924 resultados para high-strength and high-modulus fibres


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The image analysis techniques developed in Part 1 to study microstructural changes in non-woven fabrics are applied to measure the fibre orientation distribution and fibre length distribution of hydroentangled fabrics. The results are supported by strength and modulus measurements using samples from the same fabrics. It is shown that the techniques developed can successfully be used to assess the degree of entanglement of hydroentangled fabrics regardless of their thickness.

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The search for ideal biomaterials is still on-going for tissue regeneration. In this study, blends of Poly ε-caprolactone (PCL) with Poly l-lactic acid (PLLA), Nalidixic Acid (NA) and Polyethylene glycol (PEG) were prepared. Mechanical and thermal properties of the blends were investigated by tensile and flexural analysis, DSC, TGA, WXRD, MFI, BET, SEM and hot stage optical microscopy. Results showed that the loading of PLLA caused a significant decrease in tensile strength and almost total eradication of the elongation at break of PCL matrix, especially after PEG and NA addition. Increased stiffness was also noted with additional NA, PEG and PLLA, resulting in an increase in the flexural modulus of the blends.
Isothermal degradation indicated that bulk PCL, PLLA and the blends were thermally stable at 200°C for the duration of 2h making extrusion of the blends at this temperature viable. Morphological study showed that increasing the PLLA content and addition of the very low viscosity PEG and powder NA decreased the Melt Flow Indexer and increased the viscosity.
At the higher temperature the PLLA begins to soften and eventually melts allowing for increased flow and, coupling this with, the natural increase in MFI caused by temperature is enhanced further. The PEG and NA addition increased dramatically the pore volume which is important for cell growth and flow transport of nutrients and metabolic waste.

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In this study, calcium phosphate (CaP) powders were blended with a three-dimensional printing (3DP) calcium sulfate (CaSO4)-based powder and the resulting composite powders were printed with a water-based binder using the 3DP technology. Application of a water-based binder ensured the manufacture of CaP:CaSO4 constructs on a reliable and repeatable basis, without long term damage of the printhead. Printability of CaP:CaSO4 powders was quantitatively assessed by investigating the key 3DP process parameters, i.e. in-process powder bed packing, drop penetration behavior and the quality of printed solid constructs. Effects of particle size, CaP:CaSO4 ratio and CaP powder type on the 3DP process were considered. The drop penetration technique was used to reliably identify powder formulations that could be potentially used for the application of tissue engineered bone scaffolds using the 3DP technique. Significant improvements (p < 0.05) in the 3DP process parameters were found for CaP (30-110 μm):CaSO4 powders compared to CaP (< 20 μm):CaSO4 powders. Higher compressive strength was obtained for the powders with the higher CaP:CaSO4 ratio. Hydroxyapatite (HA):CaSO4 powders showed better results than beta-tricalcium phosphate (β-TCP):CaSO4 powders. Solid and porous constructs were manufactured using the 3DP technique from the optimized CaP:CaSO4 powder formulations. High-quality printed constructs were manufactured, which exhibited appropriate green compressive strength and a high level of printing accuracy.

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A high-fidelity composite damage model is presented and applied to predict low-velocity impact damage, compression after impact (CAI) strength and crushing of thin-walled composite structures. The simulated results correlated well with experimental testing in terms of overall force-displacement response, damage morphologies and energy dissipation. The predictive power of this model makes it suitable for use as part of a virtual testing methodology, reducing the reliance on physical testing.  

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O presente trabalho divulga os resultados dos estudos levados a efeito nas matérias-primas argilosas que se integram tipologicamente na argila comum, ocorrentes na designada Plataforma do Mondego, Centro de Portugal, na região entre Miranda do Corvo, a SW, e Tábua, a NE. Para tal realizou-se a cartografia superficial dos sedimentos continentais do Cretácico e do Terciário, aí preservados, estabeleceram-se as colunas sedimentares, a nível regional e a nível local, nas áreas de maior potencial reconhecido e, caracterizaram-se as matérias-primas argilosas amostradas, em termos de composição, textura e aptidão cerâmica, objectivando a definição das zonas das jazidas com maior interesse industrial. A informação obtida e compilada, relativa ao caulino e ao feldspato é também apresentada, com vista a uma percepção da potencialidade destas matériasprimas cerâmicas ocorrentes na área. O estudo de caracterização dos materiais argilosos investigados teve como base 53 amostras obtidas em seis regiões da Plataforma do Mondego aqui definidas por motivo de organização do trabalho, segundo os critérios geográfico e geotectónico. As formações de Côja e de Campelo, do Terciário, constituem as unidades onde ocorrem litótipos produtivos, em termos de matéria-prima para a Cerâmica de Barro Vermelho ou Cerâmica de Construção. Relativamente às características texturais e composicionais, em síntese, apresentam-se os factos relevantes seguintes: A matéria-prima argilosa existente na área estudada materializa, granulometricamente, na maioria das amostras, silte, caindo os níveis amostrados com maior percentagem de argila, no domínio do silte argiloso. O défice em fracção argila implica limitações quanto à possibilidade de diversificação de produtos cerâmicos fabricados com estas matérias-primas tal-qual. Os diferentes métodos analíticos utilizados na caracterização mineralógica dos materiais amostrados confirmaram uma composição em termos dos minerais argilosos, consistindo de ilite/mica (em geral, o mais abundante), caulinite e esmectite, interestratificados e clorite. Os minerais não argilosos são quartzo (predominante), feldspato (sobretudo potássico) e hematite, com uma representação baixa. A mineralogia da fracção inferior a 2μm das amostras, não difere das amostras totais, salvo no teor mais elevado dos minerais argilosos e acentuada redução dos minerais não argilosos. Os resultados da análise química por fluorescência de raios X das amostras integrais correlacionam-se com as características mineralógicas observadas através das técnicas analíticas utilizadas. No respeitante às propriedades e comportamento cerâmico verifica-se: Os parâmetros relacionados com a plasticidade indicam que parte das pastas elaboradas com estes materiais argilosos têm uma trabalhabilidade aceitável, mas existem problemas de conformação e acentuada retracção num número significativo de amostras, devido à elevada plasticidade da maioria das amostras. A extrusão é satisfatória a óptima. A RMF e a retracção em seco assumem valores, respectivamente, moderados a baixos e moderados, embora seja necessário ter em conta o procedimento de extrusão dos provetes, sem dispositivo de vácuo. Todas as amostras foram sujeitas a cozedura a 900ºC, e um conjunto seleccionado foi cozido a 1000ºC e a 1100ºC. As fases mineralógicas ocorrentes após cozeduras a 900ºC e 1100ºC foram identificadas num conjunto de amostras, tendo-se evidenciado a coerência dessas fases, com a mineralogia das amostras em seco. Após cozedura a 900ºC, os valores de RMF das amostras satisfazem geralmente os valores mínimos, exigidos para o fabrico de tijolo, abobadilha e, com alguma frequência, de telha, como já se verificava com os valores daquela propriedade em seco. Os valores de retracção seco-cozido são em geral, modestos. A capacidade de absorção de água é maioritariamente elevada. A formação de vidro, sobretudo, condiciona o comportamento destas propriedades por cozedura dos provetes a 1000ºC e a 1100ºC. A coloração predominante em cru das matérias-primas argilosas amostradas é amarelo acastanhado a castanho avermelhado. Após cozedura a 900ºC, há um acentuado escurecimento e incremento no grau de vermelho. As cozeduras a 1000ºC e 1100ºC promovem escurecimento gradual, com ligeira influência na cor. O comportamento dos provetes após as cozeduras cerâmicas revelou-se homogéneo a cada uma das respectivas temperaturas, não se registando também defeitos significativos, nem eflorescências. A análise das amostras em termos composicionais e tecnológicos permitiu destacar as principais características e aspectos distintivos das matériasprimas, nas diferentes regiões definidas objectivando as diferentes potencialidades cerâmicas. Nesta abordagem comparativa foram consideradas só as amostras dos campos silte e silte arenoso, por serem aquelas com maior interesse para a Cerâmica de Construção. Nas colunas sedimentares das regiões de Tábua e Santa Quitéria constata-se a ocorrência de dois ritmos de sedimentação, que embora assumam características específicas em cada região, têm aspectos composicionais e tecnológicos em comum, traduzindo melhor aptidão cerâmica os ritmos inferiores. A conjugação da cartografia realizada com os estudos laboratoriais permite concluir que as regiões de Tábua e de Santa Quitéria serão as que têm maior potencial por explorar, em matéria-prima para Cerâmica de Construção, apesar da primeira já ser intensamente explorada. Na região de Tábua, as amostras têm como fases mineralógicas principais ilite e quartzo na mesma proporção média (35%) e caulinite (média=19%) que regista enriquecimento significativo na fracção argila (média=38%). As argilas desta região registam a cor em cru mais vermelha e pH mais ácido observados. O ritmo de sedimentação inferior, com esmectite e interestratificados e ligeiramente menos quartzoso, apresenta melhores propriedades cerâmicas. A composição mineralógica média das amostras da região de Santa Quitéria é próxima daquela da região de Tábua, mas menos caulinítica, em especial na sequência inferior, na qual o teor médio de caulinite na fracção argila (7%) é o mais baixo observado. Na região de Côja – Arganil, a actividade extractiva é significativa na bacia de Côja. Aqui, a exploração de novas áreas potenciais é condicionada pela cobertura conglomerática e por estruturas tectónicas e não tectónicas relacionadas com comportamento plástico. Na restante área desta região, os recursos argilosos são penalizados por material areno-conglomerático. As amostras desta região distinguem-se das restantes a nível textural pela maior fracção areia e mineralogicamente pela presença de clorite, teor reduzido de caulinite e elevado de feldspato. As potencialidades em barro vermelho na região de Sanguinheda não serão significativas, pois a Formação de Côja é predominantemente arcósica e a Formação de Campelo pouco espessa e conglomerática. As argilas com melhor aptidão cerâmica foram amostradas na região de Miranda do Corvo – Lousã. Na composição, estas amostras são as que contêm maior fracção de argila, maior teor de ilite e caulinite e menor de argilas expansivas. Registam os melhores valores nas características tecnológicas, nomeadamente a RMF e absorção de água. A consistência dos grupos amostrais e ritmos definidos em termos composicionais e tecnológicos é corroborada pelas técnicas de análise estatística multivariada aplicadas, que os identificam. As condições de amostragem na região de Tábua, permitiram a elaboração de uma coluna tipológica, na qual, a partir de uma caracterização expedita de amostras é possível identificar a sua afinidade com os ritmos argilosos definidos e, consequentemente, a sua situação na coluna sedimentar regional e aptidão cerâmica. A cartografia dos recursos argilosos potenciais, elaborada à escala 1:25.000, constitui um dos objectivos principais deste trabalho e nela constam unidades litológicas, nas quais são diferenciadas unidades argilosas tendo também em consideração a tipologia e guias mineralógicos resultantes da caracterização das amostras. As características composicionais destas unidades denotam diferente aptidão cerâmica e, portanto, permitem salientar as zonas com maior interesse económico.

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In this work several techniques to monitor the performance of optical networks were developed. These techniques are dedicated either to the measurement of the data signal parameters (optical signal to noise ratio and dispersion) or to the detection of physical failures on the network infrastructure. The optical signal to noise ratio of the transmitted signal was successfully monitored using methods based on the presence of Bragg gratings imprinted on high birefringent fibres that allowed the distinction of the signal from the noise due to its polarization properties. The monitoring of the signal group-velocity dispersion was also possible. In this case, a method based on the analysis of the electric spectrum of the signal was applied. It was experimentally demonstrated that this technique is applicable on both amplitude and phase modulated signals. It was also developed a technique to monitor the physical infrastructure of an optical access network. Once again, the application of Bragg gratings (this time imprinted on standard single mode fibres) was the basis of the developed method.

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Trabalho Final de Mestrado para obtenção do grau de Mestre em Engenharia Mecânica

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Adhesive bonding has become more efficient in the last few decades due to the adhesives developments, granting higher strength and ductility. On the other hand, natural fibre composites have recently gained interest due to the low cost and density. It is therefore essential to predict the fracture behavior of joints between these materials, to assess the feasibility of joining or repairing with adhesives. In this work, the tensile fracture toughness (Gc n) of adhesive joints between natural fibre composites is studied, by bonding with a ductile adhesive and co-curing. Conventional methods to obtain Gc n are used for the co-cured specimens, while for the adhesive within the bonded joint, the J-integral is considered. For the J-integral calculation, an optical measurement method is developed for the evaluation of the crack tip opening and adherends rotation at the crack tip during the test, supported by a Matlab sub-routine for the automated extraction of these quantities. As output of this work, an optical method that allows an easier and quicker extraction of the parameters to obtain Gc n than the available methods is proposed (by the J-integral technique), and the fracture behaviour in tension of bonded and co-cured joints in jute-reinforced natural fibre composites is also provided for the subsequent strength prediction. Additionally, for the adhesively- bonded joints, the tensile cohesive law of the adhesive is derived by the direct method.

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Fiber reinforced plastics are increasing their importance as one of the most interesting groups of material on account of their low weight, high strength, and stiffness. To obtain good quality holes, it is important to identify the type of material, ply stacking sequence, and fiber orientation. In this article, the drilling of quasi-isotropic hybrid carbon +glass/epoxy plates is analyzed. Two commercial drills and a special step drill are compared considering the thrust force and delamination extension. Results suggest that the proposed step drill can be a suitable option in laminate drilling.

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The structural integrity of multi-component structures is usually determined by the strength and durability of their unions. Adhesive bonding is often chosen over welding, riveting and bolting, due to the reduction of stress concentrations, reduced weight penalty and easy manufacturing, amongst other issues. In the past decades, the Finite Element Method (FEM) has been used for the simulation and strength prediction of bonded structures, by strength of materials or fracture mechanics-based criteria. Cohesive-zone models (CZMs) have already proved to be an effective tool in modelling damage growth, surpassing a few limitations of the aforementioned techniques. Despite this fact, they still suffer from the restriction of damage growth only at predefined growth paths. The eXtended Finite Element Method (XFEM) is a recent improvement of the FEM, developed to allow the growth of discontinuities within bulk solids along an arbitrary path, by enriching degrees of freedom with special displacement functions, thus overcoming the main restriction of CZMs. These two techniques were tested to simulate adhesively bonded single- and double-lap joints. The comparative evaluation of the two methods showed their capabilities and/or limitations for this specific purpose.

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Introdução: A Lesão Medular (LM) é um dos mais devastadores e traumáticos eventos que um Ser Humano pode vivenciar do ponto de vista clínico e emocional, demonstrando-se fundamental a disponibilização de recursos específicos para que o indivíduo possa enfrentar e gerir a sua nova realidade da melhor maneira possível. Alguns estudos têm vindo a demonstrar os benefícios de programas de reabilitação com estimulação elétrica funcional (EEF). Portanto, é de importante relevância perceber os reais efeitos da intervenção na recuperação de indivíduos com este diagnóstico. Objetivo: Analisar as evidências de abordagens de aplicação de correntes de estimulação elétrica funcional (EEF) para coadjuvar na reabilitação em adultos com lesão medular completa. Métodos: Foi conduzida uma pesquisa dos artigos preferencialmente estudos randomized controlled trials RCT´s e estudos quasi-experimentais com os mesmos participantes foram admitidos complementarmente aos experimentais compreendidos entre 2004 e 2013, bem como as citações e as referências bibliográficas de cada estudo nas principais bases de dados de ciências da saúde (Elsevier – Science Direct, Highwire Press, PEDro, PubMed, Scielo Portugal, Clinical Key, B-on, Biomed Central, LILACS- Literatura Latino-Americana e do Caribe em Ciências da Saúde) com as palavras-chave: “spinal cord injuries”, “rehabilitation, electric stimulation funtional”, “FES”, “therapy” em todas as combinações possíveis. Os estudos RCT’s foram analisados independentemente por dois revisores quanto aos critérios de inclusão e qualidade dos estudos. Resultados: Dos 857 estudos identificados apenas sete foram incluídos. Destes, dois apresentaram um score 3/10, um apresentou 4/10, um apresentou um score 5/10. O score total bem como o preenchimento ou não de cada critério encontram-se detalhados na tabela 1 e organizados por ordem alfabética de autores. Todos os estudos incluíram indivíduos com Lesão Medular Completa, idades entre 16 e 68 anos com diagnóstico de acordo com a American Spinal Injury Association (ASIA).Os programas de intervenção dividiram-se em programas de programas de força, densidade mineral óssea, cardiorrespiratório e de atividade física. Dos estudos incluídos, cinco apresentaram melhorias na reabilitação funcional para o grupo experimental, demonstrando assim uma influência positiva da estimulação elétrica funcional em lesões medulares completas. Apenas dois estudos não apresentaram diferenças estatisticamente significativas com relevância clínica. Conclusão: Há uma tendência notória do benefício dos programas com EEF em pacientes com lesões medulares completas parece melhorar a capacidade cardiorrespiratória, a densidade mineral óssea, a força e atividade física, dos indivíduos. Contudo, mais estudos com elevada qualidade metodológica serão essenciais para conceber o real efeito da sua aplicação. Palavras-chave: lesão medular completa; estimulação elétrica funcional, randomized controlled trials, revisão sistemática.

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Objective. Despite steady declines in the prevalence of tobacco use among Canadians, young adult tobacco use has remained stubbornly high over the past two decades (CTUMS, 2005a). Currently in Ontario, young adults have the highest proportion of smokers of all age cohorts at 26%. A growing body of evidence shows that smoking restrictions and other tobacco control policies can reduce tobacco use and consumption among adults and deter initiation among youth; whether young adult university students' smoking participation is influenced by community smoking restrictions, campus tobacco control policies or both remains an empirical question. The purpose of this study is to examine the relationship among current smoking status of students on university campuses across Ontario and various tobacco control policies, 3including clean air bylaws of students' home towns, clean air by-laws of the community where the university is situated, and campus policies. Methods. Two data sets were used. The 200512006 Tobacco Use in a Representative Sample of Post-Secondary Students data set provides information about the tobacco use of 10,600 students from 23 universities and colleges across Ontario. Data screening for this study reduced the sample to 5,114 17-to-24 year old undergraduate students from nine universities. The second data set is researcher-generated and includes information about strength and duration of, and students' exposure to home town, local and campus tobacco control policies. Municipal by-laws (of students' home towns and university towns) were categorized as weak, moderate or strong based on criteria set out in the Ontario Municipal By-law Report; campus policies were categorized in a roughly parallel fashion. Durations of municipal and campus policies were calculated; and length of students' exposure to the policies was estimated (all in months). Multinomial logistic regression analyses were used to examine the relationship between students' current smoking status (daily, less-than-daily, never-smokers) and the following policy measures: strength of, duration of, and students' exposure to campus policy; strength of, duration of, and students' exposure to the by-law in the university town; and, strength of, duration of, and students' exposure to the by-law in the home town they grew up in. Sociodemographic variables were controlled for. Results. Among the Ontario university students surveyed, 7.0% currently use tobacco daily and 15.4% use tobacco less-than-daily. The proportions of students experiencing strong tobacco control policies in their home town, the community in which their university is located and at their current university were 33.9%,64.1 %, and 31.3% respectively. However, 13.7% of students attended a university that had a weak campus policy. Multinomial logistic regressions suggested current smoking status was associated with university town by-law strength, home town by-law strength and the strength of the campus tobacco control policy. In the fmal model, after controlling for sociodemographic factors, a strong by-law in the university town and a strong by-law in students' home town were associated with reduced odds of being both a less-than-daily (OR = 0.64, 95%CI: 0.48-0.86; OR = 0.80, 95%CI: 0.66-0.95) and daily smoker (OR = 0.59, 95%CI: 0.39-0.89; OR = 0.76, 95%CI: 0.58-0.99), while a weak campus tobacco control policy was associated with higher odds of being a daily smoker (OR = 2.08, 95%CI: 1.31-3.30) (but unrelated to less-than-daily smoking). Longer exposure to the municipal by-law (OR = 0.93; 95%CI: 0.90-0.96) was also related to smoking status. Conclusions. Students' smoking prevalence was associated with the strength of the restrictions in university, and with campus-specific tobacco control policies. Lessthan- daily smoking was not as strongly associated with policy measures as daily smoking was. University campuses may wish to adopt more progressive campus policies and support clean air restrictions in the broader community. More research is needed to determine the direction of influence between tobacco control policies and students' smoking.

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Competitive sports participation in youth is becoming increasingly more common in the Western world. It is widely accepted that sports participation, specifically endurance training, is beneficial for physical, psychomotor, and social development of children. The research on the effect of endurance training in children has focused mainly on healthrelated benefits and physiological adaptations, particularly on maximal oxygen uptake. However, corresponding research on neuromuscular adaptations to endurance training and the latter's possible effects on muscle strength in youth is lacking. In children and adults, resistance training can enhance strength and mcrease muscle activation. However, data on the effect of endurance training on strength and neuromuscular adaptations are limited. While some evidence exists demonstrating increased muscle activation and possibly increased strength in endurance athletes compared with untrained adults, the neuromuscular adaptations to endurance training in children have not been examined. Thus, the purpose of this study was to examine maximal isometric torque and rate of torque development (RID), along with the pattern of muscle activation during elbow and knee flexion and extension in muscle-endurancetrained and untrained men and boys. Subjects included 65 males: untrained boys (n=18), endurance-trained boys (n=12), untrained men (n=20) and endurance-trained men (n=15). Maximal isometric torque and rate of torque development were measured using an isokinetic dynamometer (Biodex III), and neuromuscular activation was assessed using surface electromyography (SEMG). Muscle strength and activation were assessed in the dominant arm and leg, in a cross-balanced fashion during elbow and knee flexion and extension. The main variables included peak torque (T), RTD, rate of muscle activation (Q30), Electro-mechanical delay (EMD), time to peak RTD and co-activation index. Age differences in T, RTD, electro-mechanical delay (EMD) and rate of muscle activation (Q30) were consistently observed in the four contractions tested. Additionally, Q30, nonnalized for peak EMG amplitude, was consistently higher in the endurancetrained men compared with untrained men. Co-activation index was generally low in all contractions. For example, during maximal voluntary isometric knee extension, men were stronger, had higher RTD and Q30, whether absolute or nonnalized values were used. Moreover, boys exhibited longer EMD (64.8 ± 18.5 ms vs. 56.6 ± 15.3 ms, for boys and men respectively) and time to peak RTD (112.4 ± 33.4 ms vs. 100.8 ± 39.1 ms for boys and men, respectively). In addition, endurance-trained men had lower T compared with untrained men, yet they also exhibited significantly higher nonnalized Q30 (1.9 ± 1.2 vs. 1.1 ± 0.7 for endurance-trained men and untrained men, respectively). No training effect was apparent in the boys. In conclusion, the findings demonstrate muscle strength and activation to be lower in children compared with adults, regardless of training status. The higher Q30 of the endurance-trained men suggests neural adaptations, similar to those expected in response to resistance training. The lower peak torque may su9gest a higher relative involvement oftype I muscle fibres in the endurance-trained athletes. Future research is required to better understand the effect of growth and development on muscle strength and activation patterns during dynamic and sub-maximal isometric contractions. Furthennore, training intervention studies could reveal the effects of endurance training during different developmental stages, as well as in different muscle groups.

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Le thème de la motivation au travail en lien avec la performance des employés captive l’intérêt des théoriciens, des chercheurs, des praticiens et des gestionnaires depuis déjà près d’un siècle. L’engouement pour l’étude de ces concepts a permis de faire des avancées scientifiques notables permettant de mieux éclairer la pratique. Cependant, on constate que la popularité de la motivation présente également certains enjeux. Notamment, la pluralité des théories rend le domaine presque étourdissant par ses connaissances éparses et ses résultats équivoques. En premier lieu, cette thèse présente une méta-analyse multithéorique réalisée à partir d’études effectuées sur le terrain examinant les liens entre la motivation au travail et la performance des travailleurs entre 1985 et 2010. Les résultats de ce bilan nous indiquent que, peu importe la théorie motivationnelle employée, la force et la direction de la relation motivation-performance sont similaires plutôt que différentes. Parmi les variables modératrices examinées, seule la source des mesures s’est révélée significative indiquant que la relation entre les variables d’intérêt est plus forte lorsque les mesures proviennent de la même source – dans notre étude elles s’avèrent toutes autodéclarées – comparativement à lorsqu’elles sont recueillies auprès de sources différentes. En second lieu, une étude en laboratoire a permis d’observer que la motivation peut évoluer sur une période très courte, soit de moins de 90 minutes, à partir de 3 mesures de motivation réparties dans le temps d’expérimentation. Plus spécifiquement, l’étude de la motivation par type et par quantité, en considérant le facteur temps, nous renseigne que la motivation intrinsèque a augmenté tandis que la motivation extrinsèque et l’amotivation ont connu une diminution. Cette étude, considérant une perspective multidimensionnelle et dynamique de la motivation, telle que proposée par le cadre conceptuel de la théorie de l’autodétermination, montre que l’évolution de la motivation de tous les participants à l’étude est semblable, peu importe leur performance. En plus de permettre l’avancement des connaissances dans le domaine de la motivation et de la performance au travail, cette thèse se démarque à plusieurs égards. D’un côté, il s’agit de la première méta-analyse multithéorique de la motivation qui soit réalisée. De l’autre côté, l’étude en laboratoire a examiné simultanément, le type et la quantité de la motivation à l’aide d’un devis à mesures répétées alors que la majorité des études se concentrent soit sur la quantité, soit sur le type et néglige souvent de considérer la variable temps. En outre, cette étude en laboratoire a été réalisée à partir d’une activité à haut potentiel de validité écologique, s’apparentant à une tâche de sélection de candidats en ressources humaines. En somme, cette thèse apporte un éclairage intéressant tant sur le plan des connaissances concernant les variables modératrices déterminantes impliquées dans les relations motivation-performance et sur le plan du rythme des variations des types de motivation que sur le plan de l’utilisation optimale et complémentaire de techniques de recherche sophistiquées. L’ensemble des recommandations découlant de ces deux études concernant la recherche et l’intervention est présenté en conclusion.

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Dans la cellule, chaque ARNm se doit d’être régulé finement au niveau transcriptionnel, bien entendu, mais également au niveau de sa traduction, de sa dégradation ainsi que de sa localisation intracellulaire, et ce, afin de permettre l’expression de chaque produit protéique au moment et à l’endroit précis où son action est requise. Lorsqu’un mécanisme physiologique est mis de l’avant dans la cellule, il arrive souvent que plusieurs ARNm se doivent d’être régulés simultanément. L’un des moyens permettant d’orchestrer un tel processus est de réguler l’action d’une protéine commune associée à chacun de ces ARNm, via un mécanisme post-traductionnel par exemple. Ainsi l’expression d’un groupe précis d’ARNm peut être régulée finement dans le temps et dans l’espace selon les facteurs protéiques auxquels il est associé. Dans l’optique d’étudier certains de ces complexes ribonucléoprotéiques (mRNP), nous nous sommes intéressés aux isoformes et paralogues de Staufen, une protéine à domaine de liaison à l’ARN double-brin (dsRBD) impliquée dans de nombreux aspects de la régulation post-transcriptionnelle, tels la dégradation, la traduction ou encore la localisation d’ARNm. Chez la drosophile, un seul gène Staufen est exprimé alors que chez les mammifères, il existe deux paralogues de la protéine, soit Stau1 et Stau2, tous deux possédant divers isoformes produits suite à l’épissage alternatif de leur gène. Stau1 et Stau2 sont identiques à 50%. Les deux isoformes de Stau2, Stau259 et Stau262 ne diffèrent qu’en leur extrémité N-terminale. En effet, alors que Stau259 arbore un dsRBD1 tronqué, celui de Stau262 est complet. Ces observations introduisent une problématique très intéressante à laquelle nous nous sommes attaqué : ces différentes protéines, quoique très semblables, font-elles partie de complexes ribonucléoprotéiques distincts ayant des fonctions propres à chacun ou, au contraire, vu cette similarité de séquence, travaillent-elles de concert au sein des mêmes complexes ribonucléoprotéiques? Afin d’adresser cette question, nous avons entrepris d’isoler, à partir de cellules HEK293T, les différents complexes de Stau1 et Stau2 par la technique d’immunoprécipitation. Nous avons isolé les ARNm associés à chaque protéine, les avons identifiés grâce aux micropuces d’ADN et avons confirmé nos résultats par RT-PCR. Malgré la présence d’une population commune d’ARNm associée à Stau1 et Stau2, la majorité des transcrits identifiés furent spécifiques à chaque orthologue. Cependant, nous avons remarqué que les diverses populations d’ARNm participaient aux mêmes mécanismes de régulation, ce qui suggère que ces deux protéines possèdent des rôles complémentaires dans la mise en œuvre de divers phénomènes cellulaires. Au contraire, les transcrits associés à Stau259 et Stau262 sont davantage similaires, indiquant que celles-ci auraient des fonctions plutôt semblables. Ces résultats sont très intéressants, car pour la première fois, nous avons identifié des populations d’ARNm associées aux isoformes Stau155, Stau259 et Stau262. De plus, nous les avons analysées en parallèle afin d’en faire ressortir les populations spécifiques à chacune de ces protéines. Ensuite, connaissant l’importance de Stau2 dans le transport dendritique d’ARNm, nous avons cherché à caractériser les complexes ribonucléoprotéiques neuronaux associés à celle-ci. Dans un premier temps et à l’aide de la technique d’immunoprécipitation, nous avons identifié une population d’ARNm neuronaux associés à Stau2. Plus de 1700 ARNm montraient une présence d’au moins huit fois supérieure dans le précipité obtenu avec l’anticorps anti-Stau2 par rapport à celui obtenu avec le sérum pré-immun. Ces ARNm codent pour des protéines impliquées dans des processus de modifications post-traductionnelles, de traduction, de transport intracellulaire et de métabolisme de l’ARN. De façon intéressante, cette population d’ARNm isolée du cerveau de rat est relativement différente de celle caractérisée des cellules humaines HEK293T. Ceci suggère que la spécificité d’association Stau2-ARNm peut diffèrer d’un tissu à un autre. Dans un deuxième temps, nous avons isolé les protéines présentes dans les complexes ribonucléoprotéiques obtenus de cerveaux de rat et les avons identifiées par analyse en spectrométrie de masse. De cette façon, nous avons identifié au sein des particules de Stau2 des protéines liant l’ARN (PABPC1, hnRNPH1, YB1, hsc70), des protéines du cytosquelette (α- et β-tubuline), de même que la protéine peu caractérisée RUFY3. En poussant davantage la caractérisation, nous avons établi que YB1 et PABPC1 étaient associées à Stau2 grâce à la présence de l’ARN, alors que la protéine hsc70, au contraire, interagissait directement avec celle-ci. Enfin, cette dernière association semble être modulable par l’action de l’ATP. Ce résultat offre de nombreuses possibilités quant à la régulation de la fonction de Stau2 et/ou de son mRNP. Entre autres, cette étude suggère un mécanisme de régulation de la traduction au sein de ces particules. Pour faire suite à la caractérisation des mRNP de Stau, nous avons voulu déterminer au niveau neurophysiologique l’importance de ceux-ci. Comme l’étude de Stau2 avait déjà été entreprise préalablement par un autre laboratoire, nous avons décidé de concentrer notre étude sur le rôle de Stau1. Ainsi, nous avons démontré que celle-ci était nécessaire à la mise en place d’une forme de plasticité synaptique à long terme, la forme tardive de potentialisation à long terme ou L-LTP, dépendante de la transcription et de l’activité des récepteurs NMDA. La transmission de base, de même que la faculté de ces épines à faire de la E-LTP, la forme précoce de potentialisation à long terme, et la dépression à long terme ou LTD sont conservées. Ceci indique que les épines conservent la capacité d’être modulées. Ainsi, l’inhibition de la L-LTP, suite à la sous-expression de Stau1, n’est pas simplement due à la perte d’éléments fonctionnels, mais réside plutôt dans l’incapacité de ceux-ci à induire les changements synaptiques spécifiquement nécessaires à la mise en place de la L-LTP. De plus, au niveau synaptique, la sous-expression de Stau1 réduit à la fois l’amplitude et la fréquence des mEPSC. Ces résultats concordent avec l’observation que la sous-expression de Stau1 augmente significativement la proportion d’épines allongées et filopodales, des épines formant des synapses dites silencieuses. Par le fait même, elle diminue le nombre d’épines fonctionnelles, de forme dite normale. Ainsi, nous avons été en mesure de démontrer que l’absence, au niveau neuronal, de la protéine Stau1 induisait un déficit probable dans la localisation et/ou la traduction d’ARNm responsable de la restructuration de l’épine et de facteurs nécessaires à la mise en place de la L-LTP. En conclusion, nous avons participé à lever le voile sur la composition et l’importance des complexes ribonucléoprotéiques de Stau1 et Stau2. Nous avons identifié des populations distinctes et communes d’ARNm associées aux différents isoformes de Stau, à partir des mRNP présents au sein des cellules HEK293. De plus, nous avons réussi à mettre à l’avant plan certaines composantes des mRNP neuronaux de Stau2, dont un partenaire protéique direct, hsc70, partenaire dont l’association est modulable par l’action de l’ATP, ainsi qu’une population neuronale de transcrits d’ARNm. Enfin, nous avons mis en lumière l’importance de Stau1 dans la morphologie des épines dendritiques ainsi que dans le phénomène de la plasticité synaptique.