971 resultados para Electronic document identification systems


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AIMS: A literature review of existing research on the prevalence of alcohol use disorders (AUDs) and availability of alcohol interventions in Europe was conducted. The review also explored what is known about the gap between need and provision of alcohol interventions in Europe. METHODS: The review search strategy included: (i) descriptive studies of alcohol intervention systems in Europe; (ii) studies of alcohol service provision in Europe; and (iii) studies of prevalence of AUD and alcohol needs assessment in Europe. RESULTS: Europe has a relatively high level of alcohol consumption and the resulting disabilities are the highest in the world. Most research on implementation of alcohol interventions in Europe has been restricted to screening and brief interventions. Alcohol needs assessment methodology has been developed but has not been applied in comparative studies across countries in Europe. CONCLUSIONS: This review points to key gaps in knowledge related to alcohol interventions in Europe. There is a lack of comparative data on variations in alcohol treatment systems across European countries and there is also a lack of comparative data on the prevalence of alcohol use disorders across European countries and the relative gap between need and access to treatment. The forthcoming Alcohol Measures for Public Health Research Alliance (AMPHORA) research project work package on 'Early identification and treatment' aims to address these gaps.

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In ecology, "disease tolerance" is defined as an evolutionary strategy of hosts against pathogens, characterized by reduced or absent pathogenesis despite high pathogen load. To our knowledge, tolerance has to date not been quantified and disentangled from host resistance to disease in any clinically relevant human infection. Using data from the Swiss HIV Cohort Study, we investigated if there is variation in tolerance to HIV in humans and if this variation is associated with polymorphisms in the human genome. In particular, we tested for associations between tolerance and alleles of the Human Leukocyte Antigen (HLA) genes, the CC chemokine receptor 5 (CCR5), the age at which individuals were infected, and their sex. We found that HLA-B alleles associated with better HIV control do not confer tolerance. The slower disease progression associated with these alleles can be fully attributed to the extent of viral load reduction in carriers. However, we observed that tolerance significantly varies across HLA-B genotypes with a relative standard deviation of 34%. Furthermore, we found that HLA-B homozygotes are less tolerant than heterozygotes. Lastly, tolerance was observed to decrease with age, resulting in a 1.7-fold difference in disease progression between 20 and 60-y-old individuals with the same viral load. Thus, disease tolerance is a feature of infection with HIV, and the identification of the mechanisms involved may pave the way to a better understanding of pathogenesis.

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Delayed-choice experiments in quantum mechanics are often taken to undermine a realistic interpretation of the quantum state. More specifically, Healey has recently argued that the phenomenon of delayed-choice entanglement swapping is incompatible with the view that entanglement is a physical relation between quantum systems. This paper argues against these claims. It first reviews two paradigmatic delayed-choice experiments and analyzes their metaphysical implications. It then applies the results of this analysis to the case of entanglement swapping, showing that such experiments pose no threat to realism about entanglement.

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What are the best voting systems in terms of utilitarianism? Or in terms of maximin, or maximax? We study these questions for the case of three alternatives and a class of structurally equivalent voting rules. We show that plurality, arguably the most widely used voting system, performs very poorly in terms of remarkable ideals of justice, such as utilitarianism or maximin, and yet is optimal in terms of maximax. Utilitarianism is bestapproached by a voting system converging to the Borda count, while the best way to achieve maximin is by means of a voting system converging to negative voting. We study the robustness of our results across different social cultures, measures of performance, and population sizes.

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One of the key innovations during the evolution of life on earth has been the emergence of efficient communication systems, yet little is known about the causes and consequences of the great diversity within and between species. By conducting experimental evolution in 20 independently evolving populations of cooperatively foraging simulated robots, we found that historical contingency in the occurrence order of novel phenotypic traits resulted in the emergence of two distinct communication strategies. The more complex foraging strategy was less efficient than the simpler strategy. However, when the 20 populations were placed in competition with each other, the populations with the more complex strategy outperformed the populations with the less complex strategy. These results demonstrate a tradeoff between communication efficiency and robustness and suggest that stochastic events have important effects on signal evolution and the outcome of competition between distinct populations.

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In this paper we address the issue of locating hierarchical facilities in the presence of congestion. Two hierarchical models are presented, where lower level servers attend requests first, and then, some of the served customers are referred to higher level servers. In the first model, the objective is to find the minimum number of servers and theirlocations that will cover a given region with a distance or time standard. The second model is cast as a Maximal Covering Location formulation. A heuristic procedure is then presented together with computational experience. Finally, some extensions of these models that address other types of spatial configurations are offered.

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ABSTRACT: BACKGROUND: Sphingomonas wittichii strain RW1 can completely oxidize dibenzo-p-dioxins and dibenzofurans, which are persistent contaminants of soils and sediments. For successful application in soil bioremediation systems, strain RW1 must cope with fluctuations in water availability, or water potential. Thus far, however, little is known about the adaptive strategies used by Sphingomonas bacteria to respond to changes in water potential. To improve our understanding, strain RW1 was perturbed with either the cell-permeating solute sodium chloride or the non-permeating solute polyethylene glycol with a molecular weight of 8000 (PEG8000). These solutes are assumed to simulate the solute and matric components of the total water potential, respectively. The responses to these perturbations were then assessed and compared using a combination of growth assays, transcriptome profiling, and membrane fatty acid analyses. RESULTS: Under conditions producing a similar decrease in water potential but without effect on growth rate, there was only a limited shared response to perturbation with sodium chloride or PEG8000. This shared response included the increased expression of genes involved with trehalose and exopolysaccharide biosynthesis and the reduced expression of genes involved with flagella biosynthesis. Mostly, the responses to perturbation with sodium chloride or PEG8000 were very different. Only sodium chloride triggered the increased expression of two ECF-type RNA polymerase sigma factors and the differential expression of many genes involved with outer membrane and amino acid metabolism. In contrast, only PEG8000 triggered the increased expression of a heat shock-type RNA polymerase sigma factor along with many genes involved with protein turnover and repair. Membrane fatty acid analyses further corroborated these differences. The degree of saturation of membrane fatty acids increased after perturbation with sodium chloride but had the opposite effect and decreased after perturbation with PEG8000. CONCLUSIONS: A combination of growth assays, transcriptome profiling, and membrane fatty acid analyses revealed that permeating and non-permeating solutes trigger different adaptive responses in strain RW1, suggesting these solutes affect cells in fundamentally different ways. Future work is now needed that connects these responses with the responses observed in more realistic scenarios of soil desiccation.

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STRUCTURE DU DOCUMENT ET PRINCIPALES CONTRIBUTIONS CHAPITRE 1 INTRODUCTION ET MÉTHODOLOGIE Le chapitre 1 présente un aperçu de la recherche, le contexte, les objectifs, la méthodologie, la démarche. CHAPITRE 2 : ÉTAT DE LA QUESTION Le chapitre 2 présente un état de la question des principaux concepts : les compétences, la gestion des compétences, les systèmes de gestion des compétences. La question de la gestion des compétences en sciences de gestion, et son lien avec la stratégie de l'entreprise a beaucoup occupé les chercheurs et les praticiens. On peut distinguer deux tendances principales : les recherches provenant du champ disciplinaire de la stratégie d'entreprise, regroupées par commodité sous l'étiquette «approche stratégique », et les recherches issues du domaine de la gestion des ressources humaines, qu'on appellera GRH. Au-delà du vocabulaire souvent commun (ressources, compétences), de la vision partagée qu'il est nécessaire de voir l'entreprise « de l'intérieur » et non plus uniquement dans son environnement, les deux approches ont des problématiques très similaires, comme le lien avec la performance ou les changements organisationnels induits par une démarche compétence. Pourtant, les divergences subsistent. L'approche stratégique procède d'un niveau « macro »pour identifier des « compétences-clés », et peine souvent à opérationnaliser ce concept. Les démarches GRH ont un souci analytique de décomposition de la compétence et de la ressource qui risque de noyer la démarche dans le détail. En outre, alors que le vocabulaire est similaire, les définitions divergent. Concilier ces divergences, afin de conserver les avantages de l'une et de l'autre de ces théories, à savoir le lien avec la stratégie pour l'une et le souci d'opérationnaliser les concepts pour l'autre est peut être plus aisé à l'heure ou les nouvelles conditions auxquelles sont soumises les entreprises qui oeuvrent dans l' »économie de la connaissance ». Les technologies qui deviennent accessibles plus facilement font qu'en dernière instance, ce sont bien les collaborateurs de l'entreprise qui sont le support de la compétence. L'objectif de cet état de la question n'est pas de procéder à un recensement exhaustif des manières de traiter de la compétence en sciences de gestion. Il est plutôt de mettre en évidence ce que les deux approches peuvent amener, chacun à leur manière, à notre problème, l'identification des compétences d'entreprise en lien avec la stratégie. Ces éléments nous serviront de matériau pour construire notre propre modèle d'identification des compétences. C'est sans doute la première fois que ces deux modèles sont confrontés du point de vue de la stratégie de l'entreprise. CHAPITRE 3 : LE MODÈLE CONCEPTUEL Le chapitre 3 présente le modèle conceptuel d'identification des compétences d'entreprise. Après une discussion sur la notion de modèle en sciences de gestion, il présente l'intérêt d'une modélisation, et la démarche de modélisation. Celle-ci se décompose en 3 étapes concentriques successives : un modèle informel, un modèle semi-formel qui prendra la forme d'une ontologie, et quelques éléments d'un modèle formel. Une présentation des ontologies et de l'utilité de cette technique précèdera la construction du modèle à proprement parler. Cette construction se fera à partir des fonctionnalités d'un système de gestion des compétences défini comme utile à l'entreprise, c'est à dire répondant aux objectifs. Dans cette partie, nous construirons notre modèle conceptuel d'identification et de qualification des compétences d'entreprises. Nous commencerons par préciser la notion de modèle. Un modèle consiste en une schématisation, -qui typifie certaines caractéristiques du réel, pour en faire ressortir certains traits dominants, les mettre en valeur et permettre ainsi d'anticiper certains développements de la réalité. Nous sélectionnerons et préciserons ensuite les entités nécessaires à la composition du modèle. Nous définirons ainsi le concept de compétences et les concepts qui lui sont liés. Dans une troisième partie, nous montrerons en quoi la technique des ontologies peut se révéler utile pour notre problématique. CHAPITRE 4 : LE MODÈLE DE RAISONNEMENT Le chapitre 4 présente le modèle de raisonnement, quelques fonctionnalités du prototype, quelques éléments de l'algorithme, une esquisse de l'architecture, des requêtes possibles, vues à travers une technique inspirée des use-cases. La partie précédente aura permis de sélectionner les entités nécessaires à un modèle d'identification et de qualification des compétences. Dans cette partie, nous allons développer le modèle de raisonnement. L'objectif de notre travail est d'identifier concrètement les compétences de l'entreprise, et de les qualifier, afin de servir d'aide à la décision. Dans cette optique, le modèle de raisonnement décrira les opérations effectuées sur les entités identifiées précédemment. Après avoir défini le modèle de raisonnement et son fonctionnement, nous présenterons les quatre cas d'utilisation qui nous servirons d'exemples d'utilisation. Il s'agit des cas de dirigeant d'entreprise, responsable des ressources humaines, chef de projet, et collaborateur de l'entreprise. Ces cas d'utilisation nous permettrons d'opérationnaliser les concepts décrits dans le modèle conceptuel à travers un système d'indicateurs, d'effectuer des opérations sur ces concepts. ANNEXE : UNE ÉTUDE DE CAS Enfin, en annexe de ce document, nous décrirons une étude de cas. Il s'agit d'une intervention menée en entreprise, qui a repris, et ainsi testé, une bonne partie des éléments décrits dans ce travail. Cette intervention a débouché sur la mise en place d'une gestion des compétences qui se concrétise notamment par un «tableau de bord des compétences ». CHAPITRE 5 : CONCLUSIONS ET PERSPECTIVES Le chapitre 5 présente les conclusions, et quelques perspectives. Il présente les principaux apports, les limites, un retour sur certaines questions méthodologiques. PRINCIPALES CONTRIBUTIONS L'objectif de cette thèse est de proposer un modèle qui permette d'identifier et de qualifier les compétences d'entreprise. On peut dégager un certain nombre de contributions 1. Nous proposons un modèle d'identification et de qualification des compétences en cohérence avec les préoccupations des entreprises, notamment par le lien avec la stratégie, qui permet l'adaptabilité et la flexibilité. 2. Nous proposons une méthode de qualification des compétences qui permet de distinguer les compétences d'entreprise selon différents points de vue 3. Nous proposons des fonctionnalités et une architecture rendant possible la réalisation d'un outil de gestion des compétences.

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The complex network dynamics that arise from the interaction of the brain's structural and functional architectures give rise to mental function. Theoretical models demonstrate that the structure-function relation is maximal when the global network dynamics operate at a critical point of state transition. In the present work, we used a dynamic mean-field neural model to fit empirical structural connectivity (SC) and functional connectivity (FC) data acquired in humans and macaques and developed a new iterative-fitting algorithm to optimize the SC matrix based on the FC matrix. A dramatic improvement of the fitting of the matrices was obtained with the addition of a small number of anatomical links, particularly cross-hemispheric connections, and reweighting of existing connections. We suggest that the notion of a critical working point, where the structure-function interplay is maximal, may provide a new way to link behavior and cognition, and a new perspective to understand recovery of function in clinical conditions.

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Given the adverse impact of image noise on the perception of important clinical details in digital mammography, routine quality control measurements should include an evaluation of noise. The European Guidelines, for example, employ a second-order polynomial fit of pixel variance as a function of detector air kerma (DAK) to decompose noise into quantum, electronic and fixed pattern (FP) components and assess the DAK range where quantum noise dominates. This work examines the robustness of the polynomial method against an explicit noise decomposition method. The two methods were applied to variance and noise power spectrum (NPS) data from six digital mammography units. Twenty homogeneously exposed images were acquired with PMMA blocks for target DAKs ranging from 6.25 to 1600 µGy. Both methods were explored for the effects of data weighting and squared fit coefficients during the curve fitting, the influence of the additional filter material (2 mm Al versus 40 mm PMMA) and noise de-trending. Finally, spatial stationarity of noise was assessed.Data weighting improved noise model fitting over large DAK ranges, especially at low detector exposures. The polynomial and explicit decompositions generally agreed for quantum and electronic noise but FP noise fraction was consistently underestimated by the polynomial method. Noise decomposition as a function of position in the image showed limited noise stationarity, especially for FP noise; thus the position of the region of interest (ROI) used for noise decomposition may influence fractional noise composition. The ROI area and position used in the Guidelines offer an acceptable estimation of noise components. While there are limitations to the polynomial model, when used with care and with appropriate data weighting, the method offers a simple and robust means of examining the detector noise components as a function of detector exposure.

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ABSTRACT: BACKGROUND: Kabuki syndrome (Niikawa-Kuroki syndrome) is a rare, multiple congenital anomalies/mental retardation syndrome characterized by a peculiar face, short stature, skeletal, visceral and dermatoglyphic abnormalities, cardiac anomalies, and immunological defects. Recently mutations in the histone methyl transferase MLL2 gene have been identified as its underlying cause. METHODS: Genomic DNAs were extracted from 62 index patients clinically diagnosed as affected by Kabuki syndrome. Sanger sequencing was performed to analyze the whole coding region of the MLL2 gene including intron-exon junctions. The putative causal and possible functional effect of each nucleotide variant identified was estimated by in silico prediction tools. RESULTS: We identified 45 patients with MLL2 nucleotide variants. 38 out of the 42 variants were never described before. Consistently with previous reports, the majority are nonsense or frameshift mutations predicted to generate a truncated polypeptide. We also identified 3 indel, 7 missense and 3 splice site. CONCLUSIONS: This study emphasizes the relevance of mutational screening of the MLL2 gene among patients diagnosed with Kabuki syndrome. The identification of a large spectrum of MLL2 mutations possibly offers the opportunity to improve the actual knowledge on the clinical basis of this multiple congenital anomalies/mental retardation syndrome, design functional studies to understand the molecular mechanisms underlying this disease, establish genotype-phenotype correlations and improve clinical management.

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We present a unified geometric framework for describing both the Lagrangian and Hamiltonian formalisms of regular and non-regular time-dependent mechanical systems, which is based on the approach of Skinner and Rusk (1983). The dynamical equations of motion and their compatibility and consistency are carefully studied, making clear that all the characteristics of the Lagrangian and the Hamiltonian formalisms are recovered in this formulation. As an example, it is studied a semidiscretization of the nonlinear wave equation proving the applicability of the proposed formalism.

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OBJECTIVE: To validate a revision of the Mini Nutritional Assessment short-form (MNA(R)-SF) against the full MNA, a standard tool for nutritional evaluation. METHODS: A literature search identified studies that used the MNA for nutritional screening in geriatric patients. The contacted authors submitted original datasets that were merged into a single database. Various combinations of the questions on the current MNA-SF were tested using this database through combination analysis and ROC based derivation of classification thresholds. RESULTS: Twenty-seven datasets (n=6257 participants) were initially processed from which twelve were used in the current analysis on a sample of 2032 study participants (mean age 82.3y) with complete information on all MNA items. The original MNA-SF was a combination of six questions from the full MNA. A revised MNA-SF included calf circumference (CC) substituted for BMI performed equally well. A revised three-category scoring classification for this revised MNA-SF, using BMI and/or CC, had good sensitivity compared to the full MNA. CONCLUSION: The newly revised MNA-SF is a valid nutritional screening tool applicable to geriatric health care professionals with the option of using CC when BMI cannot be calculated. This revised MNA-SF increases the applicability of this rapid screening tool in clinical practice through the inclusion of a "malnourished" category.

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Until recently, matrix-assisted laser desorption ionization time-of-flight mass spectrometry (MALDI-TOF MS) techniques for the identification of microorganisms remained confined to research laboratories. In the last 2 years, the availability of relatively simple to use MALDI-TOF MS devices, which can be utilized in clinical microbiology laboratories, has changed the laboratory workflows for the identification of pathogens. Recently, the first prospective studies regarding the performance in routine bacterial identification showed that MALDI-TOF MS is a fast, reliable and cost-effective technique that has the potential to replace and/or complement conventional phenotypic identification for most bacterial strains isolated in clinical microbiology laboratories. For routine bacterial isolates, correct identification by MALDI-TOF MS at the species level was obtained in 84.1-93.6% of instances. In one of these studies, a protein extraction step clearly improved the overall valid identification yield, from 70.3% to 93.2%. This review focuses on the current state of use of MALDI-TOF MS for the identification of routine bacterial isolates and on the main difficulties that may lead to erroneous or doubtful identifications.

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Els objectius d'aquest informe són realitzar un estudi de la tècnica en la digitalització, l'emmagatzematge i l'accés a les tesis doctorals electròniques, per tal de fer una proposta d’organització al Consorci de Biblioteques Universitàries de Catalunya (CBUC). Actualment, tot i que existeixen diverses iniciatives a Europa, és als EUA on la digitalització de tesis doctorals s’ha desenvolupat més amb la creació de la Networked Digital Library for Theses and Dissertation (NDLTD), i ha estat qui ha definit els estàndards en aquest camp. En el següent informe es planteja i es recomana al CBUC l’adhesió institucional a l’NDLTD per poder gaudir de la seva experiència.