790 resultados para Object-based Classification


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Abstract Background Oral squamous cell carcinoma (OSCC) is a frequent neoplasm, which is usually aggressive and has unpredictable biological behavior and unfavorable prognosis. The comprehension of the molecular basis of this variability should lead to the development of targeted therapies as well as to improvements in specificity and sensitivity of diagnosis. Results Samples of primary OSCCs and their corresponding surgical margins were obtained from male patients during surgery and their gene expression profiles were screened using whole-genome microarray technology. Hierarchical clustering and Principal Components Analysis were used for data visualization and One-way Analysis of Variance was used to identify differentially expressed genes. Samples clustered mostly according to disease subsite, suggesting molecular heterogeneity within tumor stages. In order to corroborate our results, two publicly available datasets of microarray experiments were assessed. We found significant molecular differences between OSCC anatomic subsites concerning groups of genes presently or potentially important for drug development, including mRNA processing, cytoskeleton organization and biogenesis, metabolic process, cell cycle and apoptosis. Conclusion Our results corroborate literature data on molecular heterogeneity of OSCCs. Differences between disease subsites and among samples belonging to the same TNM class highlight the importance of gene expression-based classification and challenge the development of targeted therapies.

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L’obiettivo della tesi riguarda l’utilizzo di immagini aerofotogrammetriche e telerilevate per la caratterizzazione qualitativa e quantitativa di ecosistemi forestali e della loro evoluzione. Le tematiche affrontate hanno riguardato, da una parte, l’aspetto fotogrammetrico, mediante recupero, digitalizzazione ed elaborazione di immagini aeree storiche di varie epoche, e, dall’altra, l’aspetto legato all’uso del telerilevamento per la classificazione delle coperture al suolo. Nel capitolo 1 viene fatta una breve introduzione sullo sviluppo delle nuove tecnologie di rilievo con un approfondimento delle applicazioni forestali; nel secondo capitolo è affrontata la tematica legata all’acquisizione dei dati telerilevati e fotogrammetrici con una breve descrizione delle caratteristiche e grandezze principali; il terzo capitolo tratta i processi di elaborazione e classificazione delle immagini per l’estrazione delle informazioni significative. Nei tre capitoli seguenti vengono mostrati tre casi di applicazioni di fotogrammetria e telerilevamento nello studio di ecosistemi forestali. Il primo caso (capitolo 4) riguarda l’area del gruppo montuoso del Prado- Cusna, sui cui è stata compiuta un’analisi multitemporale dell’evoluzione del limite altitudinale degli alberi nell’arco degli ultimi cinquant’anni. E’ stata affrontata ed analizzata la procedura per il recupero delle prese aeree storiche, definibile mediante una serie di successive operazioni, a partire dalla digitalizzazione dei fotogrammi, continuando con la determinazione di punti di controllo noti a terra per l’orientamento delle immagini, per finire con l’ortorettifica e mosaicatura delle stesse, con l’ausilio di un Modello Digitale del Terreno (DTM). Tutto ciò ha permesso il confronto di tali dati con immagini digitali più recenti al fine di individuare eventuali cambiamenti avvenuti nell’arco di tempo intercorso. Nel secondo caso (capitolo 5) si è definita per lo studio della zona del gruppo del monte Giovo una procedura di classificazione per l’estrazione delle coperture vegetative e per l’aggiornamento della cartografia esistente – in questo caso la carta della vegetazione. In particolare si è cercato di classificare la vegetazione soprasilvatica, dominata da brughiere a mirtilli e praterie con prevalenza di quelle secondarie a nardo e brachipodio. In alcune aree sono inoltre presenti comunità che colonizzano accumuli detritici stabilizzati e le rupi arenacee. A questo scopo, oltre alle immagini aeree (Volo IT2000) sono state usate anche immagini satellitari ASTER e altri dati ancillari (DTM e derivati), ed è stato applicato un sistema di classificazione delle coperture di tipo objectbased. Si è cercato di definire i migliori parametri per la segmentazione e il numero migliore di sample per la classificazione. Da una parte, è stata fatta una classificazione supervisionata della vegetazione a partire da pochi sample di riferimento, dall’altra si è voluto testare tale metodo per la definizione di una procedura di aggiornamento automatico della cartografia esistente. Nel terzo caso (capitolo 6), sempre nella zona del gruppo del monte Giovo, è stato fatto un confronto fra la timberline estratta mediante segmentazione ad oggetti ed il risultato di rilievi GPS a terra appositamente effettuati. L’obiettivo è la definizione del limite altitudinale del bosco e l’individuazione di gruppi di alberi isolati al di sopra di esso mediante procedure di segmentazione e classificazione object-based di ortofoto aeree in formato digitale e la verifica sul campo in alcune zone campione dei risultati, mediante creazione di profili GPS del limite del bosco e determinazione delle coordinate dei gruppi di alberi isolati. I risultati finali del lavoro hanno messo in luce come le moderne tecniche di analisi di immagini sono ormai mature per consentire il raggiungimento degli obiettivi prefissi nelle tre applicazioni considerate, pur essendo in ogni caso necessaria una attenta validazione dei dati ed un intervento dell’operatore in diversi momenti del processo. In particolare, le operazioni di segmentazione delle immagini per l’estrazione di feature significative hanno dimostrato grandi potenzialità in tutti e tre i casi. Un software ad “oggetti” semplifica l’implementazione dei risultati della classificazione in un ambiente GIS, offrendo la possibilità, ad esempio, di esportare in formato vettoriale gli oggetti classificati. Inoltre dà la possibilità di utilizzare contemporaneamente, in un unico ambiente, più sorgenti di informazione quali foto aeree, immagini satellitari, DTM e derivati. Le procedure automatiche per l’estrazione della timberline e dei gruppi di alberi isolati e per la classificazione delle coperture sono oggetto di un continuo sviluppo al fine di migliorarne le prestazioni; allo stato attuale esse non devono essere considerate una soluzione ottimale autonoma ma uno strumento per impostare e semplificare l’intervento da parte dello specialista in fotointerpretazione.

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La tesi si pone come obiettivo quello di indagare le mostre di moda contemporanee come macchine testuali. Se consideriamo l’attuale panorama del fashion design come caratterizzato da una complessità costitutiva e da rapidi mutamenti che lo attraversano, e se partiamo dal presupposto che lo spettro di significati che uno stile di abbigliamento e i singoli capi possono assumere è estremamente sfuggente, probabilmente risulta più produttivo interrogarsi su come funziona la moda, su quali sono i suoi meccanismi di produzione di significato. L’analisi delle fashion exhibition si rivela quindi un modo utile per affrontare la questione, dato che gli allestimenti discorsivizzano questi meccanismi e rappresentano delle riflessioni tridimensionali attorno a temi specifici. La mostra di moda mette in scena delle eccezionalità che magnificano aspetti tipici del funzionamento del fashion system, sia se ci rivolgiamo alla moda dal punto di vista della produzione, sia se la consideriamo dal punto di vista della fruizione. L’indagine ha rintracciato nelle mostre curate da Diana Vreeland al Costume Institute del Metropolitan Museum di New York il modello di riferimento per le mostre di moda contemporanee. Vreeland, che dal 1936 al 1971 è stata prima fashion editor e poi editor-in-chief rispettivamente di “Harper’s Bazaar” e di “Vogue USA”, ha segnato un passaggio fondamentale quando nel 1972 ha deciso di accettare il ruolo di Special Consultant al Costume Institute. È ormai opinione diffusa fra critici e studiosi di moda che le mostre da lei organizzate nel corso di più di un decennio abbiano cambiato il modo di mettere in scena i vestiti nei musei. Al lavoro di Vreeland abbiamo poi accostato una recente mostra di moda che ha fatto molto parlare di sé: Spectres. When Fashion Turns Back, a cura di Judith Clark (2004). Nell’indagare i rapporti fra il fashion design contemporaneo e la storia della moda questa mostra ha utilizzato macchine allestitive abitate dai vestiti, per “costruire idee spaziali” e mettere in scena delle connessioni non immediate fra passato e presente. Questa mostra ci è sembrata centrale per evidenziare lo sguardo semiotico del curatore nel suo interrogarsi sul progetto complessivo dell’exhibition design e non semplicemente sullo studio degli abiti in mostra. In questo modo abbiamo delineato due posizioni: una rappresentata da un approccio object-based all’analisi del vestito, che si lega direttamente alla tradizione dei conservatori museali; l’altra rappresentata da quella che ormai si può considerare una disciplina, il fashion curation, che attribuisce molta importanza a tutti gli aspetti che concorrono a formare il progetto allestitivo di una mostra. Un lavoro comparativo fra alcune delle più importanti mostre di moda recentemente organizzate ci ha permesso di individuare elementi ricorrenti e specificità di questi dispositivi testuali. Utilizzando il contributo di Manar Hammad (2006) abbiamo preso in considerazione i diversi livelli di una mostra di moda: gli abiti e il loro rapporto con i manichini; l’exhibition design e lo spazio della mostra; il percorso e la sequenza, sia dal punto di vista della strategia di costruzione e dispiegamento testuale, sia dal punto di vista del fruitore modello. Abbiamo così individuato quattro gruppi di mostre di moda: mostre museali-archivistiche; retrospettive monografiche; mostre legate alla figura di un curatore; forme miste che si posizionano trasversalmente rispetto a questi primi tre modelli. Questa sistematizzazione ha evidenziato che una delle dimensione centrali per le mostre di moda contemporanee è proprio la questione della curatorship, che possiamo leggere in termini di autorialità ed enunciazione. Si sono ulteriormente chiariti anche gli orizzonti valoriali di riferimento: alla dimensione dell’accuratezza storica è associata una mostra che predilige il livello degli oggetti (gli abiti) e un coinvolgimento del visitatore puramente visivo; alla dimensione del piacere visivo possiamo invece associare un modello di mostra che assegna all’exhibition design un ruolo centrale e “chiede” al visitatore di giocare un ruolo pienamente interattivo. L’approccio curatoriale più compiuto ci sembra essere quello che cerca di conciliare queste due dimensioni.

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Methoden und Modelle zur Phytoplanktonanalyse am Beispiel einer Restaurierungsmaßnahme an der Bleiloch Talsperre Zusammenfassung An der hypertrophen Bleiloch Talsperre (Thüringen, BRD) werden die Auswirkungen der 1997 in Betrieb genommenen partiellen Destratifikation (0- 20m) untersucht. Ziel der Maßnahme war die Hemmung des Phytoplanktonwachstums durch Lichtlimitation.Da es nicht gelang, auch die Oberflächenlammelle in die Durchmischung einzubeziehen, wurde auch keine Reduktion des Phytoplanktons beobachtet. Seine zeitliche Dynamik nahm deutlich zu und es traten neben typischen Längsgradienten auch extreme, kleinräumige Konzentrationsunterschiede auf. Die vorher häufigen Cyanobakterien spielten jedoch keine quantitativ bedeutsame Rolle mehr. Es wird diskutiert, wie die Belüftung die Saisonalität des Planktons stört und zu Verschiebungen der Zusammensetzung führt. Der Zusammenhang zwischen der Chlorophyll a Menge und der Stabilität der Wassersäule sowie der Einfluß wachstumsbestimmender Größen werden modelliert. Methodische Schwerpunkte umfassen die Auswertung von Phytoplankton-Pigmentdaten (HPLC-Analyse) und die Entwicklung einer Durchflußzytometer-Methode. Bei letzerer werden an lebenden Phytoplanktern die Vorwärtsstreuung sowie vier Fluoreszenzen (2 Phycoerythrine, Phycocyanin und Chlorophyll a, 514nm Anregungswellenlänge) gemessen. Zur Klassifizierung von Algen anhand von Referenzen werden zwei Methoden entwickelt, Möglichkeiten des Sortierens aufgezeigt und es wird ein Vergleich mit Mikroskopie und HPLC- Pigmentanalyse durchgeführt. Anhand von Modellrechnungen wird demonstriert, wie sich systematische bzw. zufällige Abweichungen der Pigmentstöchiometrien auf die Berechnung von Algengruppenanteilen auswirken. Strategien zur Auswertung von Pigmentdaten werden empfohlen.

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In computer systems, specifically in multithread, parallel and distributed systems, a deadlock is both a very subtle problem - because difficult to pre- vent during the system coding - and a very dangerous one: a deadlocked system is easily completely stuck, with consequences ranging from simple annoyances to life-threatening circumstances, being also in between the not negligible scenario of economical losses. Then, how to avoid this problem? A lot of possible solutions has been studied, proposed and implemented. In this thesis we focus on detection of deadlocks with a static program analysis technique, i.e. an analysis per- formed without actually executing the program. To begin, we briefly present the static Deadlock Analysis Model devel- oped for coreABS−− in chapter 1, then we proceed by detailing the Class- based coreABS−− language in chapter 2. Then, in Chapter 3 we lay the foundation for further discussions by ana- lyzing the differences between coreABS−− and ASP, an untyped Object-based calculi, so as to show how it can be possible to extend the Deadlock Analysis to Object-based languages in general. In this regard, we explicit some hypotheses in chapter 4 first by present- ing a possible, unproven type system for ASP, modeled after the Deadlock Analysis Model developed for coreABS−−. Then, we conclude our discussion by presenting a simpler hypothesis, which may allow to circumvent the difficulties that arises from the definition of the ”ad-hoc” type system discussed in the aforegoing chapter.

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Il presente lavoro è inserito nel contesto di applicazioni che riguardano la pianificazione e gestione delle emergenze umanitarie. Gli aspetti che si sono voluti mettere in evidenza sono due. Da un lato l'importanza di conoscere le potenzialità dei dati che si hanno di fronte per poterli sfruttare al meglio. Dall'altro l'esigenza di creare prodotti che siano facilmente consultabili da parte dell'utente utilizzando due diverse tecniche per comprenderne le peculiarità. Gli strumenti che hanno permesso il presente studio sono stati tre: i principi del telerilevamento, il GIS e l'analisi di Change Detection.

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Aim The aim of this study was to describe neuroimaging patterns associated with arterial ischaemic stroke (AIS) in childhood and to differentiate them according to stroke aetiology. Method Clinical and neuroimaging (acute and follow-up) findings were analysed prospectively in 79 children (48 males, 31 females) aged 2 months to 15 years 8 months (median 5y 3mo) at the time of stroke by the Swiss Neuropaediatric Stroke Registry from 2000 to 2006. Results Stroke was confirmed in the acute period in 36 out of 41 children who underwent computed tomography, in 53 of 57 who underwent T2-weighted magnetic resonance imaging (MRI) and in all 48 children who underwent diffusion-weighted MRI. AIS occurred in the anterior cerebral artery (ACA) in 63 participants and in all cases was associated with lesions of the middle cerebral artery (MCA). The lesion was cortical-subcortical in 30 out of 63 children, cortical in 25 out of 63, and subcortical in 8 of 63 children. Among participants with AIS in the posterior circulation territory, the stroke was cortical-subcortical in 8 out of 16, cortical in 5 of 16, and thalamic in 3 out of 16 children. Interpretation AIS mainly involves the anterior circulation territory, with both the ACA and the MCA being affected. The classification of Ganesan is an appropriate population-based classification for our Swiss cohort, but the neuroimaging pattern alone is insufficient to determine the aetiology of stroke in a paediatric population. The results show a poor correlation between lesion pattern and aetiology.

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We present a near-infrared (0.9-2.4 mu m) spectroscopic study of 73 field ultracool dwarfs having spectroscopic and/or kinematic evidence of youth (approximate to 10-300 Myr). Our sample is composed of 48 low-resolution (R approximate to 100) spectra and 41 moderate-resolution spectra (R greater than or similar to 750-2000). First, we establish a method for spectral typing M5-L7 dwarfs at near-IR wavelengths that is independent of gravity. We find that both visual and index-based classification in the near-IR provides consistent spectral types with optical spectral types, though with a small systematic offset in the case of visual classification at J and K band. Second, we examine features in the spectra of similar to 10 Myr ultracool dwarfs to define a set of gravity-sensitive indices based on FeH, VO, Ki, Nai, and H-band continuum shape. We then create an index-based method for classifying the gravities of M6-L5 dwarfs that provides consistent results with gravity classifications from optical spectroscopy. Our index-based classification can distinguish between young and dusty objects. Guided by the resulting classifications, we propose a set of low-gravity spectral standards for the near-IR. Finally, we estimate the ages corresponding to our gravity classifications.

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Venous malformations (VMs) are the most common vascular developmental anomalies (birth defects) . These defects are caused by developmental arrest of the venous system during various stages of embryogenesis. VMs remain a difficult diagnostic and therapeutic challenge due to the wide range of clinical presentations, unpredictable clinical course, erratic response to the treatment with high recurrence/persistence rates, high morbidity following non-specific conventional treatment, and confusing terminology. The Consensus Panel reviewed the recent scientific literature up to the year 2013 to update a previous IUP Consensus (2009) on the same subject. ISSVA Classification with special merits for the differentiation between the congenital vascular malformation (CVM) and vascular tumors was reinforced with an additional review on syndrome-based classification. A "modified" Hamburg classification was adopted to emphasize the importance of extratruncular vs. truncular sub-types of VMs. This incorporated the embryological origin, morphological differences, unique characteristics, prognosis and recurrence rates of VMs based on this embryological classification. The definition and classification of VMs were strengthened with the addition of angiographic data that determines the hemodynamic characteristics, the anatomical pattern of draining veins and hence the risk of complication following sclerotherapy. The hemolymphatic malformations, a combined condition incorporating LMs and other CVMs, were illustrated as a separate topic to differentiate from isolated VMs and to rectify the existing confusion with name-based eponyms such as Klippel-Trenaunay syndrome. Contemporary concepts on VMs were updated with new data including genetic findings linked to the etiology of CVMs and chronic cerebrospinal venous insufficiency. Besides, newly established information on coagulopathy including the role of D-Dimer was thoroughly reviewed to provide guidelines on investigations and anticoagulation therapy in the management of VMs. Congenital vascular bone syndrome resulting in angio-osteo-hyper/hypotrophy and (lateral) marginal vein was separately reviewed. Background data on arterio-venous malformations was included to differentiate this anomaly from syndrome-based VMs. For the treatment, a new section on laser therapy and also a practical guideline for follow up assessment were added to strengthen the management principle of the multidisciplinary approach. All other therapeutic modalities were thoroughly updated to accommodate a changing concept through the years.

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Optimal adjustment of brain networks allows the biased processing of information in response to the demand of environments and is therefore prerequisite for adaptive behaviour. It is widely shown that a biased state of networks is associated with a particular cognitive process. However, those associations were identified by backward categorization of trials and cannot provide a causal association with cognitive processes. This problem still remains a big obstacle to advance the state of our field in particular human cognitive neuroscience. In my talk, I will present two approaches to address the causal relationships between brain network interactions and behaviour. Firstly, we combined connectivity analysis of fMRI data and a machine leaning method to predict inter-individual differences of behaviour and responsiveness to environmental demands. The connectivity-based classification approach outperforms local activation-based classification analysis, suggesting that interactions in brain networks carry information of instantaneous cognitive processes. Secondly, we have recently established a brand new method combining transcranial alternating current stimulation (tACS), transcranial magnetic stimulation (TMS), and EEG. We use the method to measure signal transmission between brain areas while introducing extrinsic oscillatory brain activity and to study causal association between oscillatory activity and behaviour. We show that phase-matched oscillatory activity creates the phase-dependent modulation of signal transmission between brain areas, while phase-shifted oscillatory activity blunts the phase-dependent modulation. The results suggest that phase coherence between brain areas plays a cardinal role in signal transmission in the brain networks. In sum, I argue that causal approaches will provide more concreate backbones to cognitive neuroscience.

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n the framework of the FRUELA project, two oceanographic surveys were conducted by R/V Hespérides in the eastern Bellingshausen Sea, western basin of the Bransfield Strait and Gerlache Strait area during December 1995 and January 1996. The main hydrographic structures of the study domain were the Southern Boundary of the ACC and the Bransfield Front. The characteristics and zonation of local water masses are discussed in terms of temperature, salinity, dissolved oxygen, nutrient and inorganic carbon concentrations. Concentration intervals for water mass labelling, on the basis of chemical parameters in addition to the common theta/S-based classification, are defined. Silicate seems to be a very good discriminator for local water masses.

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The spatial and temporal dynamics of seagrasses have been well studied at the leaf to patch scales, however, the link to large spatial extent landscape and population dynamics is still unresolved in seagrass ecology. Traditional remote sensing approaches have lacked the temporal resolution and consistency to appropriately address this issue. This study uses two high temporal resolution time-series of thematic seagrass cover maps to examine the spatial and temporal dynamics of seagrass at both an inter- and intra-annual time scales, one of the first globally to do so at this scale. Previous work by the authors developed an object-based approach to map seagrass cover level distribution from a long term archive of Landsat TM and ETM+ images on the Eastern Banks (~200 km**2), Moreton Bay, Australia. In this work a range of trend and time-series analysis methods are demonstrated for a time-series of 23 annual maps from 1988 to 2010 and a time-series of 16 monthly maps during 2008-2010. Significant new insight was presented regarding the inter- and intra-annual dynamics of seagrass persistence over time, seagrass cover level variability, seagrass cover level trajectory, and change in area of seagrass and cover levels over time. Overall we found that there was no significant decline in total seagrass area on the Eastern Banks, but there was a significant decline in seagrass cover level condition. A case study of two smaller communities within the Eastern Banks that experienced a decline in both overall seagrass area and condition are examined in detail, highlighting possible differences in environmental and process drivers. We demonstrate how trend and time-series analysis enabled seagrass distribution to be appropriately assessed in context of its spatial and temporal history and provides the ability to not only quantify change, but also describe the type of change. We also demonstrate the potential use of time-series analysis products to investigate seagrass growth and decline as well as the processes that drive it. This study demonstrates clear benefits over traditional seagrass mapping and monitoring approaches, and provides a proof of concept for the use of trend and time-series analysis of remotely sensed seagrass products to benefit current endeavours in seagrass ecology.

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Long term global archives of high-moderate spatial resolution, multi-spectral satellite imagery are now readily accessible, but are not being fully utilised by management agencies due to the lack of appropriate methods to consistently produce accurate and timely management ready information. This work developed an object-based remote sensing approach to map land cover and seagrass distribution in an Australian coastal environment for a 38 year Landsat image time-series archive (1972-2010). Landsat Multi-Spectral Scanner (MSS), Thematic Mapper (TM) and Enhanced Thematic Mapper (ETM+) imagery were used without in situ field data input (but still using field knowledge) to produce land and seagrass cover maps every year data were available, resulting in over 60 map products over the 38 year archive. Land cover was mapped annually using vegetation, bare ground, urban and agricultural classes. Seagrass distribution was also mapped annually, and in some years monthly, via horizontal projected foliage cover classes, sand and deep water. Land cover products were validated using aerial photography and seagrass maps were validated with field survey data, producing several measures of accuracy. An average overall accuracy of 65% and 80% was reported for seagrass and land cover products respectively, which is consistent with other studies in the area. This study is the first to show moderate spatial resolution, long term annual changes in land cover and seagrass in an Australian environment, created without the use of in situ data; and only one of a few similar studies globally. The land cover products identify several long term trends; such as significant increases in South East Queensland's urban density and extent, vegetation clearing in rural and rural-residential areas, and inter-annual variation in dry vegetation types in western South East Queensland. The seagrass cover products show that there has been a minimal overall change in seagrass extent, but that seagrass cover level distribution is extremely dynamic; evidenced by large scale migrations of higher seagrass cover levels and several sudden and significant changes in cover level. These mapping products will allow management agencies to build a baseline assessment of their resources, understand past changes and help inform implementation and planning of management policy to address potential future changes.

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The spatial and temporal dynamics of seagrasses have been studied from the leaf to patch (100 m**2) scales. However, landscape scale (> 100 km**2) seagrass population dynamics are unresolved in seagrass ecology. Previous remote sensing approaches have lacked the temporal or spatial resolution, or ecologically appropriate mapping, to fully address this issue. This paper presents a robust, semi-automated object-based image analysis approach for mapping dominant seagrass species, percentage cover and above ground biomass using a time series of field data and coincident high spatial resolution satellite imagery. The study area was a 142 km**2 shallow, clear water seagrass habitat (the Eastern Banks, Moreton Bay, Australia). Nine data sets acquired between 2004 and 2013 were used to create seagrass species and percentage cover maps through the integration of seagrass photo transect field data, and atmospherically and geometrically corrected high spatial resolution satellite image data (WorldView-2, IKONOS and Quickbird-2) using an object based image analysis approach. Biomass maps were derived using empirical models trained with in-situ above ground biomass data per seagrass species. Maps and summary plots identified inter- and intra-annual variation of seagrass species composition, percentage cover level and above ground biomass. The methods provide a rigorous approach for field and image data collection and pre-processing, a semi-automated approach to extract seagrass species and cover maps and assess accuracy, and the subsequent empirical modelling of seagrass biomass. The resultant maps provide a fundamental data set for understanding landscape scale seagrass dynamics in a shallow water environment. Our findings provide proof of concept for the use of time-series analysis of remotely sensed seagrass products for use in seagrass ecology and management.