951 resultados para after Coates et al. (1997)


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Universidade Estadual de Campinas . Faculdade de Educação Física

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Prince Maximilian zu Wied's great exploration of coastal Brazil in 1815-1817 resulted in important collections of reptiles, amphibians, birds, and mammals, many of which were new species later described by Wied himself The bulk of his collection was purchased for the American Museum of Natural History in 1869, although many ""type specimens"" had disappeared earlier. Wied carefully identified his localities but did not designate type specimens or type localities, which are taxonomic concepts that were not yet established. Information and manuscript names on a fraction (17 species) of his Brazilian reptiles and amphibians were transmitted by Wied to Prof. Heinrich Rudolf Schinz at the University of Zurich. Schinz included these species (credited to their discoverer ""Princ. Max."") in the second volume of Das Thierreich ... (1822). Most are junior objective synonyms of names published by Wied. However, six of the 17 names used by Schinz predate Wied's own publications. Three were manuscript names never published by Wied because he determined the species to be previously known. (1) Lacerta vittata Schinz, 1822 (a nomen oblitum) = Lacerta striata sensu Wied (a misidentification, non Linnaeus nec sensu Merrem) = Kentropyx calcarata Spix, 1825, herein qualified as a nomen protectum. (2) Polychrus virescens Schinz, 1822 = Lacerta marmorata Linnaeus, 1758 (now Polychrus marmoratus). (3) Scincus cyanurus Schinz, 1822 (a nomen oblitum) = Gymnophthalmus quadrilineatus sensu Wied (a misidentification, non Linnaeus nec sensu Merrem) = Micrablepharus maximiliani (Reinhardt and Lutken, ""1861"" [1862]), herein qualified as a nomen protectum. Qualifying Scincus cyanurus Schinz, 1822, as a nomen oblitum also removes the problem of homonymy with the later-named Pacific skink Scincus cyanurus Lesson (= Emoia cyanura). The remaining three names used by Schinz are senior objective synonyms that take priority over Wied's names. (4) Bufo cinctus Schinz, 1822, is senior to Bufo cinctus Wied, 1823; both, however, are junior synonyms of Bufo crucifer Wied, 1821 = Chaunus crucifer (Wied). (5) Agama picta Schinz, 1822, is senior to Agama picta Wied, 1823, requiring a change of authorship for this poorly known species, to be known as Enyalius pictus (Schinz). (6) Lacerta cyanomelas Schinz, 1822, predates Teius cyanomelas Wied, 1824 (1822-1831) both nomina oblita. Wied's illustration and description shows cyanomelas as apparently conspecific with the recently described but already well-known Cnemidophorus nativo Rocha et al., 1997, which is the valid name because of its qualification herein as a nomen protectum. The preceding specific name cyanomelas (as corrected in an errata section) is misspelled several ways in different copies of Schinz's original description (""cyanom las,"" ""cyanomlas,"" and cyanom""). Loosening, separation, and final loss of the last three letters of movable type in the printing chase probably accounts for the variant misspellings.

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The aim of the present research was to provide school psychologists with valid instruments with which to assess the goals and reputations of young children. This was achieved by ascertaining whether the factor structures and the second-order factor models of the high school versions of the Importance of Goals (Carroll, et al., 1997) and Reputation Enhancement Scales (Carroll, et al., 1999) could be replicated with a primary school sample. Eight hundred and eighty-six 10 to 12 year old children were administered modified versions of the two scales, which were combined and renamed the Children's Activity Questionnaire. For the two scales, the factor structure proved replicable and reliable with the primary school sample. A comparison between the factor loadings of the primary school and the high school samples using the coefficient of congruence procedure demonstrated similarity indicating that the scales are replicable and able to be used with a younger primary school sample. Structural equation modelling indicated that the second-order factor structure of the Importance of Goals Scale was acceptable but this was not the case for the second-order factor structure of the Reputation Enhancement Scale.

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Following the application of the remember/know paradigm to student learning by Conway et al. (1997), this study examined changes in learning and memory awareness of university students in a lecture course and a research methods course. The proposed shift from a dominance of 'remember' awareness in early learning to a dominance of 'know' awareness as learning progresses and schematization occurs was evident for the methods course but not for the lecture course. The patterns of remember and know awareness and proposed associated levels of schematization were supported by a separate measure of the quality of student learning using the SOLO (Structure of Observed Learning Outcomes) Taxonomy. As found by previous research, the remember-to-know shift and schematization of knowledge is dependent upon type of course and level of achievement. Findings are discussed in terms of the utility of the methodology used, the theoretical implications and the applications to educational practice. Copyright (C) 2001 John Wiley & Sons, Ltd.

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The role that Epstein-Barr virus plays in nasopharyngeal carcinoma and Burkitt's lymphoma has been under intense study for many years. With only a limited set of viral genes being expressed in these tumours it has been difficult to understand how the virus could cause/aid in the generation of the tumours. In 1997 a paper was published by Fries et al. [Fries et al. (1997) Identification of a novel protein encoded by the BamHI A region of the Epstein-Barr virus. J Virol 71: 2765-2771.] in which a rabbit serum was generated and used to identify protein products (RK-BARF0) encoded from the BamH1 A region of EBV. In this paper we have isolated these proteins from two-dimensional gels and identified them, using mass spectrometry, as components of HLA DR.

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The industry of ergogenic supplements is increasing rapidly (Cole et al., 2003). Supplements may constitute an important aid for some vigourous exercise routines, but they may also be used as a hypothetical mean to achieve increases in muscular mass. This supposed effect of suplements can lead to its use by individuals who have high levels of drive for muscularity, a condition that is known to be associated with muscular dismorphy (or as it has been called recently vigorexia, Pope et al., 1997). Another psychological factor which can influence supplement consumption is exercise dependence, a borderline problem, as most studies present a prevalence of less than 10% in regular exercisers (Palmeira & Matos, 2006). Symptoms like tolerance or continuity could lead to the use of ergogenic aids to maintain the exercise levels. Also of interest for the understanding of the use of suplements are exercise frequency, volume and intensity, which could explain the ratesof consumption on a more physicological level.

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As relações do envolvimento religioso com os traços da personalidade em indivíduos do meio rural e indivíduos do meio urbano foram investigadas neste trabalho. Este estudo tem como objectivo o estabelecimento de associações entre traços de personalidade e religião, procedendo a um estudo comparativo entre uma amostra, constituída por indivíduos do meio urbano. A amostra rural foi recolhida no distrito de Portalegre e contou com a participação de 200 sujeitos escolhidos aleatoriamente, tendo sido também recolhida uma amostra de outros 200 sujeitos no meio urbano, em específico na região da Grande Lisboa, de uma forma aleatória. As idades dos participantes estão compreendidas entre os 18 e os 103 anos (M=44,20; DP=19,637), sendo os individuos de ambos os sexos. Procedeu-se a uma caracterização sociodemográfica da amostra e recorreu-se à aplicação de quatro instrumentos, a DUREL (Koening, 1997), o BFI (Oliver & John, 2001), o PANAS (Watson, Clark & Tellegen, 1988) e a PDS (Paulhus, 1998). Os resultados obtidos demonstraram associações sigmificativas entre as dimensões da personalidade, com as dimensões da religiosidade. Verificou-se que os indivíduos com alta religiosidade. Verificou-se que os indivíduos com uma religiosidade apresentam traços mais vincados de amabilidade e de conscienciosidade. Por outro lado verificou-se que os indivíduos com alta religiosidade no meio urbano apresentam um nível mais elevado de neuroticismo e de abertura à experiência do que no meio rural. ABSTRACT: The relation between the religious involvement with the personality traits in individuals from rural and urban environment were investigated in this work . This study aims to establish associations between personality traits and religion, by carrying out a comparative study of a sample consisting of individuals from rural areas and a sample of individuals from urban areas. The rural sample was collected in the district of Portalegre, in which participated 200 individuals randomly chosen, a sample of 200 individuals in the urban area, specifically in the area of Lisbon city, chosen at random, were also collected. The ages of participants are between 18 and 103 years old (M= 44.20, SD=19.637). A social-demographic characterization of the sample was carried out and four measures were used – Durel (Koenig et al., 1997), BFI (Oliver & John, 2001), the PANAS (Watson Clark & Tellegen, 1988) and PDS (Paulhus, 1998). Results showed significant associations between dimensions of personality and dimensions of religiosity. It was found that individuals with a high religiosity have more pronouneed trits of kindness and conscientiousness. Moreover it was found that individuals with high religiosity in urban areas have a higher level of neuroticism and openness to experience than in rural areas.

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Enquadramento: O VIH/Sida exige uma ação direcionada na vertente da prevenção, cujo suporte integra a transmissão de conhecimentos promotores da adoção e manutenção de comportamentos seguros, em conformidade com as características sociais e culturais dos indivíduos. Objetivos: Validar, para a população do Sudão do Sul, a Escala de Conhecimentos sobre VIH/Sida, The HIV Knowledge Questionnaire: HIV-KQ-45, de Carey et al. (1997); analisar de que forma as variáveis sociodemográficas influenciam os conhecimentos sobre VIH/Sida, dos cidadãos de Mapuordit Sudão do Sul; verificar se a frequência de formação sobre VIH/Sida influencia o seu nível de conhecimentos. Metodologia: Estudo quantitativo, descritivo-analtico e transversal, com 232 clientes do Mary Immaculate de Mapuordit Hospital. Foi utilizado um Questionário de caracterização sociodemográfica e do contexto de formação sobre o VIH/Sida, e o HIV Knowledge Questionnaire (HVI-K-Q) de Carey, Morrison-Beedy e Johnson (1997). Resultados: Amostra é maioritariamente masculina (74.6%), com uma média de idade 22,83 (±5.793 anos). A análise fatorial confirmatória do HIV-K-Q permitiu apurar 5 fatores, cujos valores médios mais significativos foram nos fatores preconceitos/medos (média=80.60%), conhecimentos sobre os comportamentos de risco (média=76.58%) e vias de transmissão (média=70.36%). Os sudaneses pontuaram maioritariamente com razoáveis conhecimentos sobre a Sida (média=68.08%). As mulheres, os participantes mais velhos, com companheiro(a), mais escolarizados, profissionalmente ativos, a distar do hospital =<20 Km, deslocando-se num veículo não motorizado e com diagnóstico de VIH relataram mais conhecimentos sobre a Sida. Os participantes com informação sobre a prevenção do VIH/Sida e frequência em workshop na área demonstraram melhores conhecimentos. Revelaram-se preditivas dos conhecimentos acerca da doença as habilitações literárias (β=0.32) e o diagnóstico de VIH/Sida (β=0.14) revelou-se preditor dos conhecimentos sobre os comportamentos de risco. Conclusão: As casuísticas significativas do VIH/Sida justificam considerar as habilitações literárias e a presença de diagnóstico VIH/Sida como variáveis a avaliar previamente ao planeamento estratégico das ações de educação para a prevenção do VIH/Sida no Sudão do Sul. Palavras-chave: Conhecimentos; VIH/Sida; Sudão do Sul.

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The hoverfly fauna of the Azores currently comprises 23 species (Smit 2010), but the current state of knowledge concerning these species differs for each island. In the year 1938, R. Frey and R. Storå recorded the first seven hoverfly species on Pico Island (Frey 1945), and these very same ones were still mentioned by Rojo et al. (1997). Smit (2010) added one more species to this list (Table 1). In the summer of 2014, the author of this article sampled hoverflies on Pico Island in several habitats. In this paper, the results will be presented.

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The knowledge-based society we live in has stressed the importance of human capital and brought talent to the top of most wanted skills, especially to companies who want to succeed in turbulent environments worldwide. In fact, streams, sequences of decisions and resource commitments characterize the day-to-day of multinational companies (MNCs). Such decision-making activities encompass major strategic moves like internationalization and new market entries or diversification and acquisitions. In most companies, these strategic decisions are extensively discussed and debated and are generally framed, formulated, and articulated in specialized language often developed by the best minds in the company. Yet the language used in such deliberations, in detailing and enacting the implementation strategy is usually taken for granted and receives little if any explicit attention (Brannen & Doz, 2012) an can still be a “forgotten factor” (Marschan et al. 1997). Literature on language management and international business refers to lack of awareness of business managers of the impact that language can have not only in communication effectiveness but especially in knowledge transfer and knowledge management in business environments. In the context of MNCs, management is, for many different reasons, more complex and demanding than that of a national company, mainly because of diversity factors inherent to internationalization, namely geographical and cultural spaces, i.e, varied mindsets. Moreover, the way of functioning, and managing language, of the MNC depends on its vision, its values and its internationalization model, i.e on in the way the MNE adapts to and controls the new markets, which can vary essentially from a more ethnocentric to a more pluricentric focus. Regardless of the internationalization model followed by the MNC, communication between different business units is essential to achieve unity in diversity and business sustainability. For the business flow and prosperity, inter-subsidiary, intra-company and company-client (customers, suppliers, governments, municipalities, etc..) communication must work in various directions and levels of the organization. If not well managed, this diversity can be a barrier to global coordination and create turbulent environments, even if a good technological support is available (Feely et al., 2002: 4). According to Marchan-Piekkari (1999) the tongue can be both (i) a barrier, (ii) a facilitator and (iii) a source of power. Moreover, the lack of preparation for the barriers of linguistic diversity can lead to various costs, including negotiations’ failure and failure on internationalization.. On the other hand, communication and language fluency is not just a message transfer procedure, but above all a knowledge transfer process, which requires extra-linguistic skills (persuasion, assertiveness …) in order to promote credibility of both parties. For this reason, MNCs need a common code to communicate and trade information inside and outside the company, which will require one or more strategies, in order to overcome possible barriers and organization distortions.

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In the last twenty years genetic algorithms (GAs) were applied in a plethora of fields such as: control, system identification, robotics, planning and scheduling, image processing, and pattern and speech recognition (Bäck et al., 1997). In robotics the problems of trajectory planning, collision avoidance and manipulator structure design considering a single criteria has been solved using several techniques (Alander, 2003). Most engineering applications require the optimization of several criteria simultaneously. Often the problems are complex, include discrete and continuous variables and there is no prior knowledge about the search space. These kind of problems are very more complex, since they consider multiple design criteria simultaneously within the optimization procedure. This is known as a multi-criteria (or multiobjective) optimization, that has been addressed successfully through GAs (Deb, 2001). The overall aim of multi-criteria evolutionary algorithms is to achieve a set of non-dominated optimal solutions known as Pareto front. At the end of the optimization procedure, instead of a single optimal (or near optimal) solution, the decision maker can select a solution from the Pareto front. Some of the key issues in multi-criteria GAs are: i) the number of objectives, ii) to obtain a Pareto front as wide as possible and iii) to achieve a Pareto front uniformly spread. Indeed, multi-objective techniques using GAs have been increasing in relevance as a research area. In 1989, Goldberg suggested the use of a GA to solve multi-objective problems and since then other researchers have been developing new methods, such as the multi-objective genetic algorithm (MOGA) (Fonseca & Fleming, 1995), the non-dominated sorted genetic algorithm (NSGA) (Deb, 2001), and the niched Pareto genetic algorithm (NPGA) (Horn et al., 1994), among several other variants (Coello, 1998). In this work the trajectory planning problem considers: i) robots with 2 and 3 degrees of freedom (dof ), ii) the inclusion of obstacles in the workspace and iii) up to five criteria that are used to qualify the evolving trajectory, namely the: joint traveling distance, joint velocity, end effector / Cartesian distance, end effector / Cartesian velocity and energy involved. These criteria are used to minimize the joint and end effector traveled distance, trajectory ripple and energy required by the manipulator to reach at destination point. Bearing this ideas in mind, the paper addresses the planning of robot trajectories, meaning the development of an algorithm to find a continuous motion that takes the manipulator from a given starting configuration up to a desired end position without colliding with any obstacle in the workspace. The chapter is organized as follows. Section 2 describes the trajectory planning and several approaches proposed in the literature. Section 3 formulates the problem, namely the representation adopted to solve the trajectory planning and the objectives considered in the optimization. Section 4 studies the algorithm convergence. Section 5 studies a 2R manipulator (i.e., a robot with two rotational joints/links) when the optimization trajectory considers two and five objectives. Sections 6 and 7 show the results for the 3R redundant manipulator with five goals and for other complementary experiments are described, respectively. Finally, section 8 draws the main conclusions.

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Entre os contributos etiológicos das principais LMEMSLT observam-se distintas perspectivas fisiopatológicas, diversos factores de risco – determinantes na óptica dos diversos investigadores – assim como díspares suportes conceptuais na elaboração dos métodos de identificação e avaliação do risco de LMEMSLT. A frequente insuficiência de informação e até, eventualmente, a presença de elementos cientificamente pouco robustos (ou mesmo hipotéticos) no procedimento de obtenção dos resultados finais (scores) com cada método de avaliação do risco, julga-se determinar a obtenção de distintos resultados no mesmo posto de trabalho e deu origem à principal questão de investigação: será possível identificar qual o(s) método(s) de avaliação do risco de LMEMSLT mais adequado (s) face à presença de factores de risco no local de trabalho? O presente estudo foi efectuado numa empresa da indústria automóvel e analisou a utilização de uma estratégia gradativa de selecção de instrumentos de identificação de factores de risco e de métodos de avaliação integrada do risco de LMEMSLT, no sentido de contribuir para a efectividade do processo de identificação e avaliação do risco destas lesões em meio industrial. No essencial, utilizou-se uma adaptação da estratégia de avaliação do risco de Malchaire (Malchaire, 1999), analisando os dois primeiros passos, os mais frequentes e que se consideram essenciais: a identificação de factores de risco e a avaliação do risco. Utilizaram-se como ponto de partida as classificações do risco em postos de trabalho onde a aplicação do método OCRA – base do projecto de norma Europeu prEN 1005-5 para a estimativa do risco de LMEMSLT – identificou níveis de risco moderados e/ou elevados (score OCRA ≥ 16,5). Assim analisaram-se postos de trabalho (n=71) classificados pelo método OCRA (Occhipinti, 1998) como de risco de LMEMSLT moderado (n=37) e elevado (n=34). Registou-se em vídeo a actividade de trabalho e analisaram-se os principais factores de risco (postura, força, repetitividade e exposição a vibrações). Aplicaram-se diversos instrumentos: (1) de identificação de factores de risco – filtros HSE (HSE, 2002) e OSHA (Silverstein, 1997) – e (2) de análise do risco – métodos RULA (McAtamney; Corlett, 1993), SI (Moore; Garg, 1995) e HAL (Lakto et al., 1997). Dos resultados globais da aplicação dos referidos filtros e métodos é possível destacar que os resultados dos filtros são no essencial semelhantes, enquanto os métodos apresentam discrepâncias mais evidentes: o método OCRA classificou os 71 postos de trabalho como de risco, o método SI classificou 41 postos com esse nível, o método HAL classificou 35 postos como de risco e o método RULA classificou apenas 26 postos de risco (OCRA-RULA rS=-0,126 n.s.). Apesar disso as relações existentes entre os seus resultados apresentam algumas semelhanças (p<0,001): OCRA-SI rSp=0,520 e OCRA-HAL rSp=0,422. Destaque, igualmente, para as divergências entre os postos classificados de risco elevado com os diversos métodos, isto é, por exemplo de entre os 41 postos com scores de risco da aplicação do método SI apenas se encontram12 postos classificados de risco pelo método RULA. Os resultados dos filtros permitiram no geral identificar a presença ou ausência dos principais factores de risco, apesar de se verificarem distintos resultados de validade preditiva particularmente a nível da postura (HSE=0,75; OSHA=0,57) e da aplicação de força (HSE=0,59; OSHA=0,80). Os resultados dos métodos permitem evidenciar ponderações diversas para os factores de risco analisados, apresentando semelhanças em situações de aplicação de força (OCRA=0,80; SI=0,80; HAL=0,78), de dissemelhanças na análise da presença de posturas extremas (OCRA=0,62; SI=0,68; RULA=0,48) e da repetitividade (OCRA=0,66; SI=0,35; RULA=0,43; HAL=0,39) ou, em oposição, não incluindo na sua avaliação do risco determinados factores de risco, como é o caso da exposição a vibrações (SI, RULA e HAL) ou da avaliação das posturas (HAL). Deste modo, conclui-se pela pertinência da utilização de um filtro que permita a identificação dos factores de risco presentes em cada posto de trabalho e por consequência oriente a selecção do método mais indicado ou ainda, em oposição, do método contra-indicado. Este trabalho, como um contributo para uma efectiva identificação e avaliação do risco de LMEMSLT, alerta para a necessidade de elaboração

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Higher education has earned in the recent years an increasing attention in Europe. European Higher Education Area (EHEA) is being developed, a three-cycle qualifications structure is formally in place, the principles of quality assurance are agreed, and a range of mobility instruments is being created. A European Qualifications Framework (EQF) is established (2008), and national qualifications frameworks in Europe should be all be published this year. In the HRM field, higher education is remaining largely unexamined. It is undertheorised and with lack of empirical research, especially if we consider the European reality. With the exception of Brewster et al. (2000) and Boxall et al. (2007), all the research published on the specific HRM higher education field seems to be American (Barber, 1999; Chadwick, 2005; Hayton et al.,2005; Kaufman, 1996, 1999; Langbert, 2005, 2000; Sincoff & Owen, 2004; Van Eyden et al., 1997; Wimbush 2008). This study analyses HRM higher education in Europe with the aim to identify the current trends of European HRM academic qualifications system. In order to provide strategic indicators on the subject, research was carried out in 14 European countries. The sample was constituted by the three cycles defined in Bergen (bachelor, master and PhD) and the primary information source was the Portal on Learning Opportunities throughout the European Space promoted by the European Commission (PLOTEUS). Within a qualitative methodology, qualifications’ structures, approaches, and competencies are explored as main analytical categories.