983 resultados para print culture
Tiedostumaton nykytaiteessa : Katse, ääni ja aika vuosituhannen taitteen suomalaisessa nykytaiteessa
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Leevi Haapala explores moving image works, sculptures and installations from a psychoanalytic perspective in his study The Unconscious in Contemporary Art. The Gaze, Voice and Time in Finnish Contemporary Art at the Turn of the Millennium . The artists included in the study are Eija-Liisa Ahtila, Hans-Christian Berg, Markus Copper, Liisa Lounila and Salla Tykkä. The theoretical framework includes different psychoanalytic readings of the concepts of the gaze, voice and temporality. The installations are based on spatiality and temporality, and their detailed reading emphasizes the medium-specific features of the works as well as their fragmentary nature, heterogeneity and affectivity. The study is cross-disciplinary in that it connects perspectives from the visual culture, new art history and theory to the interpretation of contemporary art. The most important concepts from psychoanalysis, affect theory and trauma discourse used in the study include affect, object a (objet petit a) as articulated by Jacques Lacan, Sigmund Freud s uncanny (das Unheimliche) and trauma. Das Unheimliche has been translated as uncanny in art history under the influence of Rosalind Krauss. The object of the study, the unconscious in contemporary art, is approached through these concepts. The study focuses on Lacan s additions to the list of partial drives: the gaze and voice as scopic and invocative drives and their interpretations in the studies of the moving image. The texts by the American film theorist and art historian Kaja Silverman are in crucial role. The study locates contemporary art as part of trauma culture, which has a tendency to define individual and historical experiences through trauma. Some of the art works point towards trauma, which may appear as a theoretic or fictitious construction. The study presents a comprehensive collection of different kinds of trauma discourse in the field of art research through the texts of Hal Foster, Cathy Caruth, Ruth Leys and Shoshana Felman. The study connects trauma theory with the theoretical analysis of the interference and discontinuity of the moving image in the readings by Susan Buck-Morss, Mary Ann Doane and Peter Osborn among others. The analysis emphasizes different ways of seeing and multisensoriality in the reception of contemporary art. With their reflections and inverse projections, the surprising mechanisms of Hans-Christian Berg s sculptures are connected with Lacan s views on the early mirroring and imitation attempts of the individual s body image. Salla Tykkä s film trilogy Cave invites one to contemplate the Lacanian theory of the gaze in relation to the experiences of being seen. The three oceanic sculpture installations by Markus Copper are studied through the vocality they create, often through an aggressive way of acting, as well as from the point of view of the functioning of an invocative drive. The study compares the work of fiction and Freud s texts on paranoia and psychosis to Eija-Liisa Ahtila s manuscripts and moving image installations about the same topic. The cinematic time in Liisa Lounila s time-slice video installations is approached through the theoretical study of the unconscious temporal structure. The viewer of the moving image is inside the work in an in-between state: in a space produced by the contents of the work and its technology. The installations of the moving image enable us to inhabit different kinds of virtual bodies or spaces, which do not correspond with our everyday experiences. Nevertheless, the works of art often try to deconstruct the identification to what has been shown on screen. This way, the viewer s attention can be fixed on his own unconscious experiences in parallel with the work s deconstructed nature as representation. The study shows that contemporary art is a central cultural practice, which allows us to discuss the unconscious in a meaningful way. The study suggests that the agency that is discursively diffuse and consists of several different praxes should be called the unconscious. The emergence of the unconscious can happen in two areas: in contemporary art through different senses and discursive elements, and in the study of contemporary art, which, being a linguistic activity is sensitive to the movements of the unconscious. One of the missions of art research is to build different kinds of articulated constructs and to open an interpretative space for the nature of art as an event.
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The dissertation discusses the conceptions of place and landscape amongst Nenets living on the island of Kolguyev or being of Kolguyev descent. The conceptions are examined through the everyday life of the community, oral recollections and narration that unfold meanings related to the island. The research material has been collected in ethnographic fieldwork in 2000 2005. The duration of individual fieldworks varies from two weeks to three months and their total duration is nearly six months. The fieldwork has been conducted both on the island and in the city of Nar yan-Mar. The main methods have been participant observation and recorded and unrecorded informal interviews. In addition to the field work data, archive materials, travel accounts, and other historical texts by outsiders about Kolguyev or the Nenets living in the European side of Russia have been used as a research material. The analysis is based on the idea of the place as a meeting point of the physical features, experiences in them and collective narration about them. The concept sense of place is used to describe the interaction of these three. Lived space manifests individual s or collective sense of place. The places form different kinds of networks of meanings which are called landscapes. Hot spots are places where different meanings accumulate. Furthermore, the material is analysed using the concepts of Tale World and Story Realm by Katherine Young. The Tale World is a realm created during the Story Realm, i.e. the event of narrations. The Tale Worlds are true as such but become evaluated in the Story Realm. The Tale Worlds are seen to arise both from the physical features of a place and from oral tradition, but at the same time these worlds give meanings to the place. The Tale Worlds are one of the central ingredients for the sense of place. One of the most central hot spots in Kolguyev is the arok harbour, where most of the themes of the pre-Soviet Tale Worlds are placed: trade and interaction with the Russians, rituals of the popular religion and arrival of the first Nenets to the island. arok is also part of the landscape of the coast where the meetings of Nenets and the other(s) are generally connected. Furthermore, arok is connected to the network of amans graves but also more generally to the landscape of collective sacred and sacrificial places. Another hot spot is the population centre of Bugrino which unfolds through the evaluations of the Tale Worlds. It also is the centre of the everyday life of the community studied. The Tale Worlds of the radiant past fastens on the population centre which is described through the negative models within the genre of litany. Sacred places, that represent the possibility to meet the Otherworld or mark places were encounters with the Otherworld have taken place, generate many kinds of landscapes in the island. They fasten on the graves of the amans, sirtya tradition, and to collective sacred places with their associations. The networks are not closed systems but are given meanings and new associations continuously in narration and recollection. They form multi-level and significant landscapes which reflect the fastening of the Kolguyev Nenets in the tundra of the island. In the research material the holy places and the popular religiousness are emphasised which is one of the most significant research results. It can be seen to reflect collective resistance and the questioning of the atheistic propaganda of the Soviet years. The narration and the recollection often refer also to the discourse of the anti-religious propaganda or use its strategies. The centrality of the holy places is also based on the tenacity of the religious Tale Worlds and sense of place and to the collective significance of the religion in general.
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This monograph describes the emergence of independent research on logic in Finland. The emphasis is placed on three well-known students of Eino Kaila: Georg Henrik von Wright (1916-2003), Erik Stenius (1911-1990), and Oiva Ketonen (1913-2000), and their research between the early 1930s and the early 1950s. The early academic work of these scholars laid the foundations for today's strong tradition in logic in Finland and also became internationally recognized. However, due attention has not been given to these works later, nor have they been comprehensively presented together. Each chapter of the book focuses on the life and work of one of Kaila's aforementioned students, with a fourth chapter discussing works on logic by authors who would later become known within other disciplines. Through an extensive use of correspondence and other archived material, some insight has been gained into the persons behind the academic personae. Unique and unpublished biographical material has been available for this task. The chapter on Oiva Ketonen focuses primarily on his work on what is today known as proof theory, especially on his proof theoretical system with invertible rules that permits a terminating root-first proof search. The independency of the parallel postulate is proved as an example of the strength of root-first proof search. Ketonen was to our knowledge Gerhard Gentzen's (the 'father' of proof theory) only student. Correspondence and a hitherto unavailable autobiographic manuscript, in addition to an unpublished article on the relationship between logic and epistemology, is presented. The chapter on Erik Stenius discusses his work on paradoxes and set theory, more specifically on how a rigid theory of definitions is employed to avoid these paradoxes. A presentation by Paul Bernays on Stenius' attempt at a proof of the consistency of arithmetic is reconstructed based on Bernays' lecture notes. Stenius correspondence with Paul Bernays, Evert Beth, and Georg Kreisel is discussed. The chapter on Georg Henrik von Wright presents his early work on probability and epistemology, along with his later work on modal logic that made him internationally famous. Correspondence from various archives (especially with Kaila and Charlie Dunbar Broad) further discusses his academic achievements and his experiences during the challenging circumstances of the 1940s.
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Tässä tutkielmassa tutkin tanssin liikemateriaalin kirjoittamista suomalaisessa tanssitaiteessa. Tutkielman tarkoitus on pohtia 1) mikä tanssista taiteenlajina tekee sellaisen, että virallinen notaatio on katsottu tarpeettomaksi, 2) mitä keinoja Suomessa tanssin parissa työskentelevät ovat kehittäneet selviytyäkseen ilman yhteistä notaatiota, sekä 3) miten yhteisen tanssinotaation laajempi käyttö voisi mahdollisesti hyödyttää tanssia. Tutkielman näkökulma on poikkitaiteellinen: vertaan tanssia ja sen käsittämistä taiteena sen sisartaiteeseen, musiikkiin. Tärkeimmät käsitellyt teoreetikot ovat musiikkipsykologi John A. Sloboda, symbolista representaatiota käsitelleet Marc Leman ja Kari Kurkela sekä musiikin ruumiillisuutta tutkinut musiikkitieteilijä Suzanne Cusick. Tanssin tutkimuksen piiristä ammennan teoreettista materiaalia ennen kaikkea Rudolf Labanin ja Valerie Preston-Dunlopin liikkeen analyysista sekä tanssinotaatiota käsitelleiden Claudia Jeschken, Judy Van Zilen, Victoria Wattsin ja Grahm McFeen artikkeleista. Toista tutkimuskysymystä varten keräsin v.2009 kyselyaineiston, jota käytän tukemaan teoreettisia väitteitäni notaation käytöstä. Aineiston keruumetodini oli kyselykaavake, joka lähetettiin jokaiseen Suomen tanssioppilaitokseen ja tanssiteattereihin sekä niille ammattimaisesti toimivien tanssiryhmien tanssijoille ja koreografeille ja itsenäisille toimijoille, joiden yhteystiedot olivat saatavilla Tanssin tiedotuskeskuksen tai Tanssin aluekeskusten kautta. Pienen vastausprosentin vuoksi aineistoa ei ollut mielekästä tutkia kvantitatiivisin menetelmin, vaan vastauksia käsitellään havainnollistavina esimerkkeinä tanssin kentältä. Yleisesti suomalaisen tanssitaiteen kentällä yhteisellä notaatiosysteemillä käsitetään labanotaatiota. Notaatio koetaan varsinaisen tanssin päälle liimattuna asiana, ei taiteenlajin ytimeen kuuluvana tekstinä. Suzan Cusackin ruumiillisuusteoriaa mukaillen huomioin, että musiikki on totuttu käsittämään mielen aktiviteettina, kun taas tanssi on nähty lähes täysin ruumiillisena toimintana. Tätä mielen ja kehon vastakkainasettelua vasten notaatiota on perinteisesti sovellettu musiikkiin, mutta tanssiin ei. Kaikki kyselyyn vastanneet suomalaisen tanssitaiteen ammattilaiset kuitenkin kirjoittivat tanssia muistiin paperille. Kerätty materiaali osoitti siihen suuntaan, että symbolinen representaatio tanssista on tärkeä silloin, kun halutaan kuvata tanssin rakennetta: esimerkiksi teoksen muotoa ja dramaturgiaa. Liikemuistin tukena sen rooli korostuu erityisesti opetustyössä. Niin John A. Sloboda kuin Kari Kurkelakin korostavat symbolisen representaation roolia kommunikaation välineenä; lisäksi sen käyttö voi Graham McFeen mukaan selventää teosidentiteettiä sekä luoda arkistoa paitsi valmiista teoksista, myös koreografisesta prosessista ja esitystavoista. Myös nämä molemmat näkökulmat tulivat esiin aineistossa. Toisin kuin musiikin piirissä, notaatiota ei yleensä opeteta tanssijoille. John A. Slobodaa mukaillen esitän, että minkä tahansa notaation osaaminen saattaa muuttaa tanssin tekijän kognitiivisia prosesseja ja ajattelutapaa tanssista, ja suullisesta kulttuurista kirjoitettuun kulttuuriin siirtyminen pitää sisällään niin etuja kuin riskejäkin. Jos notaation siitä huolimatta halutaan tulevan eläväksi osaksi tanssia ja hyödyntävän sitä taiteenlajina, olisi notaatiokysymykseen otettava uudenlainen pedagoginen lähestymistapa: tanssinotaatiota olisi opetettava alkeistasolta lähtien ja kyseenalaistettava ajatus, jonka mukaan koreologi tai notaattori on erillinen ammatti.
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Tarkastelen pro gradu -tutkielmassani teatteri- ja draamakasvatusta osana teatteritapahtumaa käyttämällä tapausesimerkkinä Nälkäteatteri ry:n syksyllä 2010 tuottamaa ala-asteikäisille suunnattua MUMMO-esitys ja draamatyöpajakokonaisuutta. Tutkimukseni on laadullinen tapaustutkimus, jonka tavoitteena on tutkia teatteritapahtuman käsitettä ja prosessia erityisesti lapsille suunnatun teatteri- ja draamakasvatuksen näkökulmasta. Työni tarkoituksena on antaa teatteri- ja draamakasvatukselle tilaa teatteritapahtumassa ilman, että ne jäisivät vain taiteellisen esityksen sivutuotteiksi. Esitän teatteritapahtuman käsitteen yhdeksi vaihtoehdoksi nähdä tämä kokonaisuus ilman, että mikään teatteri-ilmaisun alue jäisi muiden varjoon. Työni teoreettinen viitekehys perustuu Willmar Sauterin esittämään tapaan kokea teatteri tapahtumana. Pohdin teatteritapahtuman rakennetta ja mahdollisuuksia käyttämällä Sauterin sekä hänen teoriaansa tukeutuvien tutkijoiden esittämiä ajatuksia. Teoriataustana teatteri- ja draamakasvatukselle käytän Hannu Heikkisen draamakasvatuksen ja Tapio Toivasen koulussa tapahtuvan teatteritoiminnan määrittelyä ja analyysia. Tapausesimerkkini analyysissa esittelen myös Marvin Carlsonin ajatuksia muun muassa yleisöjen strategioista ja odotuksista sekä yleisön ja esiintyjien suhteesta. Menetelminä tapausesimerkkini tutkimuksessa ovat yleisötutkimus (työssäni havainnointi ja kyselyt) sekä draamakasvatuksen tutkimus (työssäni toimintatutkimus, osallistuminen, havainnointi ja kyselyt). Käytän aineistona MUMMO-esitys- ja draamatyöpajakokonaisuuteen laatimiani työpajasuunnitelmia sekä havaintojani, kokemuksiani ja muistiinpanojani esityöpajoista ja esityksistä sekä varsinaisista draamatyöpajoista. Näiden lisäksi materiaalinani on MUMMO-esityksen ohjaajan sekä projektiin osallistuneiden luokkien opettajien vastauksia heille laatimistani sähköpostikyselyistä. Tutkimukseni osoittaa, että teatteritapahtuman käsite voi sisällyttää myös teatteri- ja draamakasvatuksen toimintoja määritelmäänsä. Teatteritapahtuma voi olla tasaveroisesti myös teatteri- ja draamakasvatusta, jos se kehystetään taitavasti sellaiseksi. Niin draamakasvatuksen kuin yleisemminkin teatteritapahtuman onnistumisen kannalta, erityisen tärkeäksi osoittautuvat säännöt ja sopimuksen teko. Draamasopimus nousee tärkeäksi tekijäksi luottamuksen ja turvallisuuden vahvistamisessa. Draamakasvatukselliset tavoitteet toteutuvat tutkimukseni perusteella parhaiten, jos sisällöille ja toiminnalle annetaan draamatyöskentelyn vaatima aika kehittyä. Draamakasvatukselle pitää sallia myös tietynlainen keskeneräisyys, joka parhaimmillaan edistää siihen osallistuvien oppimista. Avainsanaksi teatteritapahtuman kommunikaatiolle muodostuu tutkimuksessani kokemuksellisuus. Se yhdistää niin teatteriesityksen kokonaisvaltaista kokemista kuin teatteri- ja draamakasvatuksen oppimiseen tähtäävää työtapaa ja sisältöjä. Esitän tutkimustuloksieni pohjalta vielä ehdotuksen, että teatteri- ja draamakasvatusta sisältävä teatteritapahtuma voisi olla vastavuoroinen ja produktiivinen symbioosi, jota ohjaisi ja kehystäisi opetussuunnitelman, draamasopimuksen, draamatekstin ja esitystekstin sisältävä tapahtumateksti.
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Under 1700-talets andra hälft hörde Sveriges nya fästningar i öst (Helsingfors, Sveaborg, Lovisa och Svartholm) till rikets största satsningar. Fästningsprojektet leddes med undantag av ett par avbrott av Augustin Ehrensvärd (1710 1772). När arbetet tog fart namngavs de enskilda fästningsverken i så gott som alla fall efter samtida personer. Under Ehrensvärds tid tillämpades denna namngivning på omkring femtio av Sveaborgs och Helsingfors fästningsverk samt på Lovisas och Svartholms totalt aderton verk. Genom personerna de knöts till berättar namnen en hel del om Augustin Ehrensvärds samtid och omvärld. Hur de gjorde det är denna avhandlings huvudfråga. Källmaterialet utgörs av relationsritningar och brev, medan de teoretiska ramarna står att finna i nätverksteori och onomastiska teorier om namnmönster. Ehrensvärd förklarade sin namngivningspraxis för sin överordnade, tronföljaren Adolf Fredrik, 1749 i samband med att Gustavssvärd med fästningsverk namngavs: tanken var att namnge bastioner efter de som bidragit till arbetets framgång och att namnge utanverk efter officerare vid fästningsbygget. Innebörden av Ehrensvärds ord framgår ur namnbeståndet. De största grupperna består av ämbetsmän och militärer. Med de som bidragit till arbetets framgång avsågs sålunda den lokala eliten: landshövdingar som involverats i fästningsbygget samt högre och lägre militärer som tjänstgjorde vid fästningarna. Redan från början syns en klar hierarki i namngivningen. Medan landshövdingarna och de högre militärerna tillägnades bastioner, fick de lägre officerarna se mindre fästningsverk namngivna efter sig, helt i enlighet med Ehrensvärds egen beskrivning. Utanför de ovan nämnda grupperna, hedrades en hel del personer som inte konkret hade engagerats i fästningsbygget. Denna namngivning kan förklaras å ena sidan inom ramen för Ehrensvärds sociala nätverk och å andra sidan mot bakgrund av riksdagspolitiken i frihetstidens Sverige. Av de två förklaringsmodeller bör Ehrensvärds personliga vänskaper ses som en bidragande orsak, medan de politiska motiven utgjorde en avgörande orsak. Som en del av Ehrensvärds nätverk kan de gynnare ses som hade stöttat Ehrensvärd under hans karriär samt hans närmaste medarbetare vid fästningsbygget, ofta officerer han själv handplockat. Namngivningens politiska aspekt syns i det stora antalet riksråd som tillägandes bastionnamn. Vid sidan om riksråden hedrades också talmän vid de samtida riksdagarna. En komparativ studie i namngivningen av fästningsverk vid samtida och äldre svenska fästningar framhäver Ehrensvärd som en innovativ namngivare. Fästningsverk namngivna efter kungligheter verkar ha varit en norm, som också Ehrensvärd anknöt till genom ett fåtal namn. Däremot var namn efter personer inte vanliga, vilket gav den Ehrensvärdska namngivningen en förhållandevis stark anknytning till samtiden. Denna aspekt bekräftas om namnen ses mot bakgrund av 1700-talets uppfattning om ära och äregirighetens samhälleliga nytta. I denna uppfattning syns bakgrunden till förekomsten av personer med både hög och låg status i Ehrensvärds namngivning. Sammanfattningsvis speglar namnen på de finska fästningsverken sin samtid genom den byråkratiska, militära och politiska elit de representerar samt genom motiveringen till dem.
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Calendula officinalis is grown widely as an ornamental plant across Europe. It belongs to the large. Asteraceae family. In this study, the aim was to explore the possibilities to use Calendula officinalis as a new model organism for flower development and secondary mechanism studies in Asteraceae. Tissue culture of Calendula officinalis was established using nine different cultivars. Murashige & Skoog (MS) medium with four different combinations of plant growth regulators were tested. Of all these combinations, the medium containing 1mg/l BAP, 0.1 mg/l IAA, and 1mg/l Zeatin achieved highest frequency of adventitious shoot regeneration from hypocotyl and cotyledon explants. Virus-induced gene silencing is a recent developed genetic tool for charactering the gene functions in plants, and extends the range of host plants that are not accessible for Agrobacterium transformation. Here, tobacco rattle virus (TRV)-based VIGS technique was tested in calendula (cv. Single Orange). We used TRV carrying Gerbera hybrid phytoene desaturase (PDS) gene fragment to induce PDS silencing in calendula. Vacuum infiltration and syringe infiltration methods both resulted in photo-bleaching phenotypes in leaves, bracts and petals. Loss-of-function phenotypes occurred on calendula 13 days post-infiltration. In conclusion, the data indicates that calendula explants can be regenerated through tissue culture which is a prerequisite for development of stable transformation methods. However, further optimization is still needed to improve the frequency. In addition, VIGS was applied to silence PDS marker gene expression indicating that this method has potential for gene functional studies in future.
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This dissertation inquires into the relationship between gender and biopolitics. Biopolitics, according to Michel Foucault, is the mode of politics that is situated and exercised at the level of life. The dissertation claims that gender is a technology of biopower specific to the optimisation of the sexual reproduction of human life, deployed through the scientific and governmental problematisation of declining fertility rates in the mid-twentieth century. Just as Michel Foucault claimed that sexuality became a scientific and political discourse in the nineteenth century, gender has also since emerged in these fields. In this dissertation, gender is treated as neither a representation of sex nor a cultural construct or category of identity. Rather, a genealogy of gender as an apparatus of biopower in conducted. It demonstrates how scientific and theoretical developments in the twentieth century marshalled gender into the sex/sexuality apparatus as a new technology of liberal biopower. Gender, I argue, has become necessary for the Western liberal order to recapture and re-optimise the life-producing functions of sex that reproduce the very object of biopolitics: life. The concept of the life function is introduced to analyse the life-producing violence of the sex/sexuality/gender apparatus. To do this, the thesis rereads the work of Michel Foucault through Gilles Deleuze for a deeper grasp of the material strategies of biopower and how it produces categories of difference and divides population according to them. The work of Judith Butler, in turn, is used as a foil against which to rearticulate the question of how to examine gender genealogically and biopolitically. The dissertation then executes a genealogy of gender, tracing the changing rationalities of sex/sexuality/gender from early feminist thought, through mid-twentieth century sexological, feminist, and demographic research, to current EU policy. According to this genealogy, in the mid-twentieth century demographers perceived that sexuality/sex, which Foucault observed as the life-producing biopolitical apparatus, was no longer sufficiently disciplining human bodies to reproduce. The life function was escaping the grasp of biopower. The analysis demonstrates how gender theory was taken up as a means of reterritorialising the life function: nature would be disciplined to reproduce by controlling culture. The crucial theoretical and genealogical argument of the thesis, that gender is a discourse with biopolitical foundations and a technology of biopower, radically challenges the premises of gender theory and feminist politics, as well as the emancipatory potential often granted to the gender concept. The project asks what gender means, what biopolitical function it performs, and what is at stake for feminist politics when it engages with it. In so doing, it identifies biopolitics and the problem of life as possibly the most urgent arena for feminist politics today.
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Prostate cancer is one of the most prevalent cancer types in men. The development of prostate tumors is known to require androgen exposure, and several pathways governing cell growth are deregulated in prostate tumorigenesis. Recent genetic studies have revealed that complex gene fusions and copy - number alterations are frequent in prostate cancer, a unique feature among solid tumors. These chromosomal aberrations are though to arise as a consequence of faulty repair of DNA double strand breaks (DSB). Most repair mechanisms have been studied in detail in cancer cell lines, but how DNA damage is detected and repaired in normal differentiated human cells has not been widely addressed. The events leading to the gene fusions in prostate cancer are under rigorous studies, as they not only shed light on the basic pathobiologic mechanisms but may also produce molecular targets for prostate cancer treatment and prevention. Prostate and seminal vesicles are part of the male reproductive system. They share similar structure and function but differ dramatically in their cancer incidence. Approximately fifty primary seminal vesicle carcinomas have been reported worldwide. Surprisingly, only little is known on why seminal vesicles are resistant to neoplastic changes. As both tissues are androgen dependent, it is a mystery that androgen signaling would only lead to tumors in prostate tissue. In this work, we set up novel ex vivo human tissue culture models of prostate and seminal vesicles, and used them to study how DNA damage is recognized in normal epithelium. One of the major DNA - damage inducible pathways, mediated by the ATM kinase, was robustly activated in all main cell types of both tissues. Interestingly, we discovered that secretory epithelial cells had less histone variant H2A.X and after DNA damage lower levels of H2AX were phosphorylated on serine 139 (γH2AX) than in basal or stromal cells. γH2AX has been considered essential for efficient DSB repair, but as there were no significant differences in the γH2AX levels between the two tissues, it seems more likely that the role of γH2AX is less important in postmitotic cells. We also gained insight into the regulation of p53, an important transcription factor that protects genomic integrity via multiple mechanisms, in human tissues. DSBs did not lead to a pronounced activation of p53, but treatments causing transcriptional stress, on the other hand, were able to launch a notable p53 response in both tissue types. In general, ex vivo culturing of human tissues provided unique means to study differentiated cells in their relevant tissue context, and is suited for testing novel therapeutic drugs before clinical trials. In order to study how prostate and seminal vesicle epithelial cells are able to activate DNA damage induced cell cycle checkpoints, we used primary cultures of prostate and seminal vesicle epithelial cells. To our knowledge, we are the first to report isolation of human primary seminal vesicle cells. Surprisingly, human prostate epithelial cells did not activate cell cycle checkpoints after DSBs in part due to low levels of Wee1A, a kinase regulating CDK activity, while primary seminal vesicle epithelial cells possessed proficient cell cycle checkpoints and expressed high levels of Wee1A. Similarly, seminal vesicle cells showed a distinct activation of the p53 - pathway after DSBs that did not occur in prostate epithelial cells. This indicates that p53 protein function is under different control mechanisms in the two cell types, which together with proficient cell cycle checkpoints may be crucial in protecting seminal vesicles from endogenous and exogenous DNA damaging factors and, as a consequence, from carcinogenesis. These data indicate that two very similar organs of male reproductive system do not respond to DNA damage similarly. The differentiated, non - replicating cells of both tissues were able to recognize DSBs, but under proliferation human prostate epithelial cells had deficient activation of the DNA damage response. This suggests that prostate epithelium is most vulnerable to accumulating genomic aberrations under conditions where it needs to proliferate, for example after inflammatory cellular damage.
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Human-mediated movement of plants and plant products is now generally accepted to be the primary mode of introduction of plant pathogens. Species of the genus Phytophthora are commonly spread in this way and have caused severe epidemics in silviculture, horticulture as well as natural systems all over the world. The aims of the study were to gather information on the occurrence of Phytophthora spp. in Finnish nurseries, to produce information for risk assessments for these Phytophthora spp. by determining their host ranges and tolerance of cold temperatures, and to establish molecular means for their detection. Phytophthora cactorum was found to persist in natural waterbodies and results suggest that irrigation water might be a source of inoculum in nurseries. In addition to P. cactorum, isolates from ornamental nursery Rhododendron yielded three species new to Finland: P. ramorum, P. plurivora and P. pini. The only species with quarantine status, P. ramorum, was most adapted to growth in cold temperatures and able to persist in the nursery in spite of an annual sanitation protocol. Phytophthora plurivora and the closely related P. pini had more hosts among Nordic tree and plant species than P. ramorum and P. cactorum, and also had higher infectivity rates. All four species survived two weeks in -5 °C , and thus soil survival of these Phytophthoras in Finland is likely under current climatic conditions. The most common tree species in Finnish nurseries, Picea abies, was highly susceptible to P. plurivora and P. pini in pathogenicity trials. In a histological examination of P. plurivora in P. abies shoot tissues, fast necrotrophic growth was observed in nearly all tissues. The production of propagules in P. abies shoot tissue was only weakly indicated. In this study, a PCR DGGE technique was developed for simultaneous detection and identification of Phytophthora spp. It reliably detected Phytophthora in plant tissues and could discriminate most test species as well as indicate instances of multiple-species infections. It proved to be a useful detection and identification tool either applied alone or in concert with traditional isolation culture techniques. All of the introduced species of Phytophthora had properties that promote a high risk of establishment and spread in Finland. It is probable that more pathogens of this genus will be introduced and become established in Finland and other Nordic countries unless efficient phytosanitary control becomes standard practice in the international plant trade.
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Heart failure is a common, severe, and progressive condition associated with high mortality and morbidity. Because of population-aging in the coming decades, heart failure is estimated to reach epidemic proportions. Current medical and surgical treatments have reduced mortality, but the prognosis for patients has remained poor. Transplantation of skeletal myoblasts has raised hope of regenerating the failing heart and compensating for lost cardiac contractile tissue. In the present work, we studied epicardial transplantation of tissue-engineered myoblast sheets for treatment of heart failure. We employed a rat model of myocardial infarction-induced acute and chronic heart failure by left anterior descending coronary artery ligation. We then transplanted myoblast sheets genetically modified to resist cell death after transplantation by expressing antiapoptotic gene bcl2. In addition, we evaluated the regenerative capacity of myoblast sheets expressing the cardioprotective cytokine hepatocyte growth factor in a rat chronic heart failure model. Furthermore, we utilized in vitro cardiomyocyte and endothelial cell culture models as well as microarray gene expression analysis to elucidate molecular mechanisms mediating the therapeutic effects of myoblast sheet transplantation. Our results demonstrate that Bcl2-expression prolonged myoblast sheet survival in rat hearts after transplantation and induced secretion of cardioprotective, proangiogenic cytokines. After acute myocardial infarction, these sheets attenuated left ventricular dysfunction and myocardial damage, and they induced therapeutic angiogenesis. In the chronic heart failure model, inhibition of graft apoptosis by Bcl-2 improved cardiac function, supported survival of cardiomyocytes in the infarcted area, and induced angiogenesis in a vascular endothelial growth factor receptor 1- and 2-dependent mechanism. Hepatocyte growth factor-secreting myoblast sheets further enhanced the angiogenic efficacy of myoblast sheet therapy. Moreover, myoblast-secreted paracrine factors protected cardiomyocytes against oxidative stress in an epidermal growth factor receptor- and c-Met dependent manner. This protection was associated with induction of antioxidative genes and activation of the unfolded protein response. Our results provide evidence that inhibiting myoblast sheet apoptosis can enhance the sheets efficacy for treating heart failure after acute and chronic myocardial infarction. Furthermore, we show that myoblast sheets can serve as vehicles for delivery of growth factors, and induce therapeutic angiogenesis in the chronically ischemic heart. Finally, myoblasts induce, in a paracine manner, a cardiomyocyte-protective response against oxidative stress. Our study elucidates novel mechanisms of myoblast transplantation therapy, and suggests effective means to improve this therapy for the benefit of the heart failure patient.
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Objectives. This study concentrated on the aspect of physical safety in the learning environment of primary and secondary schools in Helsinki. Taking a broad perspective, the study analysed the safety culture of Helsinki schools, ranked them with a point rating system, and thoroughly investigated reasons behind their differences. Safety culture in educa-tional institutions has not been studied previously although research related to safety culture in business is abundant and some studies have considered safety culture in the healthcare sector. The study focused on the attitudes and practices of teachers concerning safety. The main research question is as follows: "What factors related to safety culture distinguish schools with an exceptional safety culture from those weaker one?" Research methods. The study used a mixed-methods approach. It s quantitative part charted the safety attitudes, values and expertise of employees in selected schools. The study also analysed physical safety in selected schools through specific safety inspections. The 14 schools in the study were selected randomly, two from each district. Altogether 388 of 475 employees returned a Webropol questionnaire (N= 475, 81,68 %). The qualitative part of the study analysed the reasons behind perceived differences in school s safety cul-ture using theme interviews with school principals. Elements of a phenomenographic research approach were also used. Results and conclusions. According to the study the distinctive features of good safety cultures in the Helsinki schools included a well-developed understanding of safety hazards and the requirements of basic safety, good safety management practices, a developed understanding of the systematic nature of safety, an appreciation of safety evidenced through everyday practices and open and communal safety-related work. The study offers result-based safety culture improvements for teachers, those responsible for school safety, principals, educational administrators, teacher educators and authorities.
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The dissertation examines aspects of asymmetrical warfare in the war-making of the German military entrepreneur Ernst von Mansfeld during his involvement in the Thirty Years War. Due to the nature of the inquiry, which combines history with military-political theory, the methodological approach of the dissertation is interdisciplinary. The theoretical framework used is that of asymmetrical warfare. The primary sources used in the dissertation are mostly political pamphlets and newsletters. Other sources include letters, documents, and contemporaneous chronicles. The secondary sources are divided into two categories, literature on the history of the Thirty Years War and textbooks covering the theory of asymmetrical warfare. The first category includes biographical works on Ernst von Mansfeld, as well as general histories of the Thirty Years War and seventeenth-century warfare. The second category combines military theory and political science. The structure of the dissertation consists of eight lead chapters, including an introduction and conclusion. The introduction covers the theoretical approach and aims of the dissertation, and provides a brief overlook of the sources and previous research on Ernst von Mansfeld and asymmetrical warfare in the Thirty Years War. The second chapter covers aspects of Mansfeld s asymmetrical warfare from the perspective of operational art. The third chapter investigates the illegal and immoral aspects of Mansfeld s war-making. The fourth chapter compares the differing methods by which Mansfeld and his enemies raised and financed their armies. The fifth chapter investigates Mansfeld s involvement in indirect warfare. The sixth chapter presents Mansfeld as an object and an agent of image and information war. The seventh chapter looks into the counter-reactions, which Mansfeld s asymmetrical warfare provoked from his enemies. The eighth chapter offers a conclusion of the findings. The dissertation argues that asymmetrical warfare presented itself in all the aforementioned areas of Mansfeld s conduct during the Thirty Years War. The operational asymmetry arose from the freedom of movement that Mansfeld enjoyed, while his enemies were constrained by the limits of positional warfare. As a non-state operator Mansfeld was also free to flout the rules of seventeenth-century warfare, which his enemies could not do with equal ease. The raising and financing of military forces was another source of asymmetry, because the nature of early seventeenth-century warfare favoured private military entrepreneurs rather than embryonic fiscal-military states. The dissertation also argues that other powers fought their own asymmetrical and indirect wars against the Habsburgs through Mansfeld s agency. Image and information were asymmetrical weapons, which were both aimed against Mansfeld and utilized by him. Finally, Mansfeld s asymmetrical threat forced the Habsburgs to adapt to his methods, which ultimately lead to the formation of a subcontracted Imperial Army under the management and leadership of Albrecht von Wallenstein. Therefore Mansfeld s asymmetrical warfare ultimately paved way for the kind of state-monopolized, organised, and symmetrical warfare that has prevailed from 1648 onwards. The conclusion is that Mansfeld s conduct in the Thirty Years War matched the criteria for asymmetrical warfare. While traditional historiography treated Mansfeld as an anomaly in the age of European state formation, his asymmetrical warfare has begun to bear resemblance to the contemporary conflicts, where nation states no longer hold the monopoly of violence.
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Tässä pro gradu -tutkimuksessa tutkin kätilötyön rakentumista Suomessa vuosina 1879 - 1920 Hämeenlinnan lääkäripiirin näkökulmasta. Analysoin vuoden 1879 kätilöohjesäännön tuomien muutosten sekä valtion organisaatioiden, lääkäreiden ja kunnallistason määräysten merkitystä kätilötoiminnalle ja kätilöille. Tutkimuksen ajallinen rajaus, 1879 - 1920, juontuu Keisarillisen Majesteetin vuonna 1879 antamasta kätilöohjesäännöstä, joka oli toimintaa ohjaavana lainsäädäntönä voimassa vuoteen 1920. Tutkin tässä työssä kätilötyötä kahdessa tasossa, mikrohistoriallisesti ja yleisellä tasolla. Tutkimusmenetelmänä sovellan kvalitatiivista ja kvantitatiivista menetelmää. Tutkimuksen teoreettisena kehyksenä toimii soveltavin osin Michel Foucault'n teoria biovallasta. Kätilöiden puutteeseen maalaiskunnissa oli pyritty vaikuttamaan vuoden 1859 kätilöohjesäännöllä. Käytännön muutoksia ei tapahtunut ja vuonna 1879 hyväksyttiin uusi kätilöohjesääntö. Uusi ohjesääntö oli valtion hallinnon ja lääkäreiden yhteistoiminnan tulos. Sen sanoma oli ohjaavaa, mutta ei pakottavaa. Lakiuudistuksella pyrittiin vaikuttamaan kuntiin ja kuntien kautta kansalaisten toimintaan. Haluttiin muokata ihmisten käyttäytymistapoja normalisoimalla kätilöhoitoinen synnytys. Kätilöohjesäännön voimaantulo ja vuodet 1879 - 1920 voidaan nähdä käännekohtana kätilötyössä. Tutkimusperiodin aikana kätilötyö alkoi saada itsenäisen ammattikunnan piirteitä selvemmin. Rahan rooli oli monessa suhteessa merkittävä, sillä elatuksen lisäksi raha vaikutti kätilön asemaan ja arvostukseen. Kunnan päättäjät olivat merkittävässä valtaapitävässä asemassa, koska heillä oli päätösvalta kätilön palkkaamisessa ja työn ehdoissa. Kunnissa, joissa kätilöä arvostettiin, maksettiin paremmin ja kuntalaiset tukeutuivat koulutettuun apuun enemmän. Tutkimusaikana kätilöiden olosuhteet kunnissa olivat haasteelliset eikä laki rajoittanut synnytyksen avustajaa, joten kätilöhoitoisissa synnytyksissä tapahtunut kasvu oli kätilöiden melko pyytettömän työn tulosta. Haluttiin muutakin kun käyttää valtaa.
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Tutkielmassa esitellään kolmen orkesteriviulistin kokemuksia ja käsityksiä omasta ruumiillisuudestaan muusikon työssään. Muusikkolähtöisyys, laajemmin tarkasteltuna tekijälähtöinen tutkimus, on nykyisin yhä tärkeämpi osa musiikintutkimusta. Muusikkolähtöistä tutkimusta on Suomessakin kirjoitettu jonkin verran, harvoin kuitenkaan ruumiillisuusteeman kautta. Haastatellut viulistit ovat pääkaupunkiseudun suurista orkestereista. Muusikon työtä voidaan tarkastella monista eri lähtökohdista. Tässä työssä pyritään ottamaan huomioon ihmisen oma kokemus ja ruumiillinen sidos maailmaan, ja näin se sitoutuu fenomenologisiin lähtökohtiin, erityisesti Maurice Merleau-Pontyn ajatteluun. Michel Foucault ja Elizabeth Grosz edustavat tämän työn kannalta sitä ajattelutapaa, jonka hengessä pidän muusikon työtä historiallisesti rakentuneena ja muutoksenalaisena prosessina. Groszin teoretisointi keskittyy subjektin ruumiillisuuteen ja tapoihin käsitteellistää ruumis länsimaisessa ajattelussa. Haastattelumateriaali jakaantuu kahteen päälukuun. Ensimmäisessä käsitellään soittajien omaa yksityistä tilaa. Harjoittelun oma tila liittyy ruumiillisuuteen sikäli, että ruumiillinen toistotyö ja viulistisen identiteetin muotoutuminen tapahtuu pitkälti yksityisesti, tietoisena julkisen tilan vaatimuksista. Orkesteriviulistien sosiaaliseen tilaan liittyy toisaalta vuorovaikutus muiden muusikoiden kanssa harjoituksissa ja toisaalta muusikoiden ja yleisön kohtaaminen konserteissa. Sosiaaliseen tilaan liittyviä ruumiillisuuteen kytkeytyviä ilmiöitä käsitellään erillään, toisessa analyysiluvussa. Tutkielma tuo esiin välähdyksiä erilaisista ruumiillisuuteen ja viulunsoittoon kytkeytyvistä ilmiöistä. Kvalitatiivisen ja fenomenologisen tutkimuksen hengessä haastateltujen erilaiset kokemukset on pyritty esittelemään pyrkimättä universalisoimaan niitä. Haastattelumateriaali osoittaa viulistisen ruumiillisuuden liittyvän merkittävällä tavalla muusikkojen käsityksiin itsestään. Haastateltujen kokemukset tuovat lisää tietoa orkesteriviulistin työstä.