834 resultados para Lower level relaxation
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The present work has the merit of exploring an insight into the activation of defence genes of Quercus suber during response to infection by Phytophthora cinnamomi. Thus, cDNA-AFLP methodology was used to identify gene fragments differentially present in the mRNA profiles of host cells of micropropagated Q. suber plantlets roots infected with zoospores of P. cinnamomi at different post challenge time points. Six candidate genes were selected based on their interesting cDNA-AFLP expression patterns and homology to genes known to play a role in defence. These six genes encode a cinnamyl alcohol dehydrogenase 2 (QsCAD2), a protein disulphide isomerase (QsPDI), a CC-NBS-LRR resistance protein (QsRPc), thaumatin-like protein (QsTLP), chitinase (QsCHI) and a 1,3-beta glucanase (QsGLU). The current work has been successful in evaluation of the expression of these genes by qRT-PCR. Data analysis revealed that transcript levels of QsRPc, QsCHI, QsCAD2 and QsPDI increased during the early hours of inoculation, while transcript profiles of thaumatin-like protein showed decreasing. No expression was detected for 1,3-beta-glucanase (QsGLU). Furthermore, the choice of suitable reference genes in any new experimental system is absolutely crucial in qRT-PCR; for this reason in this study and for the first time a set of potential reference genes were analyzed and validated for qRT-PCR normalization in the patho-system Phytophthora-Q. suber. Four candidate reference genes polimerase II (QsRPII), eukaryotic translation initiation factor 5A(QsEIF-5A), b-tubulin (QsTUB) and a medium subunit family protein of Clathrin adaptor complexes (QsCACs) were evaluated to determine the most stable internal references in Q. suber. Analysis of stability of genes was carried out using Genex software. Results indicated all these four potential reference genes assumed stable expression. Data analysis revealed that QsRPII and QsCACs were the two most stable genes, while genes QsTUB and QsEIF-5A were the third and the fourth most stable gene, respectively. In this study, a plasmid-based quantitative PCR method was developed to measure P. cinnamomi colonization during infection process of Q. suber. Plasmid-based detection of P. cinnamomi showed a gradual accumulation of the pathogen DNA in cork oak root tips up to 24 h post infection. The higher increase in P. cinnamomi/plasmid DNA ratio occurred between 18 and 24 h. One of the primary objectives of this research was to study the effect of cinnamomins (elicitins secreted by P. cinnamomin) on inducing defence mechanism against the pathogen, as recent histological and ultra-structural studies showed that P. cinnamomi was restricted to the outer cortex root fragments pre-treated with capsicien and cryptogein, suggesting that elicitins can stimulate plant defence reactions against P. cinnamomi. To complement these studies and to have a clear view of the nature of the interaction, the role of cinnamomins in the production of the oxidative burst [ROS and ROS scavenging enzymes such as superoxide dismutase (SOD), catalase (CAT) and peroxidase (POD)] and in the defence responses was evaluated. Cork oak seedlings were pretreated with alpha-cinnamomin and then inoculated with P. cinnamomi mycelia. Results showed a significant higher production of reactive oxygen species (ROS) (H2O2 and O2•-) in elicitin and non-elicitin treated roots in interaction with P. cinnamomi in comparison to the corresponding control. The plant group inoculated with the pathogen after cinnamomin treatment showed an earlier increase in H2O2 production but this was lower as compared with that group inoculated with P. cinnamomi alone. Also, in elicitin pre-treated group generally, a lower level of O2•− production during infection was observed as compared with inoculated roots with P. cinnamomi alone without elicitin treatment. Furthermore, in this study, we evaluated activities of antioxidant enzymes upon challenge with P. cinnamomi, with and without pretreatment with alpha cinnamomin. Results indicated that the activities of defense enzymes POD, SOD and CAT increased after P. cinnamomi inoculation when compared with those in the control group. Also, in the group treated with alpha-cinnamomin followed by P. cinnamomi inoculation, a higher level of enzymatic activities was detected as compared with elicitin non-treated group, which suggest the protective effect of alpha-cinnamomin against the pathogen due to higher elevated levels of defense enzymes POD, SOD and CAT during the infection period. Furthermore, a sensitive qPCR method was applied to measure the pathogen biomass in elicited and non-elicited Q. suber roots challenged with P. cinnamomi to elucidate the effect of cinnamomins on the colonization of P. cinnamomi. Plasmid-based quantification of P. cinnamomi showed a significant decrease in accumulation of the pathogen DNA in cork oak roots after treatment with alpha and beta-cinnamomins which attest the role of cinnamomins in promoting defense responses in cork oak against P. cinnamomi invasion.
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Environmental tobacco smoke (ETS) is recognized as an occupational hazard in the hospitality industry. Although Portuguese legislation banned smoking in most indoor public spaces, it is still allowed in some restaurants/bars, representing a potential risk to the workers’ health, particularly for chronic respiratory diseases. The aims of this work were to characterize biomarkers of early genetic effects and to disclose proteomic signatures associated to occupational exposure to ETS and with potential to predict respiratory diseases development. A detailed lifestyle survey and clinical evaluation (including spirometry) were performed in 81 workers from Lisbon restaurants. ETS exposure was assessed through the level of PM 2.5 in indoor air and the urinary level of cotinine. The plasma samples were immunodepleted and analysed by 2D-SDSPAGE followed by in-gel digestion and LC-MS/MS. DNA lesions and chromosome damage were analysed innlymphocytes and in exfoliated buccal cells from 19 cigarette smokers, 29 involuntary smokers, and 33 non-smokers not exposed to tobacco smoke. Also, the DNA repair capacity was evaluated using an ex vivo challenge comet assay with an alkylating agent (EMS). All workers were considered healthy and recorded normal lung function. Interestingly, following 2D-DIGE-MS (MALDI-TOF/TOF), 61 plasma proteins were found differentially expressed in ETS-exposed subjects, including 38 involved in metabolism, acute-phase respiratory inflammation, and immune or vascular functions. On the other hand, the involuntary smokers showed neither an increased level of DNA/chromosome damage on lymphocytes nor an increased number of micronuclei in buccal cells, when compared to non-exposed non-smokers. Noteworthy, lymphocytes challenge with EMS resulted in a significantly lower level of DNA breaks in ETS-exposed as compared to non-exposed workers (P<0.0001) suggestive of an adaptive response elicited by the previous exposure to low levels of ETS. Overall, changes in proteome may be promising early biomarkers of exposure to ETS. Likewise, alterations of the DNA repair competence observed upon ETS exposure deserves to be further understood. Work supported by Fundação Calouste Gulbenkian, ACSS and FCT/Polyannual Funding Program.
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Fundação de Amparo à Pesquisa do Estado de São Paulo (FAPESP)
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Trabalho Final de Mestrado para obtenção do grau de Mestre em Engenharia de Redes de Comunicação e Multimédia
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This paper is about a hierarchical structure with an event-based supervisor in a higher level and a fractional-order proportional integral (FOPI) in a lower level applied to a wind turbine. The event-based supervisor analyzes the operation conditions to determine the state of the wind turbine. This controller operate in the full load region and the main objective is to capture maximum power generation while ensuring the performance and reliability required for a wind turbine to be integrated into an electric grid. The main contribution focus on the use of fractional-order proportional integral controller which benefits from the introduction of one more tuning parameter, the integral fractional-order, taking advantage over integer order proportional integral (PI) controller. Comparisons between fractional-order pitch control and a default proportional integral pitch controller applied to a wind turbine benchmark are given and simulation results by Matlab/Simulink are shown in order to prove the effectiveness of the proposed approach.
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ABSTRACT Background Mental health promotion is supported by a strong body of knowledge and is a matter of public health with the potential of a large impact on society. Mental health promotion programs should be implemented as soon as possible in life, preferably starting during pregnancy. Programs should focus on malleable determinants, introducing strategies to reduce risk factors or their impact on mother and child, and also on strengthening protective factors to increase resilience. The ambition of early detecting risk situations requires the development and use of tools to assess risk, and the creation of a responsive network of services based in primary health care, especially maternal consultation during pregnancy and the first months of the born child. The number of risk factors and the way they interact and are buffered by protective factors are relevant for the final impact. Maternal-fetal attachment (MFA) is not yet a totally understood and well operationalized concept. Methodological problems limit the comparison of data as many studies used small size samples, had an exploratory character or used different selection criteria and different measures. There is still a lack of studies in high risk populations evaluating the consequences of a weak MFA. Instead, the available studies are not very conclusive, but suggest that social support, anxiety and depression, self-esteem and self-control and sense of coherence are correlated with MFA. MFA is also correlated with health practices during pregnancy, that influence pregnancy and baby outcomes. MFA seems a relevant concept for the future mother baby interaction, but more studies are needed to clarify the concept and its operationalization. Attachment is a strong scientific concept with multiple implications for future child development, personality and relationship with others. Secure attachment is considered an essential basis of good mental health, and promoting mother-baby interaction offers an excellent opportunity to intervention programmes targeted at enhancing mental health and well-being. Understanding the process of attachment and intervening to improve attachment requires a comprehension of more proximal factors, but also a broader approach that assesses the impact of more distal social conditions on attachment and how this social impact is mediated by family functioning and mother-baby interaction. Finally, it is essential to understand how this knowledge could be translated in effective mental health promoting interventions and measures that could reach large populations of pregnant mothers and families. Strengthening emotional availability (EA) seems to be a relevant approach to improve the mother-baby relationship. In this review we have offered evidence suggesting a range of determinants of mother-infant relationship, including age, marital relationship, social disadvantages, migration, parental psychiatric disorders and the situations of abuse or neglect. Based on this theoretical background we constructed a theoretical model that included proximal and distal factors, risk and protective factors, including variables related to the mother, the father, their social support and mother baby interaction from early pregnancy until six months after birth. We selected the Antenatal Psychosocial Health Assessment (ALPHA) for use as an instrument to detect psychosocial risk during pregnancy. Method Ninety two pregnant women were recruited from the Maternal Health Consultation in Primary Health Care (PHC) at Amadora. They had three moments of assessment: at T1 (until 12 weeks of pregnancy) they filed out a questionnaire that included socio-demographic data, ALPHA, Edinburgh post-natal Depression Scale (EDPS), General Health Questionnaire (GHQ) and Sense of Coherence (SOC); at T2 (after the 20th weeks of pregnancy) they answered EDPS, SOC and MFA Scale (MFAS), and finally at T3 (6 months after birth), they repeated EDPS and SOC, and their interaction with their babies was videotaped and later evaluated using EA Scales. A statistical analysis has been done using descriptive statistics, correlation analysis, univariate logistic regression and multiple linear regression. Results The study has increased our knowledge on this particular population living in a multicultural, suburb community. It allow us to identify specific groups with a higher level of psychosocial risk, such as single or divorced women, young couples, mothers with a low level of education and those who are depressed or have a low SOC. The hypothesis that psychosocial risk is directly correlated with MFAS and that MFA is directly correlated with EA was not confirmed, neither the correlation between prenatal psychosocial risk and mother-baby EA. The study identified depression as a relevant risk factor in pregnancy and its higher prevalence in single or divorced women, immigrants and in those who have a higher global psychosocial risk. Depressed women have a poor MFA, and a lower structuring capacity and a higher hostility to their babies. In average, depression seems to reduce among pregnant women in the second part of their pregnancy. The children of immigrant mothers show a lower level of responsiveness to their mothers what could be transmitted through depression, as immigrant mothers have a higher risk of depression in the beginning of pregnancy and six months after birth. Young mothers have a low MFA and are more intrusive. Women who have a higher level of education are more sensitive and their babies showed to be more responsive. Women who are or have been submitted to abuse were found to have a higher level of MFA but their babies are less responsive to them. The study highlights the relevance of SOC as a potential protective factor while it is strongly and negatively related with a wide range of risk factors and mental health outcomes especially depression before, during and after pregnancy. Conclusions ALPHA proved to be a valid, feasible and reliable instrument to Primary Health Care (PHC) that can be used as a total sum score. We could not prove the association between psychosocial risk factors and MFA, neither between MFA and EA, or between psychosocial risk and EA. Depression and SOC seems to have a clear and opposite relevance on this process. Pregnancy can be considered as a maturational process and an opportunity to change, where adaptation processes occur, buffering risk, decreasing depression and increasing SOC. Further research is necessary to better understand interactions between variables and also to clarify a better operationalization of MFA. We recommend the use of ALPHA, SOC and EDPS in early pregnancy as a way of identifying more vulnerable women that will require additional interventions and support in order to decrease risk. At political level we recommend the reinforcement of Immigrant integration and the increment of education in women. We recommend more focus in health care and public health in mental health condition and psychosocial risk of specific groups at high risk. In PHC special attention should be paid to pregnant women who are single or divorced, very young, low educated and to immigrant mothers. This study provides the basis for an intervention programme for this population, that aims to reduce broad spectrum risk factors and to promote Mental Health in women who become pregnant. Health and mental health policies should facilitate the implementation of the suggested measures.
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La prise en charge efficace des maladies chroniques nécessite une implication accrue des patients dans la gestion de leurs soins et de leur état de santé. Le lien existant entre les caractéristiques organisationnelles de la 1ère ligne et la capacité des patients pour l’auto-soins étant peu documenté, l’objectif de ce mémoire est de mieux comprendre comment l’organisation de la 1ère ligne médicale peut influencer la capacité des personnes pour l’auto-soins d’une maladie chronique. Pour atteindre cet objectif, 776 patients atteints de maladie chronique ont été recrutés dans 33 cliniques ayant participé à une enquête organisationnelle. Ces patients ont répondu à un questionnaire sur l’auto-efficacité pour la gestion d’une maladie chronique à 0, 6 et 12 mois. Des analyses par régression hiérarchique à 3 niveaux ont permis de mesurer les liens entre les variables organisationnelles sélectionnées et la capacité perçue des patients pour l’auto-soins de leur maladie. Les résultats montrent que les caractéristiques organisationnelles ont peu d’effet sur l’auto-efficacité pour l’auto-soins en comparaison aux facteurs individuels, et que le soutien à l’auto-soins est peu présent dans les cliniques participantes sans égard à leurs attributs organisationnels. Bien qu’aucune des caractéristiques sélectionnées n’apparaisse significativement associée à l’auto-soins dans le modèle final, des associations significatives ont été observées en analyses bivariées. Ces résultats suggèrent que toutes les organisations de 1ère ligne doivent fournir un effort explicite pour mieux intégrer l’auto-soins dans les services de santé usuels et que la présence d’éléments organisationnels facilitateurs ne se traduit pas systématiquement par une provision accrue de soutien à l’auto-soins.
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Le vote pour le mouvement réformateur est-il un vote pour la démocratie ? Dans ce mémoire, nous avons mis à l’épreuve l’hypothèse selon laquelle le caractère plus démocratique des partis associés au mouvement réformateur tend automatiquement à attirer les électeurs plus démocrates. Pour ce faire, nous avons utilisé des données de sondage qui nous ont aidés à dégager les attitudes et les caractéristiques des électeurs et à les mettre en relation avec leur vote. Ainsi, nous avons dressé le portrait de l’électorat iranien et nous en avons mis en évidence les caractéristiques sociodémographiques déterminant le vote. Nos résultats montrent que, conformément à nos hypothèses et à l’interprétation générale qui est faite des élections iraniennes, l’âge et le niveau d’éducation présentent une corrélation avec le choix électoral dans le sens attendu, qui prévoit qu’un électorat plus jeune et plus éduqué vote pour le mouvement réformateur. En revanche, en ce qui concerne le sexe et le degré d’urbanisation, nos résultats vont à l’encontre de nos hypothèses et des suppositions liées au comportement électoral en Iran. Nous démontrons que les femmes sont en réalité plus nombreuses à voter pour le mouvement conservateur et que les choix électoraux des habitants des villes et de ceux des villages ne diffèrent pas. Nous avons également vérifié la relation entre les attitudes et le vote. Nos résultats révèlent que les électeurs ayant une attitude plus positive envers la démocratie, reconnaissant plus de droits aux femmes, moins religieux et économiquement plus libéraux, sont plus nombreux à voter pour le mouvement réformateur. Nous reconnaissons, en conclusion, l’impact des attitudes envers la démocratie sur le choix électoral en Iran ainsi que l’effet d’autres attitudes liées à l’égalité, à la religion et à l’économie. Nous affirmons surtout que ces attitudes départagent aussi bien, sinon mieux, la population iranienne par rapport à ses choix électoraux que les caractéristiques telles que le sexe ou le degré d’urbanisation.
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Objectifs: Le but de cette étude clinique était de comparer un groupe d’adultes ayant un parodonte sain avec un groupe d’adultes atteints de parodontite chronique en terme de risque carieux et mesures cliniques et microbiologiques de la carie. Méthodes: Quatre-vingt-seize individus ont été divisés en deux groupes en fonction de leur état de santé parodontal et ont été appariés pour l'âge, le sexe et l'origine ethnique. Trente-huit sujets étaient atteints de parodontite chronique définie comme ayant au moins quatre dents avec ≥ 1 site avec une profondeur de sondage ≥ 4 mm et une perte d'attache clinique ≥ 2 mm, et 58 sujets présentaient un parodonte sain. Par la suite, les groupes ont été subdivisés en deux groupes en fonction de leur statut carieux : les participants ayant au moins une lésion carieuse non traitée sur une surface dentaire et ceux n’ayant pas de lésion carieuse non traitée. Les données ont été recueillies par le biais d’un questionnaire, un examen clinique et des échantillons de plaque supra- et sous-gingivale. L’évaluation de la charge buccale de Streptococcus mutans et de six agents pathogènes parodontaux a été réalisée par la technique d'amplification de la réaction en chaine de la polymérase (PCR). Les données ont été analysées à l'aide d’analyses statistiques descriptives et bivariées. Résultats: Les individus atteints de parodontite chronique étaient 3,5 fois plus susceptibles d'avoir des caries que les individus en bonne santé (OR 3,5 ; IC: 1,5 - 8,3 ; P = 0,006). Les sujets à la fois atteints de parodontite chronique et de caries dentaires ont eu un niveau d’éducation significativement plus faible que les sujets ayant un parodonte sain et sans caries dentaires (OR 6,0 ; IC: 1,7 à 21,7 ; P = 0,04). La proportion de sujets ayant une charge buccale élevée de Porphyromonas gingivalis (P. g.) et Treponema denticola (T. d.) était significativement plus élevée chez les patients atteints de parodontite chronique et de carie que chez les patients sains présentant des caries (P. g.: OR 8,6 ; IC: 2,4 - 30,3 ; P = 0,004 et T. d.: OR 10,0 ; CI: 2,6 - 38.1 ; P = 0,003). Conclusions: Les résultats de cette étude suggèrent que, chez les sujets adultes atteints de la parodontite chronique, la fréquence des caries est plus élevée que chez les sujets ayant un parodonte sain. De plus, le faible niveau d'éducation influence négativement le statut parodontal des individus.
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Extensive social choice theory is used to study the problem of measuring group fitness in a two-level biological hierarchy. Both fixed and variable group size are considered. Axioms are identified that imply that the group measure satisfies a form of consequentialism in which group fitness only depends on the viabilities and fecundities of the individuals at the lower level in the hierarchy. This kind of consequentialism can take account of the group fitness advantages of germ-soma specialization, which is not possible with an alternative social choice framework proposed by Okasha, but which is an essential feature of the index of group fitness for a multicellular organism introduced by Michod, Viossat, Solari, Hurand, and Nedelcu to analyze the unicellular-multicellular evolutionary transition. The new framework is also used to analyze the fitness decoupling between levels that takes place during an evolutionary transition.
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L’essence de la théorie du capital humain (Becker, 1964) prédit que l’investissement dans les activités visant à renforcer le potentiel productif des individus se traduit par une augmentation de leurs revenus tout au long de leur carrière (Benjamin, Gunderson et Riddell, 2002 : 245). Pour le groupe occupationnel constitué par les artistes, la littérature s’accorde pourtant pour dire que l’investissement en capital humain demeure rentable financièrement, mais à un niveau sensiblement moindre que pour les autres professions (Snooks, 1983; Filer, 1990; Rengers, 2002; Alper et Wassall, 2006). Nous exposons les théories du capital humain, des différences de salaire compensatoires (Smith, 1776) ainsi que la théorie hédonique des salaires (Rosen, 1974; Rosen et Thaler, 1975) afin d’atteindre deux objectifs. Premièrement, nous cherchons à vérifier empiriquement l’impact de l’acquisition de capital humain sur le revenu d’emploi autonome des artistes canadiens . Dans une autre perspective, nous souhaitons également évaluer la nature et la taille du différentiel de revenu d’emploi par rapport aux autres professions et investiguer les facteurs sur lesquels il repose. Le projet comble un vide dans la littérature portant sur les déterminants du revenu d’emploi des artistes canadiens et permet de réfléchir à l’orientation des politiques publiques culturelles entourant la formation académique de ceux-ci. Nous employons une analyse de régression multivariée sur des variables de capital humain en ayant recours aux données du recensement canadien de 2006 . Plus précisément, nous tentons de mesurer la relation associative entre le revenu de travail autonome exprimé sous forme de logarithme du salaire hebdomaire des artistes canadiens et la scolarité, l’expérience de travail, le sexe, le statut marital légal, la profession/spécialité artistique (classification selon la CNP-S, en vigueur en 2006), le statut d’immigrant, le statut de minorité visible, le fait d’être le principal soutien de la famille ainsi que la zone de résidence. Les résultats nous apprennent que la scolarité demeure rentable financièrement pour la majorité des spécialités artistiques, mais que des profils de scolarité précis ont avantage à être privilégiés selon la spécialité artistique. L’expérience de travail s’avère quant à elle moins rentable au niveau de la rémunération que chez les autres professions, tout comme elle est moins avantageuse financière pour les artistes issus des arts performatifs chez qui la carrière se termine habituellement assez tôt. En ce qui concerne l’effet des variables sociodémographiques, soulignons seulement que le fait d’être de sexe masculin est associé à de plus hauts revenus chez les artistes, mais dans une proportion moindre que chez les autres professions. Quant aux effets des statuts d’immigrant et de minorité visible sur le revenu d’emploi, ceux-ci varient mais demeurent moins pénalisants chez les artistes, ce qui suggère que le marché du travail culturel serait moins discriminant que le marché du travail traditionnel.
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Au cours des 25 dernières années, les recherches sur le développement visuel chez l’humain à l’aide de l’électrophysiologie cérébrale et des potentiels évoqués visuels (PEV) ont permis d’explorer plusieurs fonctions associées au cortex visuel. Néanmoins, le développement de certaines d’entre elles (p. ex. segmentation des textures), tout comme les effets de la prématurité sur celles-ci, sont des aspects qui nécessitent d’être davantage étudiés. Par ailleurs, compte tenu de l’importance de la vision dans le développement de certaines fonctions cognitives (p. ex. lecture, visuomotricité), de plus en plus de recherches s’intéressent aux relations entre la vision et la cognition. Les objectifs généraux de la présente thèse étaient d’étudier le développement visuel chez les enfants nés à terme et nés prématurément à l’aide de l’électrophysiologie, puis de documenter les impacts de la prématurité sur le développement visuel et cognitif. Deux études ont été réalisées. La première visait à examiner, chez des enfants nés prématurément, le développement des voies visuelles primaires durant la première année de vie et en début de scolarisation, ainsi qu’à documenter leur profil cognitif et comportemental. À l’aide d’un devis semi-longitudinal, dix enfants nés prématurément ont été évalués à l’âge de six mois (âge corrigé) et à 7-8 ans en utilisant des PEV, et des épreuves cognitives et comportementales à l’âge scolaire. Leurs résultats ont été comparés à ceux de 10 enfants nés à terme appariés pour l’âge. À six mois, aucune différence de latence ou d’amplitude des ondes N1 et P1 n’a été trouvée entre les groupes. À l’âge scolaire, les enfants nés prématurément montraient, comparativement aux enfants nés à terme, une plus grande amplitude de N1 dans la condition P-préférentielle et dans celle co-stimulant les voies M et P, et de P1 (tendance) dans la condition M-préférentielle. Aucune différence n’a été trouvée entre les groupes aux mesures cognitives et comportementales. Ces résultats suggèrent qu’une naissance prématurée exerce un impact sur le développement des voies visuelles centrales. L’objectif de la seconde étude était de documenter le développement des processus de segmentation visuelle des textures durant la petite enfance chez des enfants nés à terme et nés prématurément à l’aide des PEV et d’un devis transversal. Quarante-cinq enfants nés à terme et 43 enfants nés prématurément ont été évalués à 12, 24 ou 36 mois (âge corrigé pour les prématurés à 12 et 24 mois). Les résultats indiquaient une diminution significative de la latence de la composante N2 entre 12 et 36 mois en réponse à l’orientation, à la texture et à la segmentation des textures, ainsi qu’une diminution significative d’amplitude pour l’orientation entre 12 et 24 mois, et pour la texture entre 12 et 24 mois, et 12 et 36 mois. Les comparaisons entre les enfants nés à terme et ceux nés prématurément démontraient une amplitude de N2 réduite chez ces derniers à 12 mois pour l’orientation et la texture. Bien que ces différences ne fussent plus apparentes à 24 mois, nos résultats semblent refléter un délai de maturation des processus visuel de bas et de plus haut niveau chez les enfants nés prématurément, du moins, pendant la petite enfance. En conclusion, nos résultats indiquent que la prématurité, même sans atteinte neurologique importante, altère le développement des fonctions visuelles à certaines périodes du développement et mettent en évidence l’importance d’en investiguer davantage les impacts (p. ex. cognitifs, comportementaux, scolaires) à moyen et long-terme.
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Ce mémoire propose d’étudier l’articulation entre l’identité ethnique (à l’adolescence) et l’ambition scolaire – ici définie comme l’ensemble des motivations, des moyens de persévérance et du niveau scolaire – notamment à travers les concepts d’assimilation et de la résistance culturelle (McAndrew 2008). Nous nous intéressons aux jeunes issus de l’immigration latino-américaine à Montréal. Il s’agit d’une analyse qualitative, plus précisément d’analyse de discours qui nous a permis de comprendre comment leurs expériences et leurs représentations des Latinos et des Québécois influencent leur identification ethnique ainsi que leurs perceptions et décisions en milieu scolaire. Les résultats de cette étude démontrent que l’identification ethnique, en corrélation avec le statut socio-économique et le genre, semble être liée à l’ambition scolaire. Malgré une certaine confirmation de la relation classique entre statut socio-économique et niveau de scolarité, les discours des participants ont permis de faire ressortir une particularité ethnique susceptible de contribuer à expliquer le choix de continuer aux études supérieures. Cet impact est plus important chez les jeunes femmes de notre échantillon; celles avec le niveau de scolarité le moins élevé, ont un statut socio-économique moindre et s’identifient davantage à la culture latino, en contraste avec celles les plus éduquées ayant aussi un statut socio-économique supérieur et qui s’identifiaient davantage à la culture québécoise.
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The effect of dietary sodium restriction on perceived intensity of and preference for the taste of salt was evaluated in 76 adults, 25-49 years, with diastolic blood pressure between 79-90 mmHg. Participants were volunteers from clinical Hypertension Prevention Trials (HPT), at the University of California, Davis and the University of Minnesota, Minneapolis. Participants followed one of four HPT diets: 1600 mg Na+/day (NA, n=lS), 1600 mg Na+ plus 3200 mg K+/day (NK, n=lS), 1600 mg Na+/day plus energy restriction to achieve weight loss (NW, n=l3) and weight loss only (WT, n=l3). All participants attended regularly scheduled nutrition intervention meetings designed to help them achieve the HPT dietary goals. A fifth, no-intervention group, consisted of 20, no-diet-change controls CCN). Sodium, potassium and energy intakes were monitored by analysis of single, 24-hour food records and corresponding overnight urine specimens, obtained at baseline and after 12 and 24 weeks of intervention. Hedonic responses to sodium chloride in a prepared cream of green bean soup were assessed by two methods : 1) scaling of like/dislike for an NaCl concentration series on 10-cm graphie line scales and 2) ad libitum mixing of unsalted and salted soups to maximum level of liking. Salt content of the mixes was analyzed by sodium ion-selective electrode. The concentration series was also rated for perceived saltinessintensity on similar graphie line scales. Tests were conducted at baseline and after approximately 1, 3, 6, 8, 10, 13 and 24 weeks of intervention. Reduction in sodium intake and excretion in NA, NK and NW participants was accompanied by a shift in preference toward less saltiness in soup. The pattern of hedonic responses changed over time: scores for high NaCl concentrations decreased progressively while scores for low concentrations increased. Hedonic maxima shifted fran a concentration of 0.55% at the onset to 0.1-0.2% added NaCl at week 24. During the same time period, the preferred concentration of ad libitum mixes declined 50%. These shifts occurred independently of changes in saltiness intensity ratings, potassium or energy intakes, and were consistent across the two participating study sites. Like/dislike and sd. libitum responses were similar after 13 and 24 weeks of diet, as were measures of sodium intake and excretion. These findings suggest that after three months of sodium restriction, preference for salt had readjusted to a lower level, reflective of lower sodium intake. Mechanisms underlying the change in preference are unclear, but may include sensory, context, physiological as well as behavioral effects. In contrast, few changes were noted within WT and CN groups. The pattern of hedonic responses varied little in controls while the WT group showed increased liking for mid-range NaCl concentrations. Small, but significant fluctuations in ad libitum mix concentration occurred in both of these groups, but the differences appeared to be random rather than systematic. The results of this study indicate that preference for the taste of salt declines progressively toward a new baseline following reductions in sodium intake. These alterations may enhance maintenance of lowsodium diets for the treatment and prevention of hypertension. Further investigation is needed to establish the degree to which long-term compliance is contingent upon variation in salt taste preference.
Resumo:
This thesis studied the impact of market orietnation on business performance, in the seafood industry, which is a unique situation wherein the firms were all 100% export oriented. The study was able to prove that in the context of the seafood indsutry, implementation of market orientation principles will lead to increase in business performance. The business performance variables were measured under two heads, namely economic performance and non-economic performance. Market orientation in Indian seafood firms was significantly and postiively related to both the performance measures. Under the non-economic performance, were the customer and employee consequences.Again market orientation was positively and significantly related to both the consequences.Thus, the implication arising from the study is this: market orientation in Indian seafood processing firms increases their business performance. The implementation of market orientation will help the seafood firms in gaining competitve advantages in exporting. This in turn will result in increased exports and the position of Indian seafood in the global market will be strengthened. It will thus become a leading player in the global fish trade. Next, the focus was on the effect of the antecedents on the market orientation of a firm. It was seen that several factors were antecedents to the adoption of market orientation principles. They include top management emphasis, conflict, centralization and reward system. It is noted that top management emphasis and support is vital to the market orientation programme. The top management needs to adopt market oriented behaviour and reinforce the need for being market oriented, for it to percolate down the line.Interdepartmental conflict is seen to affect market orientation positively. A large percent of the Indian seafood firms are traditionally family-owned companies, rather than professionally managed firms. This would result in promulgation of old ideas of management whereby, conflict was seen as a healthy exercise, which helped to build up each department's efficiency. But, this view in the long run proves to be detrimental to the firm's performance and must therefore be kept to a bare minimum, if any.Decentralisation of decision making facilitates the participation of the lower level employees and builds up their motivational levels and commitment to the firm. Thus employees are encouraged to make their own decisions, so that they can deal with customers faster and more efficiently. Reward systems help improve an employee's morale, provide encouragement and helps inculcate commitment and loyalty. It improves the employee's self worth and fulfills his need for achievement. A satisfied employee works better, produces more output and needs less supervision, and is happy, thereby reducing costs to the company for replacement and retraining, if the employee quits.Competitive intensity plays a moderating role on the market orientation business performance. Thus in times of greater competition, the relationship between market orientation and business performance grows stronger. Thus, this thesis was successful in investigating a positive relationship between business performance and market orientation.