878 resultados para Psychoanalysis. Theoretical and clinical research. Object a. Desire of the Other. Graph of desire.
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Autistische Phänomene haben seit ihrer Entdeckung (Kanner 1943, Asperger 1944) Wissenschaftler verschiedener Disziplinen immer wieder beschäftigt: Psychiater, Neurowissenschaftler, kognitive Psychologen, Säuglingsforscher, Evolutionspsychologen und Psychoanalytiker haben sich sowohl mit der Beschreibung des Krankheitsbildes wie auch mit den psychischen Prozessen, die bei autistischen Phänomenen vorhanden sind, befasst. Wenn man von einem globalen interdisziplinären Ergebnis der Autismus-Forschung sprechen wollte, könnte man behaupten, dass diese sich als eine Möglichkeit anbot, ein umfassenderes Verständnis für psychische Vorgänge im Allgemeinen zu entwickeln. Die Psychoanalyse als eine „Wissenschaft der Subjektivität“ (Meissner 1983) hat eine lange Tradition in der Entwicklung von Theorie- und Behandlungsansätzen entwickelt. Die kognitiv-psychologischen Untersuchungen haben sich ebenfalls ausführlich mit autistischen Phänomenen befasst. Diese Arbeit stellt einen Versuch dar, eine Fragestellung zu entwickeln, die das psychoanalytische Verständnis autistischer Phänomene mit Auffassungen kognitions-psychologischer Autoren zu verbinden und zu vergleichen sucht. Aus der Sichtweise der Psychoanalyse ist das ein Versuch, die interne bzw. narrative Kohärenz (Leuzinger-Bohleber 1995) psychoanalytischen Verständnisses durch die externe Kohärenz des interdisziplinären Dialoges mit einer anderen Wissenschaft her zu stellen. Zugrunde liegt der Versuch einer Vernetzung verschiedener Erkenntnisse im Sinne verschiedener Modelle, die sich gegenseitig bereichern können. Dem Begriff der Theory of Mind, deren Beeinträchtigung von Kognitionswissenschaftlern (Baron-Cohen 1993, 1995; Baron-Cohen et.al. 1985; Hobson 1993, 2007; Frith 1989, 2003) in der Autismusforschung als grundlegendes Merkmal betrachtet wird, werde ich die psychodynamische Betrachtung (Tustin 1972, 1995; 1981, 1989; 1991; Meltzer 1975; Bion 1962, 1992) gegenüber stellen, die eher von einer Dysfunktion projektiv-identifikatorischer Prozesse (-PI) ausgeht, die sich in einem scheinbaren Mangel an diesen Prozessen äußert. Den von Baron-Cohen entwickelten Parametern, die eine phänomenologische Betrachtung autistischer Phänomene ermöglichen, werde ich die intrapsychische und objektbezogene psychoanalytische Betrachtungsweise gegenüberstellen, die postuliert, dass die Projektive Identifizierung als psychisches Phänomen, das der unbewussten averbalen Kommunikation zugrunde liegt, in autistischen Manifestationen beeinträchtig zu sein scheint. Da die Fähigkeit, psychische Phänomene in sich selbst und in anderen wahrzunehmen, der Psyche immanenteste Eigenschaft und gerade in autistischen Phänomenen beeinträchtigt ist, kann die psychoanalytische Konzeptbildung, die sich mit der Struktur des Psychischen und deren prozesshaftem Charakter befasst, den verschiedenen Disziplinen und auch der Autismus Forschung wichtige Anregungen geben. Anhand einer Einzelfalldarstellung, aus der sich psychodynamische Hypothesen entwickelten, die zu einem psychoanalytischen Verständnis führten, versuche ich, eine gewisse Korrespondenz mit Hypothesen aus der „embodied“ kognitiven Psychologie, wie z.B. die Rolle der Projektiven Identifizierung in der Bildung einer „Theory of Mind“ und ihre Beeinträchtigung (-PI) bei autistischen Phänomenen (Mindblindness, Baron-Cohen) herzustellen.
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Summary: Recent research on the evolution of language and verbal displays (e.g., Miller, 1999, 2000a, 2000b, 2002) indicated that language is not only the result of natural selection but serves as a sexually-selected fitness indicator that is an adaptation showing an individual’s suitability as a reproductive mate. Thus, language could be placed within the framework of concepts such as the handicap principle (Zahavi, 1975). There are several reasons for this position: Many linguistic traits are highly heritable (Stromswold, 2001, 2005), while naturally-selected traits are only marginally heritable (Miller, 2000a); men are more prone to verbal displays than women, who in turn judge the displays (Dunbar, 1996; Locke & Bogin, 2006; Lange, in press; Miller, 2000a; Rosenberg & Tunney, 2008); verbal proficiency universally raises especially male status (Brown, 1991); many linguistic features are handicaps (Miller, 2000a) in the Zahavian sense; most literature is produced by men at reproduction-relevant age (Miller, 1999). However, neither an experimental study investigating the causal relation between verbal proficiency and attractiveness, nor a study showing a correlation between markers of literary and mating success existed. In the current studies, it was aimed to fill these gaps. In the first one, I conducted a laboratory experiment. Videos in which an actor and an actress performed verbal self-presentations were the stimuli for counter-sex participants. Content was always alike, but the videos differed on three levels of verbal proficiency. Predictions were, among others, that (1) verbal proficiency increases mate value, but that (2) this applies more to male than to female mate value due to assumed past sex-different selection pressures causing women to be very demanding in mate choice (Trivers, 1972). After running a two-factorial analysis of variance with the variables sex and verbal proficiency as factors, the first hypothesis was supported with high effect size. For the second hypothesis, there was only a trend going in the predicted direction. Furthermore, it became evident that verbal proficiency affects long-term more than short-term mate value. In the second study, verbal proficiency as a menstrual cycle-dependent mate choice criterion was investigated. Basically the same materials as in the former study were used with only marginal changes in the used questionnaire. The hypothesis was that fertile women rate high verbal proficiency in men higher than non-fertile women because of verbal proficiency being a potential indicator of “good genes”. However, no significant result could be obtained in support of the hypothesis in the current study. In the third study, the hypotheses were: (1) most literature is produced by men at reproduction-relevant age. (2) The more works of high literary quality a male writer produces, the more mates and children he has. (3) Lyricists have higher mating success than non-lyric writers because of poetic language being a larger handicap than other forms of language. (4) Writing literature increases a man’s status insofar that his offspring shows a significantly higher male-to-female sex ratio than in the general population, as the Trivers-Willard hypothesis (Trivers & Willard, 1973) applied to literature predicts. In order to test these hypotheses, two famous literary canons were chosen. Extensive biographical research was conducted on the writers’ mating successes. The first hypothesis was confirmed; the second one, controlling for life age, only for number of mates but not entirely regarding number of children. The latter finding was discussed with respect to, among others, the availability of effective contraception especially in the 20th century. The third hypothesis was not satisfactorily supported. The fourth hypothesis was partially supported. For the 20th century part of the German list, the secondary sex ratio differed with high statistical significance from the ratio assumed to be valid for a general population.
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Im Mittelpunkt der Arbeit steht die Frage, ob bei psychogenen Störungen Geschwistererfahrungen klinische Relevanz haben und ob die erfahrene Geschwisterposition und –konstellation auch im Erwachsenenalter psychodynamisch wirksam ist. Die Arbeit gliedert sich in drei Teile. Im ersten Teil werden in einem metatheoretischen Vorgehen psychoanalytische Konzepte, psychoanalytische Entwicklungstheorien aus der Objekt- und Selbstpsychologie und empirische Forschungsergebnisse zur Geschwisterbeziehung vorgestellt. Darauf aufbauend werden Annahmen formuliert, welche psychodynamischen Konflikte sich in einer pathologischen Entwicklung als psychische Störungen im Erwachsenenalter manifestieren können.Im zweiten Teil der Arbeit werden acht Einzelfälle psychoanalytischer Behandlungen von erwachsenen Patienten unterschiedlicher Geschwisterpositionen und -konstellationen dargestellt, die die in Teil 1 beschriebenen pathogenen Geschwistereinflüsse illustrieren. In den untersuchten Einzelfällen ist die erfahrene Geschwisterposition der Patienten konfliktbesetzt und psychodynamisch wirksam gewesen. Dabei haben die Erfahrungen mit den primären Objekten die Basis für die pathologische Beziehungsdynamik der Geschwister gebildet. Den dritten extra-klinisch empirischen Teil der Arbeit stellt eine explorative Pilotstudie dar, die ebenfalls das Ziel verfolgt, persistierende Geschwisterkonflikte in ihren langandauernden Effekten zu explorieren. Es handelt sich um eine Dokumentenanalyse von 215 Patientenakten aus einer psychosomatischen Klinik. Aus den Akten werden als Variablen ICD - und OPD - Diagnosen als auch inhaltsanalytisch ermittelte psychodynamische Konflikte herausgefiltert und mit den Variablen Geschwisterposition und –konstellation korreliert. Dabei wird erstens der Frage nachgegangen, ob es in den Akten von psychisch erkrankten Patienten zwischen Einzel- und Geschwisterkindern Unterschiede in Bezug auf die Diagnosen und hinsichtlich der formulierten psychodynamischen Konflikte gibt. Zweitens geht es um eine weitergehende Exploration dieser Variablen in Bezug auf die erfahrene Geschwisterposition bzw. –konstellation. Es zeigt sich, dass die ICD-10 Diagnostik aufgrund ihres deskriptiven Charakters und ihrer psychiatrischen Orientierung wenig brauchbar ist, diesbezügliche Hypothesen zu formulieren. Im Unterschied zur ICD-10 ergibt sich in Bezug auf die OPD-Diagnostik, besonders aber in Hinsicht auf die psychodynamischen Konflikte ein differenzierteres Bild. So sind z.B. Parentifizierung am häufigsten von Einzelkindern und Erstgeborenen benannt worden. Gleichzeitig berichten Patienten, die mit Geschwistern aufgewachsen sind, am stärksten von erlebtem emotionalem Mangel in der Familie. Unter Dominanzkonflikten leiden die Patienten am meisten, die als jüngstes Kind aufgewachsen sind. Bei Patienten mit der jüngsten und mittleren Geschwisterposition ist als weiteres Beispiel auffallend oft Altruismus ermittelt worden. Fazit der Arbeit ist, dass ungelöste Geschwisterkonflikte langandauernde Effekte haben können und dass - im Gegensatz zur Birth-Order-Forschung - die Variable der Geschwisterposition unter Berücksichtigung geschlechtsspezifischer Aspekte als ein intra- und interpsychisches dynamisches Geschehen begriffen werden kann.
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This research project focuses on contemporary eagle-taming falconry practice of the Altaic Kazakhs animal herding society in Bayan Ulgii Province in Western Mongolia. It aims to contributing both theoretical and empirical criteria for cultural preservation of Asian falconry. This cultural as well as environmental discourse is illustrated with concentrated field research framed by ecological anthropology and ethno-ornithology from the viewpoint of “Human-Animal Interaction (HAI)” and “Human-Animal Behavior (HAB)”. Part I (Chapter 2 & 3) explores ethno-archaeological and ethno-ornithological dimensions by interpretive research of archaeological artefacts which trace the historical depth of Asian falconry culture. Part II (Chapter 4 & 5) provides an extensive ethnographic narrative of Altaic Kazakh falconry, which is the central part of this research project. The “Traditional Art and Knowledge (TAK)” in human-raptor interactions, comprising the entire cycle of capture, perch, feeding, training, hunting, and release, is presented with specific emphasis on its relation to environmental and societal context. Traditional falconry as integral part of a nomadic lifestyle has to face some critical problems nowadays which necessitate preventing the complete disappearance of this outstanding indigenous cultural heritage. Part III (Chapter 6 & 7) thus focuses on the cultural sustainability of Altaic Kazakh falconry. Changing livelihoods, sedentarisation, and decontextualisation are identified as major threats. The role of Golden Eagle Festivals is critically analysed with regard to positive and negative impact. This part also intends to contribute to the academic definition of eagle falconry as an intangible cultural heritage, and to provide scientific criteria for a preservation master plan, as well as stipulate local resilience by pointing to successive actions needed for conservation. This research project concludes that cultural sustainability of Altaic Kazakh falconry needs to be supported from the angles of three theoretical frameworks; (1) Cultural affairs for protection based on the concept of nature-guardianship in its cultural domain, (2) Sustainable development and improvement of animal herding productivity and herder’s livelihood, (3) Natural resource management, especially supporting the population of Golden Eagles, their potential prey animals, and their nesting environment.
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In this thesis, a dual mode tunable gas sensor based on intracavity laser absorption spectroscopy (ICLAS) principle is investigated, both, numerically and experimentally. In order to minimize the cost and size of the gas sensor, relative intensity noise (RIN) is implemented as a detection parameter. Investigation is performed to determine the effect of injection current, operating temperature, mode spacing, and cavity length on RIN. It has been found that it is best to operate the gas sensor at smaller mode spacing and near the threshold current or at larger mode spacing and far above the threshold current for the use of RIN as the readout parameter.
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In the past decades since Schumpeter’s influential writings economists have pursued research to examine the role of innovation in certain industries on firm as well as on industry level. Researchers describe innovations as the main trigger of industry dynamics, while policy makers argue that research and education are directly linked to economic growth and welfare. Thus, research and education are an important objective of public policy. Firms and public research are regarded as the main actors which are relevant for the creation of new knowledge. This knowledge is finally brought to the market through innovations. What is more, policy makers support innovations. Both actors, i.e. policy makers and researchers, agree that innovation plays a central role but researchers still neglect the role that public policy plays in the field of industrial dynamics. Therefore, the main objective of this work is to learn more about the interdependencies of innovation, policy and public research in industrial dynamics. The overarching research question of this dissertation asks whether it is possible to analyze patterns of industry evolution – from evolution to co-evolution – based on empirical studies of the role of innovation, policy and public research in industrial dynamics. This work starts with a hypothesis-based investigation of traditional approaches of industrial dynamics. Namely, the testing of a basic assumption of the core models of industrial dynamics and the analysis of the evolutionary patterns – though with an industry which is driven by public policy as example. Subsequently it moves to a more explorative approach, investigating co-evolutionary processes. The underlying questions of the research include the following: Do large firms have an advantage because of their size which is attributable to cost spreading? Do firms that plan to grow have more innovations? What role does public policy play for the evolutionary patterns of an industry? Are the same evolutionary patterns observable as those described in the ILC theories? And is it possible to observe regional co-evolutionary processes of science, innovation and industry evolution? Based on two different empirical contexts – namely the laser and the photovoltaic industry – this dissertation tries to answer these questions and combines an evolutionary approach with a co-evolutionary approach. The first chapter starts with an introduction of the topic and the fields this dissertation is based on. The second chapter provides a new test of the Cohen and Klepper (1996) model of cost spreading, which explains the relationship between innovation, firm size and R&D, at the example of the photovoltaic industry in Germany. First, it is analyzed whether the cost spreading mechanism serves as an explanation for size advantages in this industry. This is related to the assumption that the incentives to invest in R&D increase with the ex-ante output. Furthermore, it is investigated whether firms that plan to grow will have more innovative activities. The results indicate that cost spreading serves as an explanation for size advantages in this industry and, furthermore, growth plans lead to higher amount of innovative activities. What is more, the role public policy plays for industry evolution is not finally analyzed in the field of industrial dynamics. In the case of Germany, the introduction of demand inducing policy instruments stimulated market and industry growth. While this policy immediately accelerated market volume, the effect on industry evolution is more ambiguous. Thus, chapter three analyzes this relationship by considering a model of industry evolution, where demand-inducing policies will be discussed as a possible trigger of development. The findings suggest that these instruments can take the same effect as a technical advance to foster the growth of an industry and its shakeout. The fourth chapter explores the regional co-evolution of firm population size, private-sector patenting and public research in the empirical context of German laser research and manufacturing over more than 40 years from the emergence of the industry to the mid-2000s. The qualitative as well as quantitative evidence is suggestive of a co-evolutionary process of mutual interdependence rather than a unidirectional effect of public research on private-sector activities. Chapter five concludes with a summary, the contribution of this work as well as the implications and an outlook of further possible research.
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The Space Systems, Policy and Architecture Research Consortium (SSPARC) was formed to make substantial progress on problems of national importance. The goals of SSPARC were to: • Provide technologies and methods that will allow the creation of flexible, upgradable space systems, • Create a “clean sheet” approach to space systems architecture determination and design, including the incorporation of risk, uncertainty, and flexibility issues, and • Consider the impact of national space policy on the above. This report covers the last two goals, and demonstrates that the effort was largely successful.
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Resumen tomado de la publicaci??n
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This is a part of a collection of materials developed by the HEAcademy Subject Centre for Languages, linguistics and area studies. The materials provide reflective activities designed to engage teachers with some of the key issues in working with international students and practical ideas for ways in which these can be addressed. They will be of particular interest to new staff or anyone new to working with international students.
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A presentation on planning and presenting research seminars for SOES 6018. This module aims to ensure that MSc Oceanography, MSc Marine Science, Policy & Law and MSc Marine Resource Management students are equipped with the skills they need to function as professional marine scientists, in addition to / in conjuction with the skills training in other MSc modules. The module covers training in fieldwork techniques, communication & research skills, IT & data analysis and professional development.
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Purpose: To evaluate the evolution of clinical and functional outcomes of symptomatic discoid lateral meniscus treated arthroscopically over time and to investigate the relationship between associated intra-articular findings and outcomes. Methods: Of all patients treated arthroscopically between 1995 and 2010, patients treated for symptomatic discoid meniscus were identified in the hospital charts. Baseline data (demographics, previous trauma of ipsilateral knee, and associated intra-articular findings) and medium term outcome data from clinical follow-up examinations (pain, locking, snapping and instability of the operated knee) were extracted from clinical records. Telephone interviews were conducted at long term in 28 patients (31 knees). Interviews comprised clinical outcomes as well as functional outcomes as assessed by the International Knee Documentation Committee Subjective Knee Evaluation Form (IKDC). Results: All patients underwent arthroscopic partial meniscectomy. The mean follow-up time for data extracted from clinical records was 11 months (SD ± 12). A significant improvement was found for pain in 77% (p<0.001), locking in 13%, (p=0.045) and snapping in 39 % (p<0.005). The mean follow-up time of the telephone interview was 60 months (SD ± 43). Improvement from baseline was generally less after five years than after one year and functional outcomes of the IKDC indicated an abnormal function after surgery (IKDC mean= 84.5, SD ± 20). In some patients, 5 year-outcomes were even worse than their preoperative condition. Nonetheless, 74% of patients perceived their knee function as improved. Furthermore, better results were seen in patients without any associated intra-articular findings. Conclusions: Arthroscopical partial meniscectomy is an effective intervention to relieve symptoms in patients with discoid meniscus in the medium-term; however, results trend to deteriorate over time. A trend towards better outcome for patients with no associated intra-articular findings was observed.
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This paper develops some theoretical and methodological considerations for the development of a critical competence model (CCM). The model is defined as a set of skills and knowledge functionally organized allowing measurable results with positive consequences for the strategic business objectives. The theoretical approaches of classical model of competences, the contemporary model of competencies and human competencies model were revised for the proposal development. implementation of the model includes 5 steps: 1) conducting a job analysis considering which dimensions or facets are subject to revision, 2) identify people with the opposite performance (the higher performance and lower performance); 3) identify critical incidents most relevant to the job position, 4) develop behavioral expectation scales (bes) and 5) validate BES obtained for experts in the field. As a final consideration, is determined that the competence models require accurate measurement. Approaches considering excessive theoreticism may cause the issue of competence become a fashion business with low or minimal impact, affecting its validity, reliability and deployment in organizations.
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Cancer is the result of the accumulation of changes in molecules with important functions in processes such as cell proliferation, apoptosis, cell death and gene repair. Molecules, substances or altered pathways constitute tumor markers or biomarkers useful in clinical monitoring of cancer patients, because they have demonstrated to be suitable for the valuation of the patient’s treatment and it efficiency. Determination of tumor markers has not been very successful due to the low sensitivity and specificity of the techniques used and the requirement of large volumes of biological samples or the use of invasive methods for collecting them. The serum tumor markers arise, as a useful tool to obtain information about the disease progress and constitute as a scientific challenge to improve its applicability in early diagnosis, prognosis, monitoring of the disease and evaluation of therapeutic efficacy.