952 resultados para Dubious origins


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This paper relies on some data to identify the 19th century as the major period in which Brazil economy lagged behind some chosen benchmarking countries, as the USA, Canada, New Zealand, Australia and some European periphery countries. To identify the reasons for this an exercise using immigration data was used to make a decomposition of the sources of growth of the proportion of the USA per capita GDP to the Brazilian one. The results indicate that the imported human capital was responsible for 59% to 88% of this total growth between 1820 and 1900.

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This research identified and examined the responses of 19 physically active seniors to determine why they were physically active. The participants were physically active seniors, from the Niagara region who participated in physical activity 2, or more times per week. The purpose to this research was to determine what specific experiences or characteristics those seniors' possessed which motivated them to follow an exercise regime in later life. Three focus group interviews were conducted and participants responded to a set of predetermined questions. Responses to the interview questions were transcribed and analysed by comparing words and participant responses. This method of analysis is known as ethnographic summary. Themes, concepts, and experiences that emerged from the focus group interviews were also recorded according to systematic coding by way of content analysis. From this study, factors that predispose, enable, reinforce and prevent seniors from participating in exercise have been identified. Nine recommendations for improving seniors quality of life have also emerged from the study. Additionally, the findings from the study illustrate that those responsible for planning programs for seniors need to consider senior's wants and needs. Finally, the study also has educational implications. All participants in the study experienced a positive introduction to daily phyiscal activity through their school setting. Participants of the study believed, that their positive experiences at school, directly influenced their lifelong involvement in exercise.

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The Green Party of Canada, as a vital aspect of the Canadian green movement, and its connection to international green organizations can be examined primarily through the examp l es of both the Canadian Greens and the Green party of Ontario , by using original party documents and literature, information gained through Green party meetings and discussions with members, and commentary by Green theorists where app licable. As well, the influence on the Canadian green movement by the German Green Party is out lined , again mainly through party literature, documents and critiques of the party's experiences. This study reveals several existing and potential problems fo r t he Green Party in Canada, and the political fut ure of the Canadian green movement in general. Some, such as the real i ties of the Canadian political system are external to the movement, and may be overcome with adjustments in goals and methods, and a realization of the changing attitude towards environmental issues in a political context . On the other hand, internal party disfunctions in both organization and direction, caused mainly by the indefinite parameters of green ideology, threaten to expl oi t t he al ready problematic aspects evident in t he Green Party . Aside from its somewhat slow beginnings, the Green Party in Canada has developed into a strong grassroots social movement, not however from its political visibility but from the steady growth in the popul ari ty of ecological pol i t ics in Canada . Due to the seeming enormity of the obstacles facing the Greens in their effort 4 to achieve electoral success, it is doubtful that Parliamentary representation will be achieved without a major re-orientation of party organization and methods. UI timately the strength of the Green Party in Canada will be based upon its ability to survive as a significant movement, and its willingness to continue to challenge political thought and practice.

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Diatoms are renowned for their robust ability to perform NPQ (Non-Photochemical Quenching of chlorophyll fluorescence) as a dissipative response to heightened light stress on photosystem II, plausibly explaining their dominance over other algal groups in turbulent light environs. Their NPQ mechanism has been principally attributed to a xanthophyll cycle involving the lumenal pH regulated reversible de-epoxidation of diadinoxanthin. The principal goal of this dissertation is to reveal the physiological and physical origins and consequences of the NPQ response in diatoms during short-term transitions to excessive irradiation. The investigation involves diatom species from different originating light environs to highlight the diversity of diatom NPQ and to facilitate the detection of core mechanisms common among the diatoms as a group. A chiefly spectroscopic approach was used to investigate NPQ in diatom cells. Prime methodologies include: the real time monitoring of PSII excitation and de-excitation pathways via PAM fluorometry and pigment interconversion via transient absorbance measurements, the collection of cryogenic absorbance spectra to measure pigment energy levels, and the collection of cryogenic fluorescence spectra and room temperature picosecond time resolved fluorescence decay spectra to study excitation energy transfer and dissipation. Chemical inhibitors that target the trans-thylakoid pH gradient, the enzyme responsible for diadinoxanthin de-epoxidation, and photosynthetic electron flow were additionally used to experimentally manipulate the NPQ response. Multifaceted analyses of the NPQ responses from two previously un-photosynthetically characterised species, Nitzschia curvilineata and Navicula sp., were used to identify an excitation pressure relief ‘strategy’ for each species. Three key areas of NPQ were examined: (i) the NPQ activation/deactivation processes, (ii) how NPQ affects the collection, dissipation, and usage of absorbed light energy, and (iii) the interdependence of NPQ and photosynthetic electron flow. It was found that Nitzschia cells regulate excitation pressure via performing a high amplitude, reversible antenna based quenching which is dependent on the de-epoxidation of diadinoxanthin. In Navicula cells excitation pressure could be effectively regulated solely within the PSII reaction centre, whilst antenna based, diadinoxanthin de-epoxidation dependent quenching was implicated to be used as a supplemental, long-lasting source of excitation energy dissipation. These strategies for excitation balance were discussed in the context of resource partitioning under these species’ originating light climates. A more detailed investigation of the NPQ response in Nitzschia was used to develop a comprehensive model describing the mechanism for antenna centred non-photochemical quenching in this species. The experimental evidence was strongly supportive of a mechanism whereby: an acidic lumen triggers the diadinoxanthin de-epoxidation and protonation mediated aggregation of light harvesting complexes leading to the formation of quencher chlorophyll a-chlorophyll a dimers with short-lived excited states; quenching relaxes when a rise in lumen pH triggers the dispersal of light harvesting complex aggregates via deprotonation events and the input of diadinoxanthin. This model may also be applicable for describing antenna based NPQ in other diatom species.

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The exact mechanistic understanding of various organocatalytic systems in asymmetric reactions such as Henry and aza-Henry transformations is important for developing and designing new synthetic organocatalysts. The focus of this dissertation will be on the use of density functional theory (DFT) for studying the asymmetric aza-Henry reaction. The first part of the thesis is a detailed mechanistic investigation of a poorly understood chiral bis(amidine) (BAM) Brønsted acid catalyzed aza-Henry reaction between nitromethane and N-Boc phenylaldimine. The catalyst, in addition to acting as a Brønsted base, serves to simultaneously activate both the electrophile and the nucleophile through dual H-bonding during C-C bond formation and is thus essential for both reaction rate and selectivity. Analysis of the H-bonding interactions revealed that there was a strong preference for the formation of a homonuclear positive charge-assisted H-bond, which in turn governed the relative orientation of substrate binding. Attracted by this well-defined mechanistic investigation, the other important aspect of my PhD research addressed a detailed theoretical analysis accounting for the observed selectivity in diastereoselective versions of this reaction. A detailed inspection of the stereodetermining C-C bond forming transition states for monoalkylated nitronate addition to a range of electronically different aldimines, revealed that the origins of stereoselectivity were controlled by a delicate balance of different factors such as steric, orbital interactions, and the extent of distortion in the catalyst and substrates. The structural analysis of different substituted transition states established an interesting dependency on matching the shape and size of the catalyst (host molecule) and substrates (guest molecules) upon binding, both being key factors governing selectivity, in essence, offering an analogy to positive cooperative binding effect of catalytic enzymes and substrates in Nature. In addition, both intra-molecular (intra-host) and inter-molecular (host-guest, guest-guest) stabilizing interactions play a key role to the high π-facial selectivity. The application of dispersion-corrected functionals (i.e., ωB97X-D and B3LYP-D3) was essential for accurately modeling these stabilizing interactions, indicating the importance of dispersion effects in enantioselectivity. As a brief prelude to more extensive future studies, the influence of a triflate counterion on both reactivity and selectivity in this reaction was also addressed.

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Thèse numérisée par la Division de la gestion de documents et des archives de l'Université de Montréal

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Cette étude porte sur l’analyse de l’identité, en termes de fonction, des monuments érigés sous tumulus dans le territoire actuel de la Bulgarie. Ces monuments sont généralement datés du Ve au IIIe siècle avant notre ère et ont été associés aux peuples thraces qui ont évolué sur ce territoire durant cette époque. Les monuments thraces sous tumulus, aux structures en blocs de pierre ou en moellons, ou d’un mélange de matériaux et de techniques différentes, ont été invariablement recouverts de monticules de terre dès l’Antiquité. Les tumuli ainsi obtenus ont été utilisés à différentes fins par les peuples locaux jusqu’à l’époque moderne. Les études plus ou moins détaillées des monuments thraces sous tumulus, qui ont débuté dès la fin du XIXe siècle de notre ère, ainsi que l’accumulation rapide de nouveaux exemplaires durant les deux dernières décennies, ont permis de constater une grande variabilité de formes architecturales en ce qui a trait aux différentes composantes de ces constructions. Cette variabilité a poussé certains chercheurs à proposer des typologies des monuments afin de permettre une meilleure maîtrise des données, mais aussi dans le but d’appuyer des hypothèses portant sur les origines des différents types de constructions sous tumulus, ou sur les origines des différentes formes architectoniques identifiées dans leurs structures. Des hypothèses portant sur la fonction de ces monuments, à savoir, sur l’usage qu’en ont fait les peuples thraces antiques, ont également été émises : certains chercheurs ont argumenté pour un usage funéraire, d’autres pour une fonction cultuelle. Un débat de plus en plus vif s’est développé durant les deux dernières décennies entre chercheurs de l’un et de l’autre camp intellectuel. Il a été constamment alimenté par de nouvelles découvertes sur le terrain, ainsi que par la multiplication des publications portant sur les monuments thraces sous tumulus. Il est, de ce fait, étonnant de constater que ni les hypothèses portant sur les origines possibles de ces constructions, ni celles ayant trait à leurs fonctions, n’ont été basées sur des données tangibles – situation qui a eu pour résultat la désignation des monuments thraces par « tombes-temples-mausolées », étiquette chargée sinon d’un sens précis, du moins d’une certaine connotation, à laquelle le terme « hérôon » a été ajouté relativement récemment. Notre étude propose de dresser un tableau actuel des recherches portant sur les monuments thraces sous tumulus, ainsi que d’analyser les détails de ce tableau, non pas dans le but de trancher en faveur de l’une ou de l’autre des hypothèses mentionnées, mais afin d’expliquer les origines et la nature des problèmes que les recherches portant sur ces monuments ont non seulement identifiés, mais ont également créés. Soulignant un fait déjà noté par plusieurs chercheurs-thracologues, celui du manque frappant de données archéologiques exactes et précises dans la grande majorité des publications des monuments thraces, nous avons décidé d’éviter la tendance optimiste qui persiste dans les études de ces derniers et qui consiste à baser toute analyse sur le plus grand nombre de trouvailles possible dans l’espoir de dresser un portrait « complet » du contexte archéologique immédiat des monuments ; portrait qui permettrait au chercheur de puiser les réponses qui en émergeraient automatiquement, puisqu’il fournirait les éléments nécessaires pour placer l’objet de l’analyse – les monuments – dans un contexte historique précis, reconstitué séparément. Ce manque de données précises nous a porté à concentrer notre analyse sur les publications portant sur les monuments, ainsi qu’à proposer une approche théoriquement informée de l’étude de ces derniers, en nous fondant sur les discussions actuelles portant sur les méthodes et techniques des domaines de l’archéologie, de l’anthropologie et de l’histoire – approche étayée dans la première partie de cette thèse. Les éléments archéologiques (avant tout architecturaux) qui ont servi de base aux différentes hypothèses portant sur les constructions monumentales thraces sont décrits et analysés dans le deuxième volet de notre étude. Sur la base de cette analyse, et en employant la méthodologie décrite et argumentée dans le premier volet de notre thèse, nous remettons en question les différentes hypothèses ayant trait à l’identité des monuments. L’approche de l’étude des monuments thraces sous tumulus que nous avons adoptée tient compte tant de l’aspect méthodologique des recherches portant sur ceux-ci, que des données sur lesquelles les hypothèses présentées dans ces recherches ont été basées. Nous avons porté une attention particulière à deux aspects différents de ces recherches : celui du vocabulaire technique et théorique implicitement ou explicitement employé par les spécialistes et celui de la façon dont la perception de l’identité des monuments thraces a été affectée par l’emploi de ce vocabulaire. Ces analyses nous ont permis de reconstituer, dans le dernier volet de la présente étude, l’identité des monuments thraces telle qu’implicitement ou explicitement perçue par les thracologues et de comparer cette restitution à celle que nous proposons sur la base de nos propres études et observations. À son tour, cette comparaison des restitutions des différentes fonctions des monuments permet de conclure que celle optant pour une fonction funéraire, telle que nous la reconstituons dans cette thèse, est plus économe en inférences et mieux argumentée que celle identifiant les monuments thraces de lieux de culte. Cependant, l’impossibilité de réfuter complètement l’hypothèse des « tombes-temples » (notamment en raison du manque de données), ainsi que certains indices que nous avons repérés dans le contexte architectural et archéologique des monuments et qui pourraient supporter des interprétations allant dans le sens d’une telle identification de ces derniers, imposent, d’après nous, la réévaluation de la fonction des constructions thraces sous tumulus sur la base d’une restitution complète des pratiques cultuelles thraces d’après les données archéologiques plutôt que sur la base d’extrapolations à partir des textes grecs anciens. À notre connaissance, une telle restitution n’a pas encore été faite. De plus, le résultat de notre analyse des données archéologiques ayant trait aux monuments thraces sous tumulus, ainsi que des hypothèses et, plus généralement, des publications portant sur les origines et les fonctions de ces monuments, nous ont permis de constater que : 1) aucune des hypothèses en question ne peut être validée en raison de leur recours démesuré à des extrapolations non argumentées (que nous appelons des « sauts d’inférence ») ; 2) le manque flagrant de données ou, plus généralement, de contextes archéologiques précis et complets ne permet ni l’élaboration de ces hypothèses trop complexes, ni leur validation, justifiant notre approche théorique et méthodologique tant des monuments en question, que des études publiées de ceux-ci ; 3) le niveau actuel des connaissances et l’application rigoureuse d’une méthodologie d’analyse permettent d’argumenter en faveur de la réconciliation des hypothèses « funéraires » et « cultuelles » – fait qui ne justifie pas l’emploi d’étiquettes composites comme « templestombes », ni les conclusions sur lesquelles ces étiquettes sont basées ; 4) il y a besoin urgent dans le domaine de l’étude des monuments thraces d’une redéfinition des approches méthodologiques, tant dans les analyses théoriques des données que dans le travail sur le terrain – à défaut de procéder à une telle redéfinition, l’identité des monuments thraces sous tumulus demeurera une question d’opinion et risque de se transformer rapidement en une question de dogmatisme.

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Essai présenté à la Faculté des Arts et des Sciences en vue de l’obtention du grade de Doctorat en Psychologie Clinique (D. Psy.)

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The objective of this paper is to understand how Chinese consumers perceive certified organic food, especially the differences between locally and nationally produced organic food compared to food produced overseas. In 2012, a consumer survey was conducted at supermarkets in Hong Kong and Shanghai (N=245). Participants were asked for their perception on four different food origins: locally produced organic food, organic food from China, imported organic food, and locally produced conventional food. Consumers in Hong Kong had a positive attitude towards local organic food and imported organic food. However, they were sceptical about organic food from China, in particular regarding chemical residues and the trustworthiness of producers. Consumers in Shanghai, in contrast, had a positive attitude towards all three tested geographical origins of organic food. Overall, the results suggest that it is challenging for marketers to promote and boost the sales of China-produced organic food in China. Better communication is essential to convince consumers that organic food from China is of similar quality as organic food produced elsewhere.

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Resumen tomado de la publicaci??n

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Stable hydrogen isotopes (δD) in flight feathers were measured to investigate the summer origins of five species of boreal-breeding warblers captured during fall migration at Canadian Migration Monitoring Network (CMMN) stations spread across southern Canada. Mean δD varied among stations and species within stations, but there was broad overlap in δD values. Although isotope ratios indicate that migrants at each station come from a wide range of latitudes, they are unable to provide much longitudinal discrimination. Band recoveries are sparse, but indicate that in general western Canadian warblers move southeast in fall, eastern birds move southwest, and there is a transition zone in the Great Lakes region. Combining knowledge of migratory direction with isotope results increases discrimination of breeding areas. Isotope results support fall migratory movements by Blackpoll Warbler (Dendroica striata) and Northern Waterthrush (Seiurus novaboracensis) that are more easterly than for other species, and in all study species, birds from more northern regions passed through southern Canada later in the season. Migration monitoring stations capture birds from broad areas of latitude, and migrants passing through each province appear to come from largely different portions of the Canadian breeding range, so a few stations placed in each province should suffice collectively to sample birds from most of the boreal forest. Migration monitoring in southern Canada, therefore, has the potential to monitor status of boreal forest birds in Canada that are unsampled by other monitoring programs.

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Increases in Snow Goose (Chen caerulescens) populations and large-scale habitat changes in North America have contributed to the concentration of migratory waterfowl on fewer wetlands, reducing resource availability, and enhancing risks of disease transmission. Predicting wintering locations of migratory individuals is critical to guide wildlife population management and habitat restoration. We used stable carbon (δ13C), nitrogen (δ15N), and hydrogen (δ2H) isotope ratios in muscle tissue of wintering Snow Geese to discriminate four major wintering areas, the Playa Lake Region, Texas Gulf Coast, Louisiana Gulf Coast, and Arkansas, and infer the wintering locations of individuals collected later during the 2007 and 2008 spring migrations in the Rainwater Basin (RWB) of Nebraska. We predicted the wintering ground derivation of migrating Snow Geese using a likelihood-based approach. Our three-isotope analysis provided an efficient discrimination of the four wintering areas. The assignment model predicted that 53% [95% CI: 37-69] of our sample of Snow Geese from the RWB in 2007 had most likely originated in Louisiana, 38% [23-54] had wintered on Texas Gulf Coast, and 9% [0-20] in Arkansas; the assessment suggested that 89% [73-100] of our 2008 sample had most likely come from Texas Gulf Coast, 9% [0-27] from Louisiana Gulf Coast, and 2% [0-9] from Arkansas. Further segregation of wintering grounds and additional sampling of spring migrating Snow Geese would refine overall assignment and help explain interannual variations in migratory connectivity. The ability to distinguish origins of northbound geese can support the development of spatially-adaptive management strategies for the midcontinent Snow Goose population. Establishing migratory connectivity using isotope assignment techniques can be extended to other waterfowl species to determine critical habitat, evaluate population energy requirements, and inform waterfowl conservation and management strategies.