989 resultados para Prime de risque


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Cette étude vise à examiner les liens entre la sécurité d’attachement mère-enfant et les trois dimensions de la relation élève-enseignant, soit la proximité, la dépendance et les conflits. Plus encore, elle vise à examiner si les relations entre ces deux construits sont influencées ou modérées par le sexe de l’enfant et le niveau risque psychosocial auquel l’enfant est exposé. Quatre-vingt-neuf (89) dyades mère-enfant ont été évaluées. La sécurité d’attachement est mesurée à domicile lorsque l’enfant est âgé de 15 et de 18 mois et également en laboratoire deux semaines après la visite à domicile. De manière à évaluer la qualité de la relation élève-enseignant, les enseignantes des enfants ont été sollicitées vers la fin de la première année scolaire (environ 7 ans) afin de compléter un questionnaire. Dans un premier temps, les résultats obtenus suggèrent que les liens significatifs entre nos deux concepts sont spécifiques à seulement certaines dimensions de la relation élève-enseignant. De plus, les résultats montrent un effet de modération entre la sécurité d’attachement et le niveau de risque psychosocial dans la prédiction de la qualité de la relation élève-enseignant, plus spécifiquement au niveau des conflits. Quant au sexe de l’enfant, aucun effet significatif n’est trouvé sur la relation entre les deux concepts.

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Les jeunes ayant des problèmes de conduites (PC) sont à risque d'avoir des conséquences développementales majeures tout au long de leur vie. Ces conséquences entraînent d'importants coûts autant pour eux que pour la société. Parmi celles-ci, il y a la sexualité précoce, qui doit faire l'objet d'études auprès des jeunes présentant des PC puisqu’elle augmente le risque de contracter une maladie transmise sexuellement, de vivre une grossesse non désirée chez les filles ou de la parentalité précoce chez ces jeunes en général. Selon la théorie développementale de Moffitt (1993), les jeunes, dont les conduites antisociales débutent avant 10 ans et qui persistent jusqu'à l'âge adulte, sont les plus à risque de sexualité précoce. Chez ces jeunes, il serait possible de prédire la sexualité précoce en se basant sur trois domaines de facteurs de risque : les conditions sociofamiliales adverses et les pratiques parentales inadéquates, le comportement de l'enfant et son tempérament, ainsi que le développement neurocognitif (Moffitt et Caspi, 2001). Dans la documentation scientifique, certains auteurs ont montré que des facteurs de risque de ces domaines étaient associés à la sexualité précoce. Néanmoins, plusieurs facteurs (p.ex. : la précocité des PC ou les facteurs du développement neurocognitif) demeurent à explorer. Le présent mémoire a pour objectif d'examiner le poids relatif de différents facteurs associés au risque de sexualité précoce chez les jeunes présentant des PC ou à risque d'en présenter. De plus, afin de vérifier si les mêmes facteurs sont associés à la sexualité précoce pour les filles et les garçons, les interactions entre les facteurs associés à la sexualité précoce et le sexe ont été explorées. Provenant d'une étude longitudinale d'envergure, l'échantillon est composé de 143 jeunes qui présentaient ou non des PC au début du projet. Les résultats suggèrent que cinq variables sont associées à une augmentation du risque de sexualité précoce, soit 1- la perception de comportements de rejets indifférenciés du parent envers son enfant, 2- l'affiliation du jeune à des pairs déviants, 3- la précocité des symptômes de PC,4- le fait d’être une fille ou 5- le fait d’être un garçon et de présenter des PC précoces. De leur côté, les habiletés verbales (fluidité) diminuent le risque de sexualité précoce chez les jeunes présentant des PC ou à risque d'en présenter. Ces différents constats militent en faveur d'adapter certains programmes de prévention des conduites antisociales persistantes en y ajoutant des modules sur la sexualité. Chez les jeunes qui présentent l'ensemble de ces facteurs de risque, il serait important d'éduquer les jeunes sur la sexualité afin d'éviter que ces jeunes aient d'autres activités sexuelles à risque. Par ailleurs, il serait souhaitable d’étudier d’autres variables susceptibles d’être associées à la sexualité précoce (par ex. : l'intelligence ou la réussite en lecture). De plus, ce domaine de recherche nécessite d'autres travaux afin d'évaluer si les facteurs associés à la sexualité précoce sont également liés à d'autres activités sexuelles à risque comme l'utilisation inconstante de contraception.

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Résumé : Contexte: Les maladies cardiovasculaires (MCV) sont un enjeu contemporain de santé publique. Or, des recherches cliniques démontrent que certaines interventions sont efficaces dans leur traitement et prévention. Il s’agit d’interventions nutritionnelles éducatives priorisant des aliments végétaux minimalement transformés (VMT). Ces interventions promeuvent l’adoption de postures alimentaires se caractérisant par la consommation à volonté d’une grande variété d’aliments d’origine végétale (e.g. légumineuses, céréales entières, fruits, légumes) et par une diminution de la consommation d’aliments d’origine animale (e.g. viandes, œufs et produits laitiers) et ultra-transformés (e.g. riches en sucres, sel ou gras, et faibles en fibres). Objectifs: À l’aide d’un devis mixte concomitant imbriqué, nous avons évalué les effets d’un programme d’interventions éducatives visant à augmenter la consommation de VMT chez des adultes à risque de MCV et exploré les déterminants des modifications comportementales observées. Méthodologie : Divers paramètres physiologiques et anthropométriques ont été mesurés pré-post programme (n = 72) puis analysés avec un test t pour échantillons appariés ou un test signé des rangs de Wilcoxon. D’autre part, 10 entretiens semi-dirigés ont été réalisés post-programme et soutenus par un guide d’entretien basé sur le Food Choice Process Model. Les verbatims intégraux ont été codés selon la méthode d’analyse thématique. Résultats : Après 12 semaines, le poids (-10,5 lb, IC 95 %: 9,0-12,0), le tour de taille (-7,4 cm, IC 95 %:6,5-8,4), la tension artérielle diastolique (-3,2 mmHg, IC 95 %: 0,1-6,3), le cholestérol total (-0,87 mmol/ L, IC 95 %:0,57-1,17), le cholestérol LDL (-0,84 mmol/ L, IC 95 %: 0,55-1,13) et l’hémoglobine glyquée (-1,32 %, IC 95 %:-0,17-2,80) se sont significativement améliorés. L’analyse thématique des données qualitatives révèle que le programme, par la stimulation de valeurs de santé, d’éthique et d’intégrité, favorise la transformation des choix alimentaires vers une posture davantage axée sur les VMT durant une période clé du parcours de vie (i.e. pré-retraite). D’autres déterminants pouvant favoriser l’adoption d’une alimentation VMT ont été identifiés, dont les bénéfices importants observables à court terme, l’absence de restriction à l’égard de la quantité d’aliments VMT et le développement de compétences de planification dans l’acquisition et la préparation des aliments. Conclusion : Une intervention priorisant les VMT permet d’améliorer le profil cardiométabolique d’individus pré-retraités en raison de ses caractéristiques intrinsèques, mais aussi parce qu’elle modifie les valeurs impliquées dans les choix alimentaires.

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Un consensus peut être observé dans la littérature au sujet de l’augmentation du risque financier due à la mauvaise performance environnementale ainsi que la diminution du risque due à la bonne performance environnementale. Autant les chercheurs que les investisseurs s’entendent pour dire que la réputation de l’entreprise a un impact sur ses activités et sa performance. Les marchés financiers ajustent donc leur appréciation du risque des entreprises selon leur performance environnementale telle que mesurée par les cotes MSCI-KLD. Toutefois, est-ce que ces cotes sont véritablement liées au risque environnemental vécu par les entreprises? C’est la question de recherche abordée par ce mémoire. Plus spécifiquement, cette étude tente de déterminer si le niveau de performance environnementale d’une entreprise, telle que mesurée par la cote MSCI-KLD, a un impact sur sa probabilité d’expérimenter un événement environnemental, et donc sur sa réputation et son risque.

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The time-dependent CP asymmetries of the $B^0\to\pi^+\pi^-$ and $B^0_s\toK^+K^-$ decays and the time-integrated CP asymmetries of the $B^0\toK^+\pi^-$ and $B^0_s\to\pi^+K^-$ decays are measured, using the $p-p$ collision data collected with the LHCb detector and corresponding to the full Run2. The results are compatible with previous determinations of these quantities from LHCb, except for the CP-violation parameters of the $B^0_s\to K^+K^-$ decays, that show a discrepancy exceeding 3 standard deviations between different data-taking periods. The investigations being conducted to understand the discrepancy are documented. The measurement of the CKM matrix element $|V_{cb}|$ using $B^0_{s}\to D^{(*)-}_s\mu^+ \nu_\mu$ is also reported, using the $p-p$ collision data collected with the LHCb detector and corresponding to the full Run1. The measurement leads to $|V_{cb}| = (41.4\pm0.6\pm0.9\pm1.2)\times 10^{-3}$, where the first uncertainty is statistical, the second is systematic, and the third is due to external inputs. This measurement is compatible with the world averages and constitutes the first measurement of $|V_{cb}|$ at a hadron collider and the absolute first one with decays of the $B^0_s$ meson. The analysis also provides the very first measurements of the branching ratio and form factors parameters of the signal decay modes. The study of the characteristics ruling the response of an electromagnetic calorimeter (ECAL) to profitably operate in the high luminosity regime foreseen for the Upgrade2 of LHCb is reported in the final part of this Thesis. A fast and flexible simulation framework is developed to this purpose. Physics performance of different configurations of the ECAL are evaluated using samples of fully simulated $B^0\to \pi^+\pi^-\pi^0$ and $B^0\to K^{*0}e^+e^-$ decays. The results are used to guide the development of the future ECAL and are reported in the Framework Technical Design Report of the LHCb Upgrade2 detector.

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Questo lavoro, che si sviluppa in due tomi, si propone di stabilire nuove ipotesi di datazione per le prime cento pagine dello Zibaldone di pensieri, attraverso uno studio comparato dei temi trattati, incrociato con un’analisi paleografica, filologica e linguistica. Estremi cronologici dell’indagine sono l’estate del 1817, anno in cui Leopardi avvia il rapporto epistolare con Pietro Giordani, legge per la prima volta la Vita di Alfieri, primo momento di rivolgimento esistenziale e poetico, l’anno del “primo amore” e della “conversione letteraria”; e il gennaio del 1820, nella coda dei perturbamenti derivati dalla “mutazione totale”. Nella prima parte della tesi l’analisi è condotta attraverso uno studio preliminare delle vicende che hanno interessato l’autografo nei momenti di emersione dal privato della scrittura leopardiana e le successive vicende editoriali (cap. I.1); al centro della prima parte della tesi il lettore troverà una descrizione minuta del manoscritto (cap. I.2), e infine l’analisi del ruolo e della ‘funzione Zibaldone’ in rapporto alla formazione e alla produzione leopardiana (cap. I.3). La seconda parte prende in esame i “pensieri-guida” per la datazione, mettendo a sistema i diversi dati raccolti che diano riferimenti cronologici (cap. II.1), individua le diverse campagne di aggiunte successive (cap. II.2), infine le letture che trovano posto nelle cento pagine vengono analizzate anche in rapporto a una riflessione sui modi e i tempi di lettura leopardiani (cap. II.3). Il secondo tomo si apre con le edizioni delle prime cento pagine, la cartacea, provvista delle date che verranno stabilite nella seconda parte della tesi, e il prototipo di edizione digitale. In coda si troveranno “gli strumenti”, quei dati che si sono raccolti e che nella tesi vengono messi a sistema, consentendo di guardare allo Zibaldone e alla vita intellettuale di Leopardi negli anni che coinvolgono le prime cento pagine attraverso una luce nuova.

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The market for paint products with raw materials derived from renewable sources is growing rapidly in the building industry. When high performance in wet scrub resistance is required, “washable” paints are used. However, formulating products with Bio-Based raw materials generally results in a decrease in performances compared to similar products with raw materials from fossil sources. Therefore, a new formulation approach is needed to characterize polymeric binders from renewable sources and to consider the synergistic effects given by blends of polymeric binders of different origin and chemical structure. To date, the development of new formulations that imply less environmental impact is necessary if these products have to remain competitive in the marketplace. During the trainingship in IVAS S.p.A., washable paints with different PVC (Pigment Volume Concentration) were formulated and tested, evaluating whether the performance of paints with polymeric binders obtained from renewable sources was comparable to those with polymeric binders from fossil sources. The binders were chemically characterized by DSC, FT-IR and NMR analysis. Characterization tests of paints were focused on the evaluation of degree of whiteness, hiding power, dirt setting, and wet scrub resistance. Following the results obtained from the available binder combinations, it was possible to formulate two washable paints with comparable performances to those from fossil sources: paint A with 20 % of alkydic polymer and 80 % styrene/acrylic polymer and paint B with 40 % of alkydic polymer and 60 % styrene/acrylic polymer. Finally, the formulation was completed by adding the mainly Bio-Based derived additives generally used for this category of paints.

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L’obiettivo principale di questa tesi è stato lo studio dei fattori che a livello genetico, di formulazione e di processo possono influenzare lo sviluppo di acrilammide nei frollini. L’acrilammide è una sostanza che appartiene alla categoria dei “probabili cancerogeni” per la salute dell’uomo, per cui è necessario cercare di ridurne il contenuto negli alimenti. A livello legislativo, la Commissione Europea ha redatto un regolamento (Reg. UE 2017/2158) nel quale vengono indicate le principali norme e accortezze da seguire a livello aziendale per ridurre la sua presenza negli alimenti. Tramite l’attività di tirocinio svolta presso l’azienda Deco Industrie S. C. R. L. con sede a San Michele (RA) è stato possibile osservare concretamente a livello industriale i problemi legati all’accumulo di acrilammide per alcuni alimenti prodotti. In particolare, l’attenzione dell’azienda durante il periodo di mia permanenza presso la sede è stata rivolta a tre tipi di frollini, considerati i più critici, per i quali è stata monitorata la concentrazione di acrilammide nel tempo, andando a modificare la formulazione della ricetta. Ovviamente questo studio di tesi riporta un primo approccio al problema e rappresenta quindi il punto di partenza per studi futuri più approfonditi con lo scopo di raggiungere una standardizzazione del prodotto con livelli sempre più bassi di acrilammide.

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Universidade Estadual de Campinas . Faculdade de Educação Física

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This study evaluated in vitro the shear bond strength of a resin-based pit-and-fissure sealant (Fluroshield - F) associated with either an ethanol-based (Adper Single Bond 2 - SB) or an acetone-based (Prime & Bond - PB) adhesive system under conditions of oil contamination. Mesial and distal enamel surfaces from 30 sound third molars were randomly assigned to 2 groups (n=30): I - no oil contamination; II - oil contamination. Contamination (0.25 mL during 10 s) was performed after 37% phosphoric acid etching with an air/oil spray. The specimens were randomly assigned to subgroups, according to the bonding protocol adopted: subgroup A - F was applied to enamel without an intermediate bonding agent layer; In subgroups B and C, SB and PB, respectively, were applied, light-cured, and then F was applied and light-cured. Shear bond strength was tested at a crosshead speed of 0.5 mm/min in a universal testing machine. Means (± SD) in MPa were: IA-11.28 (±1.84); IIA-12.02 (±1.15); IB-9.73 (±2.38); IIB-9.62 (±2.29); IC-28.30 (±1.63); and IIC-25.50 (±1.91). It may be concluded that the oil contamination affected negatively the sealant bonding to enamel and the acetone-based adhesive system (PB) layer applied underneath the sealant was able to prevent its deleterious effects to adhesion.

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The purpose of this study was to evaluate the influence of intrapulpal pressure simulation on the bonding effectiveness of etch & rinse and self-etch adhesives to dentin. Eighty sound human molars were distributed into eight groups, according to the permeability level of each sample, measured by an apparatus to assess hydraulic conductance (Lp). Thus, a similar mean permeability was achieved in each group. Three etch & rinse adhesives (Prime & Bond NT - PB, Single Bond -SB, and Excite - EX) and one self-etch system (Clearfil SE Bond - SE) were employed, varying the presence or absence of an intrapulpal pressure (IPP) simulation of 15 cmH2O. After adhesive and restorative procedures were carried out, the samples were stored in distilled water for 24 hours at 37°C, and taken for tensile bond strength (TBS) testing. Fracture analysis was performed using a light microscope at 40 X magnification. The data, obtained in MPa, were then submitted to the Kruskal-Wallis test ( a = 0.05). The results revealed that the TBS of SB and EX was significantly reduced under IPP simulation, differing from the TBS of PB and SE. Moreover, SE obtained the highest bond strength values in the presence of IPP. It could be concluded that IPP simulation can influence the bond strength of certain adhesive systems to dentin and should be considered when in vitro studies are conducted.

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A long-standing debate in the literature is whether attention can form two or more independent spatial foci in addition to the well-known unique spatial focus. There is evidence that voluntary visual attention divides in space. The possibility that this also occurs for automatic visual attention was investigated here. Thirty-six female volunteers were tested. In each trial, a prime stimulus was presented in the left or right visual hemifield. This stimulus was characterized by the blinking of a superior, middle or inferior ring, the blinking of all these rings, or the blinking of the superior and inferior rings. A target stimulus to which the volunteer should respond with the same side hand or a target stimulus to which she should not respond was presented 100 ms later in a primed location, a location between two primed locations or a location in the contralateral hemifield. Reaction time to the positive target stimulus in a primed location was consistently shorter than reaction time in the horizontally corresponding contralateral location. This attentional effect was significantly smaller or absent when the positive target stimulus appeared in the middle location after the double prime stimulus. These results suggest that automatic visual attention can focus on two separate locations simultaneously, to some extent sparing the region in between.

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A partir da psicanálise, 31 indicadores clínicos de risco para o desenvolvimento infantil (IRDI) foram construídos e aplicados em 727 crianças entre 0 e 18 meses. Uma subamostra de 280 crianças foi avaliada com a idade de três anos. Uma primeira análise de resultados mostra uma relação entre imagem do corpo, dificuldade de separação, agitação motora e vínculos corporais estreitos com as mães. Esses resultados são discutidos criticamente à luz da noção atual de hiperatividade.

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Background: In Brazil, heart failure leads to approximately 25,000 deaths per year. Abnormal calcium handling is a hallmark of heart failure and changes in genes encoding for proteins involved in the re-uptake of calcium might harbor mutations leading to inherited cardiomyopathies. Phospholamban (PLN) plays a prime role in cardiac contractility and relaxation and mutations in the gene encoding PLN have been associated with dilated cardiomyopathy. In this study, our objective was to determine the presence of the -36A>C alteration in PLN gene in a Brazilian population of individuals with HF and to test whether this alteration is associated with heart failure or with a worse prognosis of patients with HF. Methods: We genotyped a cohort of 881 patients with HF and 1259 individuals from a cohort of individuals from the general population for the alteration -36A>C in the PLN gene. Allele and genotype frequencies were compared between groups (patients and control). In addition, frequencies or mean values of different phenotypes associated with cardiovascular disease were compared between genotypic groups. Finally, patients were prospectively followed-up for death incidence and genotypes for the -36A>C were compared regarding mortality incidence in HF patients. Results: No significant association was found between the study polymorphism and HF in our population. In addition, no association between PLN -36A>C polymorphism and demographic, clinical and functional characteristics and mortality incidence in this sample of HF patients was observed. Conclusion: Our data do not support a role for the PLN -36A>C alteration in modulating the heart failure phenotype, including its clinical course, in humans.

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The first known plan of the city of Sao Paulo, made in 1810 by Rufino Felizardo e Costa, is analyzed with emphasis on the cartographic and astronomical details: the precision, scale, magnetic declination, and orientation in relation to the north, the prime meridian, the precision of the coordinates (latitude and longitude) and others. An analytic methodology is followed, observing the plan and formulating questions. To answer then, resources of modern technologies are employed (digital cartography, GPS) as well as knowledge of the history of cartography. The work is justified by the fact that there are no cartographic studies about this important document.