989 resultados para Public Archives Canada.


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Trata-se de um estudo sobre a história da educação rural no Pará, entre 1889-1897. A intenção última é conhecer, a partir da pesquisa histórica, como se deu a educação rural do Pará na Primeira República, tendo como foco os governos provisórios de Justo Chermont e Huert Bacelar e o governo constitucional de Lauro Sodré. Nosso objetivo geral é entender como a educação para homens e mulheres do interior do Pará foi pensada e operacionalizada no plano governamental. Especificamente, estabelecemos quatro objetivos: a) Levantar os investimentos feitos nas escolas rurais no período em questão; b) Descrever como eram concebidas as escolas rurais do estado do Pará na Primeira República; c) Entender quais os procedimentos utilizados, através dos documentos oficiais, para formar o cidadão das escolas rurais; d) Compreender os objetivos da formação educacional da população rural. Duas questões nortearam a investigação: 1º) Que intenções permeavam a educação destinada às populações das áreas rurais do Pará nos governos do período de 1889 a 1897? 2º) O que foi realizado, no plano governamental, para a concretização desses objetivos? As fontes documentais foram coletadas no Arquivo Público do Estado do Pará, na biblioteca Arthur Vianna e nos Setor de Obras Raras do Centro Cultural do Pará Tancredo Neves (CENTUR). O corpus da pesquisa está composto de: relatórios dos governadores; mensagens, ofícios, abaixo-assinados, circulares e requerimentos; relatórios de diretores da Instrução Pública; relatórios de visitadores; relatórios de grupo escolares; cadernos de Leis do período. Metodologicamente, operamos a análise em três momentos: 1) momento da heurística; 2) momento da crítica; 3) momento da interpretação. O texto está composto de introdução, três seções e considerações finais. O trabalho realizado indica que os governos estaduais na Primeira República pouco fizeram pela formação do homem do interior do estado, apesar do uso político acentuado da educação como prioridade para estes. Identificamos que os investimentos com a Instrução Pública tiveram seu limite estabelecido pela ideologia do regime republicano que entendia a população rural como uma gente de segunda ou de terceira, que precisava ser “lapidada” para o trabalho. Por extensão, o espaço rural é compreendido como o lugar do atraso, da incivilidade e que, portanto, um pouco de formação à sua população era o suficiente para transformar homens rudes em cidadãos, ainda que de categoria inferior.

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Nosso propósito foi estudar o tráfico de africanos para o Estado do Grão-Pará e Rio Negro no período de 1777 a 1815. Para alcançar nosso intento, utilizamos as informações contidas na Base de Dados do Comércio Transatlântico de Escravos (BDCTE), a documentação compilada do Arquivo Público do Pará por Anaíza Vergolino e Napoleão Figueiredo no livro “A presença Africana na Amazônia Colonial: uma notícia histórica”, cruzamos com os documentação do Projeto Resgate – AHU, além disso, consultamos a bibliografia. No primeiro capítulo elaboramos uma apreciação da historiografia para identificar a percepção da mesma acerca do tráfico de africanos para o Grão-Pará, apresentando, questionando e articulando os principais argumentos sobre a questão, além disso, identificamos a produção e as perspectivas da historiografia que trata sobre o tráfico no Estado do Maranhão. Em seguida buscamos apontar os elementos que permitiram a continuidade do comércio de cativos oriundos da África, estando extinto o monopólio comercial. Abordamos alguns aspectos políticos e econômicos experimentados pelo Estado do Grão-Pará. Neste cenário foi possível identificar os impactos do fim do exclusivo comercial, por meio das reações de moradores e administradores do Grão-Pará, expresso nos discursos produzidos pelos mesmos. No final nos detemos em identificar dinâmica e organização do tráfico, os aspectos quantitativos do mesmo. Além disso, observamos que pouquíssimo foi dito pela historiografia sobre os responsáveis em dar continuidade neste comércio após a CCGPM, por isso identificamos quem eram os “homens de negócio”, quem financiava o tráfico para o estado em questão, ressaltando a participação dos moradores do Grão- Pará, como custeadores deste comércio.

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Fundação de Amparo à Pesquisa do Estado de São Paulo (FAPESP)

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In the Brazilian public archives,it is not unusual to find photographs recording the daily school educational institutions since at least the early twentieth century. The historian often has conceptual difficulties in dealing with the photographic documentation as a research source. The current workproposes to present the debate over the use of photographyas a privileged source for research on Education History. Photography can be an instrument of knowledge and information for observers awayfrom the place and time in which the images originated. Its contents have been tentativelyused in researchfor the Historyof Education. The methodologyof this studywill approach the ideas proposed byBoris Kossoyand Susan Sontag on photographyas a record of realityand its use in historical research. As interlocutors with the ideas of these three authors will be presented photographs of reports from the Regional O ffice of Education in the 1930s,preserved in the Public Archives of São Paulo. It is the purpose of this study to help researchers in History of Education in methodological reflection on the use of photographs as documentarysource of research.

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Coordenação de Aperfeiçoamento de Pessoal de Nível Superior (CAPES)

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In the present thesis a thourough multiwavelength analysis of a number of galaxy clusters known to be experiencing a merger event is presented. The bulk of the thesis consists in the analysis of deep radio observations of six merging clusters, which host extended radio emission on the cluster scale. A composite optical and X–ray analysis is performed in order to obtain a detailed and comprehensive picture of the cluster dynamics and possibly derive hints about the properties of the ongoing merger, such as the involved mass ratio, geometry and time scale. The combination of the high quality radio, optical and X–ray data allows us to investigate the implications of the ongoing merger for the cluster radio properties, focusing on the phenomenon of cluster scale diffuse radio sources, known as radio halos and relics. A total number of six merging clusters was selected for the present study: A3562, A697, A209, A521, RXCJ 1314.4–2515 and RXCJ 2003.5–2323. All of them were known, or suspected, to possess extended radio emission on the cluster scale, in the form of a radio halo and/or a relic. High sensitivity radio observations were carried out for all clusters using the Giant Metrewave Radio Telescope (GMRT) at low frequency (i.e. ≤ 610 MHz), in order to test the presence of a diffuse radio source and/or analyse in detail the properties of the hosted extended radio emission. For three clusters, the GMRT information was combined with higher frequency data from Very Large Array (VLA) observations. A re–analysis of the optical and X–ray data available in the public archives was carried out for all sources. Propriety deep XMM–Newton and Chandra observations were used to investigate the merger dynamics in A3562. Thanks to our multiwavelength analysis, we were able to confirm the existence of a radio halo and/or a relic in all clusters, and to connect their properties and origin to the reconstructed merging scenario for most of the investigated cases. • The existence of a small size and low power radio halo in A3562 was successfully explained in the theoretical framework of the particle re–acceleration model for the origin of radio halos, which invokes the re–acceleration of pre–existing relativistic electrons in the intracluster medium by merger–driven turbulence. • A giant radio halo was found in the massive galaxy cluster A209, which has likely undergone a past major merger and is currently experiencing a new merging process in a direction roughly orthogonal to the old merger axis. A giant radio halo was also detected in A697, whose optical and X–ray properties may be suggestive of a strong merger event along the line of sight. Given the cluster mass and the kind of merger, the existence of a giant radio halo in both clusters is expected in the framework of the re–acceleration scenario. • A radio relic was detected at the outskirts of A521, a highly dynamically disturbed cluster which is accreting a number of small mass concentrations. A possible explanation for its origin requires the presence of a merger–driven shock front at the location of the source. The spectral properties of the relic may support such interpretation and require a Mach number M < ∼ 3 for the shock. • The galaxy cluster RXCJ 1314.4–2515 is exceptional and unique in hosting two peripheral relic sources, extending on the Mpc scale, and a central small size radio halo. The existence of these sources requires the presence of an ongoing energetic merger. Our combined optical and X–ray investigation suggests that a strong merging process between two or more massive subclumps may be ongoing in this cluster. Thanks to forthcoming optical and X–ray observations, we will reconstruct in detail the merger dynamics and derive its energetics, to be related to the energy necessary for the particle re–acceleration in this cluster. • Finally, RXCJ 2003.5–2323 was found to possess a giant radio halo. This source is among the largest, most powerful and most distant (z=0.317) halos imaged so far. Unlike other radio halos, it shows a very peculiar morphology with bright clumps and filaments of emission, whose origin might be related to the relatively high redshift of the hosting cluster. Although very little optical and X–ray information is available about the cluster dynamical stage, the results of our optical analysis suggest the presence of two massive substructures which may be interacting with the cluster. Forthcoming observations in the optical and X–ray bands will allow us to confirm the expected high merging activity in this cluster. Throughout the present thesis a cosmology with H0 = 70 km s−1 Mpc−1, m=0.3 and =0.7 is assumed.

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El arquitecto Víctor Eusa (Pamplona, 1894-1990) es la figura central de la arquitectura en Navarra durante la mayor parte del siglo XX. Desde 1920, año en que termina sus estudios en Madrid, hasta 1973, año de su jubilación, produjo centenares de obras y proyectos en esta región española, con esporádicas intervenciones en otras zonas, como las provincias vecinas de Guipúzcoa, Vizcaya y Zaragoza. Su periodo activo coincide con el de la construcción del II Ensanche de Pamplona. La cantidad y calidad de su producción hacen posible establecer una identificación entre la obra de Eusa y la ciudad entonces existente. Sus obras principales son auténticos hitos urbanos que caracterizan el Ensanche. El archivo personal del arquitecto se perdió desgraciadamente en los años setenta del pasado siglo. Este trabajo de investigación ha partido de la recopilación de la documentación gráfica existente en archivos públicos y privados, que ha dado como fruto la catalogación de las obras y proyectos de Víctor Eusa, que constituye el tomo II de la tesis. En el tomo I se analiza la trayectoria del arquitecto y la evolución formal de su lenguaje, a partir de su formación académica y las sucesivas influencias que jalonan sus primeros años de profesión: sus viajes por Europa y Oriente, Otto Wagner y la Sezession vienesa, Perret y el hormigón armado, el Art-Déco y la Exposición de París de 1925, Dudok y la arquitectura holandesa, etc. Todo ello fructifica en una arquitectura expresionista muy personal, basada en la geometría de líneas rectas y quebradas, que combina el ladrillo y el hormigón como sus materiales preferidos. Su madurez se alcanza a finales de los años veinte y se prolonga hasta la guerra civil española. En este periodo se concentran sus obras más conocidas: Casa de Misericordia, Iglesia de los Paúles, Colegio de Escolapios, edificios de viviendas en plaza Príncipe de Viana y calle García Castañón, Seminario, Casino Eslava,… Después del 36, sus responsabilidades públicas sucesivas como arquitecto municipal de Pamplona y como arquitecto provincial de la Diputación Foral de Navarra introducen en su obra una nueva dimensión urbana. ABSTRACT The architect Víctor Eusa (Pamplona, 1894-1990) was the central figure in architecture in Navarra for most of the 20th century. From 1920, when he finished his studies in Madrid, to his retirement in 1973, he was responsible for hundreds of buildings in Navarra, as well as occasional projects in the neighbouring provinces of Guipúzcoa, Vizcaya and Zaragoza. His career as an architect developed in parallel with the second phase of urban expansion in Pamplona. In terms of both quantity and quality, this new district can be seen as an embodiment of Eusa's work, and his most outstanding buildings form the landmarks which give character to this area. Unfortunately, Eusa's personal archive was lost in the 1970s. By collecting and analyzing the graphic information available in public archives, the author of this dissertation was able to compile a catalogue of Eusa's work and projects, which is provided in volume II. Volume I focuses on Eusa's career and the formal development of his language, starting from his academic training and tracing the successive influences that were at work during his early years as an architect: his journeys through Europe and the East, Otto Wagner and the Vienna Secession, Perret and reinforced concrete, Art-Déco and the Paris Exhibition of 1925, Dudok and the Dutch architecture represented in the magazines Wendingen and De Stijl, and many others. All of this came together in Eusa's highly personal expressionist style, based on a geometry of straight and zigzag lines, combining his favourite materials, brick and concrete. His mature period consolidated by end of the 1920s and lasted until the Spanish Civil War. After 1936, Eusa's responsibilities as municipal architect for Pamplona and later as head of architecture for Navarra enabled him to develop his talents in the area of urban design.

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The development of cost-effective and reliable methods for the synthesis and separation of asymmetric compounds is paramount in helping to meet society’s ever-growing demand for chiral small molecules. Of these methods, chiral heterogeneous supports are particularly appealing as they allow for the reuse of the chiral source. One such support, based on the synergy between chiral organic units and structurally stable inorganic silicon scaffolds are periodic mesoporous organosilicas (PMOs). In the work described herein, I examine some of the factors governing the transmission of chirality between chiral dopants and prochiral bulk phases in chiral PMO materials. In particular, the exploration of 1,1’-binaphthalene-bridged chiral dopants with a focus on the point of attachment into the materials. Moreover, the effects of ordering in the materials are examined and reveal that chirality transfer is more facile in materials with molecular-scale order then those containing amorphous walls. Secondly, the issues surrounding the synthesis and purification of aryl-triethoxysilanes as siloxane precursors are addressed. Both the introduction of a two-carbon linker and the direct attachment of allyl and mixed allyldiethoxysilane species are explored. This work demonstrates that allyldiethoxysilanes are ideal, in that they are stable enough to permit facile synthesis, while still being able to hydrolyze completely to produce well-ordered materials. Lastly, the production of new bulk phases for chiral PMO materials is examined by introducing new prochiral nitrogen-containing siloxane precursors. Biphenyldiamine and bipyridine-bridged siloxane precursors are readily synthesized on reasonable scales. Their use as the bulk siloxane precursor in the production of PMO materials however, is precluded by insufficient gelation and additional siloxane precursors are necessary for the production of ordered materials. In addition to the research detailed above that forms the body of this thesis, two short works are appended. The first details the production of polythiophene assemblies mediated through coordination nanospaces, while the second explores the production of N-heterocyclic carbene functionalized gold nanoparticles through ligand exchange.

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Flow, recharge and transport dynamics in fractured rock aquifers with low lying rock outcrops is a largely unexplored area of study in hydrogeology. The purpose of this thesis is to examine these topics in an agricultural area in Eastern Ontario. The study consists of a regional scale groundwater quality study, an infiltration experiment that considers bacteria transport from the ground surface to a well, and a numerical modelling study that tests the parameters that affect surface infiltration of a tracer from a rock outcrop to a deeper horizontal fracture. In the water quality study, approximately 65% of the samples contained total coliform, 16% contained E. coli, and 1% contained nitrate-N at greater than 5 mg/L. Occurrence of E. coli increased when considering seasonality, where wells were drilled on rock outcrops, and for shallow well intervals. Nitrate-N did not occur above the Guidelines for Canadian Drinking Water Quality (Health Canada, 2012) of 10 mg/L. Rapid arrival times were observed in the infiltration study for both the microspheres (30 minutes) and a dye tracer (45 minutes) in a well approximately 6.0 m in horizontal and 2.8 m in vertical distance from the tracer source. Transport velocities were approximately 38.9 m/day for the dye tracer and 115.2 m/day for the colloidal tracer. Results of the model runs indicate that overburden can provide an effective protective layer to transport in fractures, that high groundwater velocities occur in larger fracture apertures and higher gradients dilute tracer concentrations, and that lower groundwater velocities occur with smaller fracture apertures and lower gradients result in elevated tracer concentrations. Lower rainfall rates, larger fracture apertures, early tracer time, larger gradients, and lower water levels maintained unsaturated conditions for longer time periods such that tracer transport was delayed until saturated conditions were attained. The overall heterogeneity of this aquifer environment creates a source water protection conundrum where the water quality is generally good, while transport can occur very quickly in proximity to rock outcrops and in areas with limited overburden.

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The Camposanto of Pisa is an extraordinarily complex and evocative monument, which has captured the imagination of pilgrims, both religious and secular, for centuries. The late Medieval and early Renaissance wall paintings that line the perimeter of the portico surrounding a vast inner courtyard, are unparalleled in early Italian art, not only for their striking variety of composition and narrative complexity, but also for the sheer grandeur of their proportion. However, the passage of time has scarred the structure of the Camposanto and inflicted terrible damage on its wall paintings. This thesis explores the material reality of the Camposanto as experienced over three centuries through the eyes of British travelers. In order to situate the Camposanto mural cycle within an historical and cultural context, the first chapter provides an overview of the construction and decoration of the monument. Notably, Giorgio Vasari (1511-1574), the Italian Humanist often recognized as the father of art history, included numerous descriptions of the Camposanto murals in his highly influential text Vite de' più eccellenti pittori, scultori, ed architettori. Accordingly, the second chapter provides an analysis of Vasari’s descriptions and reflects upon the influence that the Renaissance author may have had upon the subsequent British reception of the Camposanto murals. The third chapter utilizes three centuries of travel writing in order to investigate the aesthetic impact of the Camposanto mural cycle upon British tourists from the seventeenth through to the nineteenth century.

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There has been very little research that has studied the capacities that can be fostered to mitigate the risk for involvement in electronic bullying or victimization and almost no research examining positive electronic behavior. The primary goal of this dissertation was to use the General Aggression Model and Anxious Apprehension Model of Trauma to explore the underlying cognitive, emotional, and self-regulation processes that are related to electronic bullying, victimization, and prosocial behavior. In Study 1, we explored several potential interpretations of the General Aggression Model that would accurately describe the relationship that electronic self-conscious appraisal, cognitive reappraisal, and activational control may have with electronic bullying and victimization. In Study 2, we used the Anxious Apprehension Model of Trauma to explore rejection cognitions as the mediator of the relationships among emotionality (emotionality, shame, state emotion responses, and physiological arousal) and electronic bullying and victimization using structural equation modelling. In addition, we explored the role of rejection cognitions in mediating the relationship of moral disengagement with electronic bullying. In Study 3, we examined predictors of electronic prosocial behavior, such as bullying, victimization, time online, electronic proficiency, electronic self-conscious appraisals, emotionality, and self-regulation. All three studies supported the General Aggression Model as a framework to guide the study of electronic behavior, and suggest the importance of cognitive, emotional, and behavioral means of regulation in shaping electronic behavior. In addition, each study has implications for the development of high quality electronic bullying prevention and intervention research.

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PAWP, a candidate sperm-borne oocyte activating factor, induces oocyte activation and acts upstream of the calcium signalling pathway, however, PAWP’s downstream signalling pathway in oocyte cytoplasm remains to be uncovered. Data from our lab suggested that the interacting partner of PAWP, at least in the frog (Xenopus laevis) model may be YAP, a highly expressed protein in amphibian and mammalian oocytes. Therefore, the objectives of this study were to confirm that PAWP’s predominant binding partner in Xenopus laevis oocyte is YAP; to determine if mammalian oocyte activation is also dependent on PAWP-YAP interaction; and to verify that the PAWP-YAP interaction during oocyte activation is dependent on the WWI domain module. By immunohistochemistry, YAP was localized predominantly in the cytosol of metaphase II-arrested Xenopus laevis oocytes, where presumably the PAWP-YAP interaction occurs. Utilizing Far Western blotting, YAP was identified as the predominant binding partner of PAWP, in metaphase II-arrested frog (Xenopus laevis), swine (Sus scrofa) and mouse (mus musculus) oocytes. The specificity of this interaction was then tested on Far Western blotting of mouse ovarian and oocyte cytosolic extracts, by competition with both wild-type and point-mutated recombinant WWI domains derived from YAP. The removal of GST from the wild-type WWI-GST fusion protein was a requirement for effective blockage of WWI module interaction between PAWP and YAP. As expected, the mutated WWI domain was ineffective in inhibiting the PAWP-YAP interaction. To conclude, this study identified YAP as the predominant binding partner of PAWP in both amphibian and mammalian oocytes, and showed this interaction is dependent on the WWI modular interaction. The results allow us to test the functional relevance of this WWI modular interaction during oocyte activation in vivo, in the future.

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The circulating blood exerts a force on the vascular endothelium, termed fluid shear stress (FSS), which directly impacts numerous vascular endothelial cell (VEC) functions. For example, high rates of linear and undisturbed (i.e. laminar) blood flow maintains a protective and quiescent VEC phenotype. Meanwhile, deviations in blood flow, which can occur at vascular branchpoints and large curvatures, create areas of low, and/or oscillatory FSS, and promote a pro-inflammatory, pro-thrombotic and hyperpermeable phenotype. Indeed, it is known that these areas are prone to the development of atherosclerotic lesions. Herein, we show that cyclic nucleotide phosphodiesterase (PDE) 4D (PDE4D) activity is increased by FSS in human arterial endothelial cells (HAECs) and that this activation regulates the activity of cAMP-effector protein, Exchange Protein-activated by cAMP-1 (EPAC1), in these cells. Importantly, we also show that these events directly and critically impact HAEC responses to FSS, especially when FSS levels are low. Both morphological events induced by FSS, as measured by changes in cell alignment and elongation in the direction of FSS, and the expression of critical FSS-regulated genes, including Krüppel-like factor 2 (KLF2), endothelial nitric oxide synthase (eNOS) and thrombomodlin (TM), are mediated by EPAC1/PDE4D signaling. At a mechanistic level, we show that EPAC1/PDE4D acts through the vascular endothelial-cadherin (VECAD)/ platelet-cell adhesion molecule-1 (PECAM1)/vascular endothelial growth factor receptor 2 (VEGFR2) mechanosensor to activate downstream signaling though Akt. Given the critical role of PDE4D in mediating these effects, we also investigated the impact of various patterns of FSS on the expression of individual PDE genes in HAECs. Notably, PDE2A was significantly upregulated in response to high, laminar FSS, while PDE3A was upregulated under low, oscillatory FSS conditions only. These data may provide novel therapeutic targets to limit FSS-dependent endothelial cell dysfunction (ECD) and atherosclerotic development.

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In typical theoretical or experimental studies of heat migration in discrete fractures, conduction and thermal dispersion are commonly neglected from the fracture heat transport equation, assuming heat conduction into the matrix is predominant. In this study analytical and numerical models are used to investigate the significance of conduction and thermal dispersion in the plane of the fracture for a point and line sources geometries. The analytical models account for advective, conductive and dispersive heat transport in both the longitudinal and transverse directions in the fracture. The heat transport in the fracture is coupled with a matrix equation in which heat is conducted in the direction perpendicular to the fracture. In the numerical model, the governing heat transport processes are the same as the analytical models; however, the matrix conduction is considered in both longitudinal and transverse directions. Firstly, we demonstrate that longitudinal conduction and dispersion are critical processes that affect heat transport in fractured rock environments, especially for small apertures (eg. 100 μm or less), high flow rate conditions (eg. velocity greater than 50 m/day) and early time (eg. less than 10 days). Secondly, transverse thermal dispersion in the fracture plane is also observed to be an important transport process leading to retardation of the migrating heat front particularly at late time (eg. after 40 days of hot water injection). Solutions which neglect dispersion in the transverse direction underestimate the locations of heat fronts at late time. Finally, this study also suggests that the geometry of the heat sources has significant effects on the heat transport in the system. For example, the effects of dispersion in the fracture are observed to decrease when the width of the heat source expands.

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This study explores the curriculum at Queen’s-affiliated medical colleges, specifically The Royal College of Physicians and Surgeons, Kingston, the Kingston Women’s Medical College, and Queen’s Medical College, from 1881 to 1910, using the textbooks prescribed by these institutions as primary sources. The central question encompasses what factors primarily motivated the curriculum at Queen’s-affiliated medical colleges to change. Within the historiographical scholarship on Queen’s College, this question has not yet been addressed and, to my knowledge, this is the first medical education history to specifically address textbooks as part of a medical school curriculum. During this period, these institutions experienced reorganizational shifts, such as the reunification of Queen’s Medical College with The Royal College of Physicians and Surgeons, Kingston, as well as the introduction and subsequent exclusion of female students. Within this context, this study examines how the forces of scientific innovation and co-education impacted the curriculum during the period under study, as measured by textbook change, specifically in the courses of obstetrics and gynaecology, the theory and practice of medicine, and surgery. To what degree was curriculum in these courses responsive to scientific inventions and discoveries, changing therapeutic practices, and possible gender biases? From 1881 to 1910, innovations such as x-ray and anaesthesia became commonplace within medical practice. Some technologies gained acceptance in the curriculum, while others fell out of favour. This study tracks these scientific discoveries through the textbooks used at Queen’s-affiliated medical colleges in order to demonstrate how the evolving nature of medicine was represented in the curriculum. To address how gender influenced the curriculum, textbooks from the Kingston Women’s Medical College and The Royal College of Physicians and Surgeons, Kingston, were compared. For two out of the three examined courses, it was found that sections of textbooks discussing various topics at the Kingston Women’s Medical College contained significantly more detail than their corresponding sections within The Royal College’s textbooks. It was speculated that the instructors preferred to teach their female students through textbooks, rather than lectures.