ja materiaalin keräämiseen liittyvä joustavuus. Tutkimusmateriaalin analyysissa korostuu tutkimuskohteen kuvailun sijaan tulkinta. Tutkielman teoriaosuus käsittelee sekä kääntäjäkoulutuksen historiaa että nykyistä yliopistopedagogiikkaa. Johdannossa käsitellään myös Helsingin yliopiston työllistymiskartoituksia ja aikaisempia tutkimuksia Nordican ja käännöstieteen laitoksen opiskelijoiden sijoittumisesta työmarkkinoille. Teoreettisen viitekehyksen keskeisimmät aiheet ovat funktionaalinen kääntäjäkoulutus, kääntäjän kompetenssit, asiantuntijuus ja ammattimaisuus sekä teorian ja käytännön osuus opinnoissa. Teoriaosuus pohjustaa analyysin keskeisiä teemoja. Tutkimustulosten perusteella voi kumota osan tutkielman alussa esitetyistä hypoteeseista. Esimerkiksi kääntäjälinjan opiskelijoiden opintosuunnittelu ja halu suorittaa opintonsa yksinomaan kääntäjälinjalla ovat osoittautuneet oletettua johdonmukaisemmiksi. Opiskelijat ovat motivoituneita ja sitoutuvat kääntäjälinjan opintoihin muun muassa valitsemalla sivuaineita, jotka tukevat pääaineopintoja. Työelämäorientaation osalta tämänhetkiset opiskelijat vaikuttavat tyytyväisemmiltä opintoihinsa kuin jo valmistuneet kääntäjälinjalaiset. Haastateltavien yleinen käsitys on, että työelämäorientaatiota, ja erityisesti kääntäjän ammattiin liittyviä käytännön kysymyksiä, käsitellään opinnoissa liian vähän. Tutkielman tarkoitus on kartoittaa kääntäjälinjan opiskelijoiden ja valmistuneiden kääntäjälinjalaisten käsityksiä opintojen yhteydestä työelämään. Tutkimustulosten perusteella voidaan todeta, että akateemisiin opintoihin pitäisi sisältyä enemmän työelämäkontakteja. Työharjoittelu on ollut monelle tutkimuksen haastateltavalle hyvä kokemus, joka on johtanut harjoittelujakson jälkeiseen työsuhteeseen. Nordican uutta kääntäjäkoulutusta suunniteltaessa tulisikin ottaa huomioon työharjoittelun tärkeys. Monet haastateltujen mainitsemista koulutuksen kehittämiskohteista liittyvät resurssikysymyksiin. Kääntäjäkoulutuksen uudistuksen myötä voidaan toivottavasti vaikuttaa esimerkiksi erityisalojen kurssitarjontaan.

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Approximately one-third of stroke patients experience depression. Stroke also has a profound effect on the lives of caregivers of stroke survivors. However, depression in this latter population has received little attention. In this study the objectives were to determine which factors are associated with and can be used to predict depression at different points in time after stroke; to compare different depression assessment methods among stroke patients; and to determine the prevalence, course and associated factors of depression among the caregivers of stroke patients. A total of 100 consecutive hospital-admitted patients no older than 70 years of age were followed for 18 months after having their first ischaemic stroke. Depression was assessed according to the Diagnostic and Statistical Manual of Mental Disorders (DSM-III-R), Beck Depression Inventory (BDI), Hamilton Rating Scale (HRSD), Visual Analogue Mood Scale (VAMS), Clinical Global Impression (CGI) and caregiver ratings. Neurological assessments and a comprehensive neuropsychological test battery were performed. Depression in caregivers was assessed by BDI. Depressive symptoms had early onsets in most cases. Mild depressive symptoms were often persistent with little change during the 18-month follow-up, although there was an increase in major depression over the same time interval. Stroke severity was associated with depression especially from 6 to 12 months post-stroke. At the acute phase, older patients were at higher risk of depression, and a higher proportion of men were depressed at 18 months post-stroke. Of the various depression assessment methods, none stood clearly apart from the others. The feasibility of each did not differ greatly, but prevalence rates differed widely according to the different criteria. When compared against DSM-III-R criteria, sensitivity and specificity were acceptable for the CGI, BDI, and HRSD. The CGI and BDI had better sensitivity than the more specific HRSD. The VAMS seemed not to be a reliable method for assessing depression among stroke patients. The caregivers often rated patients depression as more severe than did the patients themselves. Moreover, their ratings seemed to be influenced by their own depression. Of the caregivers, 30-33% were depressed. At the acute phase, caregiver depression was associated with the severity of the stroke and the older age of the patient. The best predictor of caregiver depression at later follow-up was caregiver depression at the acute phase. The results suggest that depression should be assessed during the early post-stroke period and that the follow-up of those at risk of poor emotional outcome should be extended beyond the first year post-stroke. Further, the assessment of well-being of the caregivers of stroke patients should be included as a part of a rehabilitation plan for stroke patients.

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Tämän itsenäisistä osatutkimuksista koostuvan tutkimussarjan tavoitteena oli pyrkiä täydentämään kuvaa matemaattisilta taidoiltaan heikkojen lasten ja nuorten tiedonkäsittelyvalmiuksista selvittämällä, ovatko visuaalis-spatiaaliset työmuistivalmiudet yhteydessä matemaattiseen suoriutumiseen. Teoreettinen viitekehys rakentui Baddeleyn (1986, 1997) kolmikomponenttimallin ympärille. Työmuistikäsitys oli kuitenkin esikuvaansa laajempi sisällyttäen visuaalis-spatiaaliseen työmuistiin Cornoldin ja Vecchin (2003) termein sekä passiiviset varastotoiminnot että aktiiviset prosessointitoiminnot. Yhteyksiä työmuistin ja matemaattisten taitojen välillä tarkasteltiin viiden eri osatutkimuksen avulla. Kaksi ensimmäistä keskittyivät alle kouluikäisten lukukäsitteen hallinnan ja visuaalis-spatiaalisten työmuistivalmiuksen tutkimiseen ja kolme jälkimmäistä peruskoulun yhdeksäsluokkalaisten matemaattisten taitojen ja visuaalis-spatiaalisten työmuistitaitojen välisten yhteyksien selvittämiseen. Tutkimussarjan avulla pyrittiin selvittämään, ovatko visuaalis-spatiaaliset työmuistivalmiudet yhteydessä matemaattiseen suoriutumiseen sekä esi- että yläkouluiässä (osatutkimukset I, II, III, IV, V), onko yhteys spesifi rajoittuen tiettyjen visuaalis-spatiaalisten valmiuksien ja matemaattisen suoriutumisen välille vai onko se yleinen koskien matemaattisia taitoja ja koko visuaalis-spatiaalista työmuistia (osatutkimukset I, II, III, IV, V) tai työmuistia laajemmin (osatutkimukset II, III) sekä onko yhteys työmuistispesifi vai selitettävissä älykkyyden kaltaisella yleisellä päättelykapasiteetilla (osatutkimukset I, II, IV). Tutkimussarjan tulokset osoittavat, että kyky säilyttää ja käsitellä hetkellisesti visuaalis-spatiaalista informaatiota on yhteydessä matemaattiseen suoriutumiseen eikä yhteyttä voida selittää yksinomaan joustavalla älykkyydellä. Suoriutuminen visuaalis-spatiaalista työmuistia mittaavissa tehtävissä on yhteydessä sekä alle kouluikäisten esimatemaattisten taitojen hallintaan että peruskoulun yhdeksäsluokkalaisten matematiikan taitoihin. Matemaattisilta taidoiltaan heikkojen lasten ja nuorten visuaalis-spatiaalisten työmuistiresurssien heikkoudet vaikuttavat kuitenkin olevan sangen spesifejä rajoittuen tietyntyyppisissä muistitehtävissä vaadittaviin valmiuksiin; kaikissa visuaalis-spatiaalisen työmuistin valmiuksia mittaavissa tehtävissä suoriutuminen ei ole yhteydessä matemaattisiin taitoihin. Työmuistivalmiuksissa ilmenevät erot sekä alle kouluikäisten että kouluikäisten matemaattisilta taidoiltaan heikkojen ja normaalisuoriutujien välillä näyttävät olevan kuitenkin jossain määrin yhteydessä kielellisiin taitoihin viitaten vaikeuksien tietynlaiseen kasautumiseen; niillä matemaattisesti heikoilla, joilla on myös kielellisiä vaikeuksia, on keskimäärin laajemmat työmuistiheikkoudet. Osalla matematiikassa heikosti suoriutuvista on näin ollen selvästi keskimääräistä heikommat visuaalis-spatiaaliset työmuistivalmiudet, ja tämä heikkous saattaa olla yksi mahdollinen syy tai vaikeuksia lisäävä tekijä heikon matemaattisen suoriutumisen taustalla. Visuaalis-spatiaalisen työmuistin heikkous merkitsee konkreettisesti vähemmän mentaalista prosessointitilaa, joka rajoittaa oppimista ja suoritustilanteita. Tiedonkäsittelyvalmiuksien heikkous liittyy nimenomaan oppimisnopeuteen, ei asioiden opittavuuteen sinänsä. Mikäli oppimisympäristö ottaa huomioon valmiuksien rajallisuuden, työmuistiheikkoudet eivät todennäköisesti estä asioiden oppimista sinänsä. Avainsanat: Työmuisti, visuaalis-spatiaalinen työmuisti, matemaattiset taidot, lukukäsite, matematiikan oppimisvaikeudet

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One history in a multicomplex world The quintessence of history and grand historical narratives in the historical consciousness of class teacher students The study analyses the conception of history amongst class teacher students at the University of Helsinki. It also explores the expectations about the future that the students have on the basis of their views on history. The conceptions of the students are analysed against the background of the notion of one history which has been part of Western thought in the modern era and which is at the centre of the theoretical framework of this study. The Enlightenment project and the erosion of the role of the Church paved the way for the notion that history is an linear narrative of the progress of humankind and in which, implicitly, the Western countries are endowed with a special role as the vanguards of progress. In recent times these assumptions have been criticised by postmodernists and proponents of New History. The material of the study consists of interviews of twenty-two 19 26 years old class teacher students at the University of Helsinki. The topics in the interviews were the developments of the past and the future trajectories. The students conceived history as a field of knowledge that provides a unifying view on the world and helps to make today s world intelligible. Finnish history and global history were invested with features of a grand narrative of progress. In global history, progress and development were seen as characteristic of the Western world primarily. The students regarded the post-war Finnish history as a qualified success story in that they deplored the erosion of collectivist values and the rise of selfishness in recent decades. History was not conceived as a process of progress that would self-evidently continue in the future, but rather more as a field of contingency and cyclical change.The students regarded the increasing predominance of the market forces over democratically elected agencies, the antagonism between the West and the other parts of the world, and environmental risks as the major threats. Notwithstanding this general.pessimism about the future, the students had a very positive view of their own personal prospects. Keywords: historical consciouness, one history, future expectations

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The goal of this research was to survey the self-concept and school achievement of pupils with cleft lip, cleft palate or both from juvenile age to adolescence. Longitudinal researches of self-concept and school achievement among pupils with cleft lip, cleft palate or both are uncommon. This research was the first longitudinal research ever conducted in Finland among this population. This research can be considered to be a special educational study because of the target group involved. Self-concept consists of the person s entire personality. Personality is biological and deterministic. Self-concept includes concepts, attitudes and feelings that the person has about him or her qualities, abilities and relations to the environment. The individual associates experiences to this personality with earlier observations through the social interaction. The individual will have the consciousness of the person s existence and action. The target group in this study consisted of Finnish children with clefts, who were comprised of four different age groups. The questionnaire was sent to all subjects (N1 = 419) both times. A total of 74 % of children returned the questionnaire in 1988 (N2=305). 48 % of children returned the questionnaire in 1993 (N3=203). 42% of children returned the questionnaire both times (N4=175) . These 175 children formed the research subjects. The survey was conducted in 1988, and again in 1993. In 1988, the pupils surveyed were 9 to 12 years of age, while in 1993 they were between 14 and 17 years old. The data was collected through the use of a questionnaire, which consisted of common questions and a personality inventory test that was developed for Finnish students by professor Maija-Liisa Rauste-von Wright. Quantitative analysis methods were used to examine the structure of self-concept and school achievement. Structures found in this research were observed in relation to disorder, gender and maturation. According to these results, structures of self-concepts and school achievement are in fact stable. Basic self-concept elements are seen to be formed at an early age. The developmental aspects of self-concept following puberty are observed as the stability of self-concept and as the forming of a general self. The level of school achievement is stable, but the structure of school achievement changes. From these results, it is possible to state that the gender of the child has a statistical significance regarding self-concept and school achievement. However, the experienced disorder does not have statistical significance as regards to self-concept and school achievement. Results of self-concept support the research of self-concept conducted earlier in Finland.

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The educational reform, launched in Finland in 2008, concerns the implementation of the Special Education Strategy (Opetusministeriö 2007) under an improvement initiative called Kelpo. One of the main proposed alterations of the Strategy relates to the support system of comprehensive school pupils. The existed two-level model (general and special support) is to be altered by the new three-level model (general, intensified and special support). There are 233 municipalities involved nationwide in the Kelpo initiative, each of which has a municipal coordinator as a national delegate. The Centre for Educational Assessment [the Centre] at the University of Helsinki, led by Professor Jarkko Hautamäki, carries out the developmental assessment of the initiative’s developmental process. As a part of that assessment the Centre interviewed 151 municipal coordinators in November 2008. This thesis considers the Kelpo initiative from Michael Fullan’s change theory’s aspect. The aim is to identify the change theoretical factors in the speech of the municipal coordinators interviewed by the Centre, and to constitute a view of what the crucial factors in the reform implementation process are. The appearance of the change theoretical factors, in the coordinators’ speech, and the meaning of these appearances are being considered from the change process point of view. The Centre collected the data by interviewing the municipal coordinators (n=151) in small groups of 4-11 people. The interview method was based on Vesala and Rantanen’s (2007) qualitative attitude survey method which was adapted and evolved for the Centre’s developmental assessment by Hilasvuori. The method of the analysis was a qualitative theory-based content analysis, processed using the Atlas.ti software. The theoretical frame of reference was grounded on Fullan’s change theory and the analysis was based on three change theoretical categories: implementation, cooperation and perspectives in the change process. The analysis of the interview data revealed spoken expressions in the coordinators’ speech which were either positively or negatively related to the theoretical categories. On the grounds of these change theoretical relations the existence of the change process was observed. The crucial factors of reform implementation were found, and the conclusion is that the encounter of the new reform-based and already existing strategies in school produces interface challenges. These challenges are particularly confronted in the context of the implementation of the new three-level support model. The interface challenges are classified as follows: conceptual, method-based, action-based and belief-based challenges. Keywords: reform, implementation, change process, Michael Fullan, Kelpo, intensified support, special support

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Parkinson’s disease (PD) is the second most common neurodegenerative disease among the elderly. Its etiology is unknown and no disease-modifying drugs are available. Thus, more information concerning its pathogenesis is needed. Among other genes, mutated PTEN-induced kinase 1 (PINK1) has been linked to early-onset and sporadic PD, but its mode of action is poorly understood. Most animal models of PD are based on the use of the neurotoxin 1-methyl-4-phenyl-1,2,3,6-tetrahydropyridine (MPTP). MPTP is metabolized to MPP+ by monoamine oxidase B (MAO B) and causes cell death of dopaminergic neurons in the substantia nigra in mammals. Zebrafish has been a widely used model organism in developmental biology, but is now emerging as a model for human diseases due to its ideal combination of properties. Zebrafish are inexpensive and easy to maintain, develop rapidly, breed in large quantities producing transparent embryos, and are readily manipulated by various methods, particularly genetic ones. In addition, zebrafish are vertebrate animals and results derived from zebrafish may be more applicable to mammals than results from invertebrate genetic models such as Drosophila melanogaster and Caenorhabditis elegans. However, the similarity cannot be taken for granted. The aim of this study was to establish and test a PD model using larval zebrafish. The developing monoaminergic neuronal systems of larval zebrafish were investigated. We identified and classified 17 catecholaminergic and 9 serotonergic neuron populations in the zebrafish brain. A 3-dimensional atlas was created to facilitate future research. Only one gene encoding MAO was found in the zebrafish genome. Zebrafish MAO showed MAO A-type substrate specificity, but non-A-non-B inhibitor specificity. Distribution of MAO in larval and adult zebrafish brains was both diffuse and distinctly cellular. Inhibition of MAO during larval development led to markedly elevated 5-hydroxytryptamine (serotonin, 5-HT) levels, which decreased the locomotion of the fish. MPTP exposure caused a transient loss of cells in specific aminergic cell populations and decreased locomotion. MPTP-induced changes could be rescued by the MAO B inhibitor deprenyl, suggesting a role for MAO in MPTP toxicity. MPP+ affected only one catecholaminergic cell population; thus, the action of MPP+ was more selective than that of MPTP. The zebrafish PINK1 gene was cloned in zebrafish, and morpholino oligonucleotides were used to suppress its expression in larval zebrafish. The functional domains and expression pattern of zebrafish PINK1 resembled those of other vertebrates, suggesting that zebrafish is a feasible model for studying PINK1. Translation inhibition resulted in cell loss of the same catecholaminergic cell populations as MPTP and MPP+. Inactivation of PINK1 sensitized larval zebrafish to subefficacious doses of MPTP, causing a decrease in locomotion and cell loss in one dopaminergic cell population. Zebrafish appears to be a feasible model for studying PD, since its aminergic systems, mode of action of MPTP, and functions of PINK1 resemble those of mammalians. However, the functions of zebrafish MAO differ from the two forms of MAO found in mammals. Future studies using zebrafish PD models should utilize the advantages specific to zebrafish, such as the ability to execute large-scale genetic or drug screens.

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Helicobacter pylori (H. pylori) infection is a major cause of chronic gastritis and peptic ulcer disease, and it is also designated as a class-I carcinogen for stomach cancer. The role of probiotics in the treatment of gastrointestinal infections is increasingly documented as an alternative or complement to antibiotics, with the potential to decrease the use of antibiotics or reduce their adverse effects. These studies were conducted to investigate the role of probiotics in the treatment of H. pylori infection. Various aspects included: an investigation of the effects of a probiotic combination consisting of Lactobacillus rhamnosus GG, L. rhamnosus LC705, Propionibacterium freudenreichii ssp. shermanii JS and Bifidobacterium breve Bb99 or B. lactis Bb12 as a supplementation to H. pylori eradication therapy, with special reference to tolerability, effectiveness, and microbiota alterations following the treatment; discovering the role of probiotics in vivo with H. pylori infected and uninfected patients, as well as with an in vitro model of H. pylori infection. The probiotic combination therapy was able to reduce significantly the total symptom score, which takes into account both the frequency and the severity of the adverse effects, during the eradication treatment. The supplementation did not improve the success of the eradication treatment significantly, though some difference was seen in the eradication percentages (91% vs. 79%). The quantities of predominant bacterial groups were altered significantly following the triple treatment. Probiotics slightly counteracted the effects of anti-H. pylori treatment, monitored as significantly less alterations in the total numbers of aerobes and lactobacilli/enterococci group bacteria. After probiotic intervention, L. rhamnosus GG adhered to a minority of the patients upper gastrointestinal mucosa, but all of the probiotics survived well through the gastrointestinal tract transit with and without antimicrobial treatment. Probiotic intervention decreased gastrin-17 levels in H. pylori infected patients and appeared to decrease the 13C-urea breath test values. In in vitro Caco-2 cell line experiments, probiotics inhibited H. pylori adhesion to intestinal epithelial cells. Both L. rhamnosus strains, P. freudenreichii ssp. shermanii JS and the combination inhibited the H. pylori-induced acute cell leakage. Simultaneously, both L.rhamnosus strains and the combination transiently improved the epithelial barrier function. The pro-inflammatory effects prevailed when the probiotics were used in combination. According to this series of studies, probiotic combination could have some potential in reducing adverse effects induced by H. pylori eradication treatment and beneficial effects on H. pylori infected subjects.

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The development of many embryonic organs is regulated by reciprocal and sequential epithelial-mesenchymal interactions. These interactions are mediated by conserved signaling pathways that are reiteratively used. Cleidocranial dysplasia (CCD) is a congenital syndrome where both bone and tooth development is affected. The syndrome is characterized by short stature, abnormal clavicles, general bone dysplasia, and supernumerary teeth. CCD is caused by mutations in RUNX2, a transcription factor that is a key regulator of osteoblast differentiation and bone formation. The first aim of this study was to analyse the expression of a family of key signal molecules, Bone morphogenetic protein (Bmp) at different stages of tooth development. Bmps have a variety of functions and they were originally discovered as signals inducing ectopic bone formation. We performed a comparative in situ hybridisation analysis of the mRNA expression of Bmp2-7 from initiation of tooth development to differentiation of dental hard tissues. The expression patterns indicated that the Bmps signal between the epithelial and mesenchymal tissues during initiation and morphogenesis of tooth development, as well as during the differentiation of odontoblasts and ameloblasts. Furthermore, they are also part of the signalling networks whereby the enamel knot regulates the patterning of tooth cusps. The second aim was to study the role of Runx2 during tooth development and thereby to gain better understanding of the pathogenesis of the tooth phenotype in CCD. We analysed the tooth phenotype of Runx2 knockout mice and examined the patterns and regulation of Runx2 gene expression.. The teeth of wild-type and Runx2 mutant mice were compared by several methods including in situ hybridisation, tissue culture, bead implantation experiments, and epithelial-mesenchymal recombination studies. Phenotypic analysis of Runx2 -/- mutant tooth development showed that teeth failed to advance beyond the bud stage. Runx2 expression was restricted to dental mesenchyme between the bud and early bell stages of tooth development and it was regulated by epithelial signals, in particular Fgfs. We searched for downstream targets of Runx2 by comparative in situ hybridisation analysis. The expression of Fgf3 was downregulated in the mesenchyme of Runx2 -/- teeth. Shh expression was absent from the enamel knot in the lower molars of Runx2 -/- and reduced in the upper molars. In conclusion, these studies showed that Runx2 regulates key epithelial-mesenchymal interactions that control advancing tooth morphogenesis and histodifferentiation of the epithelial enamel organ. In addition, in the upper molars of Runx2 mutants extra buddings occured at the palatal side of the tooth bud. We suggest that Runx2 acts as an inhibitor of successional tooth formation by preventing advancing development of the buds. Accordingly, we propose that RUNX2 haploinsuffiency in humans causes incomplete inhibition of successional tooth formation and as a result supernumerary teeth.

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Candida yeast species are widespread opportunistic microbes, which are usually innocent opportunists unless the systemic or local defense system of the host becomes compromised. When they adhere on a fertile substrate such as moist and warm, protein-rich human mucosal membrane or biomaterial surface, they become activated and start to grow pseudo and real hyphae. Their growth is intricately guided by their ability to detect surface defects (providing secure hiding , thigmotropism) and nutrients (source of energy, chemotropism). The hypothesis of this work was that body mobilizes both non-specific and specific host defense against invading candidal cells and that these interactions involve resident epithelial cells, rapidly responding non-specific protector neutrophils and mast cells as well as the antigen presenting and responding den-dritic cell lymphocyte plasma cell system. It is supposed that Candida albicans, as a result of dar-winistic pressure, has developed or is utilizing strategies to evade these host defense reactions by e.g. adhering to biomaterial surfaces and biofilms. The aim of the study was to assess the host defense by taking such key molecules of the anti-candidal defense into focus, which are also more or less characteristic for the main cellular players in candida-host cell interactions. As a model for candidal-host interaction, sections of chronic hyperplastic candidosis were used and compared with sections of non-infected leukoplakia and healthy tissue. In this thesis work, neutrophil-derived anti-candidal α-defensin was found in the epithelium, not only diffusely all over in the epithelium, but as a strong α-defensin-rich superficial front probably able to slow down or prevent penetration of candida into the epithelium. Neutrophil represents the main host defence cell in the epithelium, to which it can rapidly transmigrate from the circulation and where it forms organized multicellular units known as microabscesses (study I). Neutrophil chemotactic inter-leukin-8 (IL-8) and its receptor (IL-8R) were studied and were surprisingly also found in the candidal cells, probably helping the candida to keep away from IL-8- and neutrophil-rich danger zones (study IV). Both leukocytes and resident epithelial cells contained TLR2, TLR4 and TLR6 receptors able to recognize candidal structures via utilization of receptors similar to the Toll of the banana fly. It seems that candida can avoid host defence via stimulation of the candida permissive TLR2 instead of the can-dida injurious TLR4 (study V). TLR also provides the danger signal to the immune system without which it will not be activated to specifically respond against candidal antigens. Indeed, diseased sites contained receptor activator of nuclear factor kappa B ligand (RANKL; II study), which is important for the antigen capturing, processing and presenting dendritic cells and for the T lymphocyte activation (study III). Chronic hyperplastic candidosis provides a disease model that is very useful to study local and sys-temic host factors, which under normal circumstances restrain C. albicans to a harmless commensal state, but failure of which in e.g. HIV infection, cancer and aging may lead to chronic infection.

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Cardiovascular diseases, which presently are considered inflammatory diseases, affect millions of people worldwide. Chronic infections may contribute to the systemic inflammation suggested to increase the risk for cardiovascular diseases. Such chronic infections are periodontitis and Chlamydia pneumoniae infection. They are highly prevalent as approximately 10% of adult population and 30% of people over 50 years old are affected by severe periodontitis and 70-80% of elderly people are seropositive for C. pneumoniae. Our general aim was to investigate the role of infection and inflammation in atherosclerosis both in animal and human studies. We aimed to determine how the two pathogens alter the atherosclerosis-associated parameters, and how they affect the liver inflammation and lipid composition. Furthermore, we evaluated the association between matrix metalloproteinase-8 (MMP-8), a proteinase playing a major role in inflammation, and the future cardiovascular diseases (CVD) events in a population-based cohort. For the animal experiments, we used atherosclerosis-susceptible apolipoprotein E deficient (apoE-/-) mice. They were kept in germ free conditions and fed with a normal chow diet. The bacteria were administered either intravenously (A. actinomycetemcomitans) or intranasally (C. pneumoniae). Several factors were determined from serum as well as from aortic and hepatic tissues. We also determined how cholesterol efflux, a major event in the removal of excess cholesterol from the tissues, and endothelial function were affected by these pathogens. In the human study, serum MMP-8 and its tissue inhibitor (TIMP-1) concentrations were measured and their associations during the follow-up time of 10 years with CVD events were determined. An infection with A. actinomycetemcomitans increased concentrations of inflammatory mediators, MMP production, and cholesterol deposit in macrophages, decreased lipoprotein particle size, and induced liver inflammation. C. pneumoniae infection also elicited an inflammatory response and endothelial dysfunction, as well as induced liver inflammation, microvesicular appearance and altered fatty acid profile. In the population-based cohort, men with increased serum MMP-8 concentration together with subclinical atherosclerosis (carotid artery intima media thickness > 1mm) had a three-fold increased risk for CVD death during the follow-up. The results show that infections with A. actinomycetemcomitans and C. pneumoniae induce proatherogenic changes, as well as affect the liver. These data therefore support the concept that common infections have systemic effects and could be considered as cardiovascular risk factors. Furthermore, our data indicate that, as an independent predictor of fatal CVD event, serum MMP-8 could have a clinical significance in diagnosing cardiovascular diseases.

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Drug Analysis without Primary Reference Standards: Application of LC-TOFMS and LC-CLND to Biofluids and Seized Material Primary reference standards for new drugs, metabolites, designer drugs or rare substances may not be obtainable within a reasonable period of time or their availability may also be hindered by extensive administrative requirements. Standards are usually costly and may have a limited shelf life. Finally, many compounds are not available commercially and sometimes not at all. A new approach within forensic and clinical drug analysis involves substance identification based on accurate mass measurement by liquid chromatography coupled with time-of-flight mass spectrometry (LC-TOFMS) and quantification by LC coupled with chemiluminescence nitrogen detection (LC-CLND) possessing equimolar response to nitrogen. Formula-based identification relies on the fact that the accurate mass of an ion from a chemical compound corresponds to the elemental composition of that compound. Single-calibrant nitrogen based quantification is feasible with a nitrogen-specific detector since approximately 90% of drugs contain nitrogen. A method was developed for toxicological drug screening in 1 ml urine samples by LC-TOFMS. A large target database of exact monoisotopic masses was constructed, representing the elemental formulae of reference drugs and their metabolites. Identification was based on matching the sample component s measured parameters with those in the database, including accurate mass and retention time, if available. In addition, an algorithm for isotopic pattern match (SigmaFit) was applied. Differences in ion abundance in urine extracts did not affect the mass accuracy or the SigmaFit values. For routine screening practice, a mass tolerance of 10 ppm and a SigmaFit tolerance of 0.03 were established. Seized street drug samples were analysed instantly by LC-TOFMS and LC-CLND, using a dilute and shoot approach. In the quantitative analysis of amphetamine, heroin and cocaine findings, the mean relative difference between the results of LC-CLND and the reference methods was only 11%. In blood specimens, liquid-liquid extraction recoveries for basic lipophilic drugs were first established and the validity of the generic extraction recovery-corrected single-calibrant LC-CLND was then verified with proficiency test samples. The mean accuracy was 24% and 17% for plasma and whole blood samples, respectively, all results falling within the confidence range of the reference concentrations. Further, metabolic ratios for the opioid drug tramadol were determined in a pharmacogenetic study setting. Extraction recovery estimation, based on model compounds with similar physicochemical characteristics, produced clinically feasible results without reference standards.