1000 resultados para SAER, JUAN JOSÉ, 1937-2005


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The relationship between population and government in the City of Buenos Aires is analyzed, focusing on the tensions generated by the arrival of new individuals, a local elite with great interests in commerce and in charge of community affairs, and Spanish functionaries that progressively adopted the ideals of the Bourbon Dynasty, despite also being implicated in local logics. It interests us to observe the governors’ perspectives with respect to everyday developments in the city, their preoccupations and interests, and how they would vary the mechanisms to which they resorted in order to organize daily life, in the period defined between 1740 and 1776.

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The aim of my research is to answer the question: How is Portugal seen by non-Portuguese fictionists? The main reason why I chose this research line is the following: Portuguese essayists like Eduardo Lourenço and José Gil (2005) focus their attention on the image or representation of Portugal as conceived by the Portuguese; indeed there is a tendency in Portuguese cultural studies (and, to a certain extent, also in Portuguese philosophical studies) to focus on studying the so-called ‗portugalidade‘ (portugueseness), i.e., the essence of being Portuguese. In my view, the problem with the studies I have been referring to is that everything is self-referential, and if ‗portugueseness‘ is an issue, then it might be useful, when dealing with it, to separate subject from object of observation. That is the reason why we, in the CEI (Centro de Estudos Interculturais), decided to start this research line, which is an inversion in the current tendency of the studies about ‗portugueseness‘: instead of studying the image or representation of Portugal by the Portuguese, my task is to study the image or representation of Portugal by the non-Portuguese, in this case, in non-Portuguese fiction. For the present paper I selected three writers of the 20th century: the German Hermann Hesse and the North-Americans Philip Roth and Paul Auster

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OBJETIVO Estimar a prevalência de nascimentos pré-termo por faixas de peso ao nascer e obter uma equação para correção de estimativas. MÉTODOS Revisão sistemática da literatura nacional, de 1990 a 2012, para identificar estudos com coleta primária de informações sobre peso ao nascer e idade gestacional. Foram selecionados 12 que contribuíram com tabulações da prevalência de nascimentos pré-termo para faixas de 100 g de peso ao nascer. Os resultados desses estudos foram combinados pelo método de polinômios fracionais, sendo obtidas curvas separadas para meninos e meninas, comparadas com os resultados do Sistema de Informações sobre Nascidos Vivos para os anos 2000, 2005, 2010 e 2011. RESULTADOS As estimativas da prevalência de nascimentos pré-termo, obtidas a partir dos estudos primários, foram superiores às do Sistema de Informações sobre Nascidos Vivos para praticamente todas as faixas de peso ao nascer. A prevalência relatada pelo Sistema de Informações sobre Nascidos Vivos foi de 7,1% em 2010, cerca de 38% menor do que a estimativa de 11,7% obtida com a equação de correção. CONCLUSÕES Os dados do Sistema de Informações sobre Nascidos Vivos quanto à prevalência de nascimento pré-termo não refletem a verdadeira dimensão da prematuridade no Brasil. Assim sendo, para sua utilização, será necessária a aplicação do fator de correção, conforme proposto.

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Objective: To asses the results of Autologous Chondrocyte Implantation (ACI) whith periosteal patch and To propagate the care circuits existing about in Andalusia. Material and Methods: From its of ficial licence in 2005, the tissue bank and the Virgen de la Victoria Hospital from Málaga, performed the ACI in the Andalusian public health system. 16 patients has been operated between 2006-2013, whith medium follow-up 47,6 months (6 months-6 years), from public hos- pitals throughout Andalucia, managed by hospital admission source and destination. Physiologically younger patients were selected (<50 años), with singles, > 2cm2 symptomatics chondral lesions, in stables and well aligned knees. ACI was used as res- cue procedure after microfracture ́s failure except osteochondritis dissecans. To assess the results the Concinnati score and the Short Form 36 (SF-36) score were used. A descriptive analysis was performed and non-parametric tests were used to establish correlations and compare results. Results: In 15 patients with more than one year of follow-up: 14 men(87.5%) and 2women (14.5%), medium age 28.2 years old (min 17 max 43), the lesion was located into de femoral condyle, mostly in the internal one (81,2%) with medium size 2,7cm2(2-4,2). We founded significant improvement (p<0,001), both daily activities ( 89,3% preop. limitatión - 9% postop), as in the sports (90,2% preop limitatión - 38% postop) and the exploration of the knee (67,7% hpatological findings preop- 13,3%postop). The SF-36 score improved in all categories, over all in mental health (p> 0,01). The patient satisfaction was high or very high in 12 of the 15 patients ( 80%), and low in 3 patients. Conclusions: ACI improve quality of life and knee function in femoral condyle chondral lesions. The case ́s selection and the collaboration with Tissue Bank, allows us to create care circuits for treatment of patients from other provinces in the Public Sanitary Health System in Andalucia. It is necessary to increase the experience with this type of therapy, consolidating multicenter workgroups that provide strength to the conclusions.

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The paper deals with a bilateral accident situation in which victims haveheterogeneous costs of care. With perfect information,efficient care bythe injurer raises with the victim's cost. When the injurer cannot observeat all the victim's type, and this fact can be verified by Courts, first-bestcannot be implemented with the use of a negligence rule based on thefirst-best levels of care. Second-best leads the injurer to intermediate care,and the two types of victims to choose the best response to it. This second-bestsolution can be easily implemented by a negligence rule with second-best as duecare. We explore imperfect observation of the victim's type, characterizing theoptimal solution and examining the different legal alternatives when Courts cannotverify the injurers' statements. Counterintuitively, we show that there is nodifference at all between the use by Courts of a rule of complete trust and arule of complete distrust towards the injurers' statements. We then relate thefindings of the model to existing rules and doctrines in Common Law and Civil Lawlegal systems.

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We study the standard economic model of unilateral accidents, in its simplest form, assumingthat the injurers have limited assets.We identify a second-best optimal rule that selects as duecare the minimum of first-best care, and a level of care that takes into account the wealth ofthe injurer. We show that such a rule in fact maximizes the precautionary effort by a potentialinjurer. The idea is counterintuitive: Being softer on an injurer, in terms of the required level ofcare, actually improves the incentives to take care when he is potentially insolvent. We extendthe basic result to an entire population of potentially insolvent injurers, and find that the optimalgeneral standards of care do depend on wealth, and distribution of income. We also show theconditions for the result that higher income levels in a given society call for higher levels of carefor accidents.

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We study a situation in which an auctioneer wishes to sell an object toone of N risk-neutral bidders with heterogeneous preferences. Theauctioneer does not know bidders preferences but has private informationabout the characteristics of the ob ject, and must decide how muchinformation to reveal prior to the auction. We show that the auctioneerhas incentives to release less information than would be efficient andthat the amount of information released increases with the level ofcompetition (as measured by the number of bidders). Furthermore, in aperfectly competitive market the auctioneer would provide the efficientlevel of information.

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Most cases of cost overruns in public procurement are related to important changes in theinitial project design. This paper deals with the problem of design speciffication in public procurement and provides a rationale for design misspeciffication. We propose a model in which the sponsor decides how much to invest in design speciffication and awards competitively the project to a contractor. After the project has been awarded the sponsor engages in bilateral renegotiation with the contractor, in order to accommodate changes in the initial project's design that new information makes desirable. When procurement takes place in the presence of horizontally differentiated contractors, the design's speciffication level is seen to affect the resulting degree of competition. The paper highlights this interaction between market competition and design speciffication and shows that the sponsor's optimal strategy, when facing an imperfectly competitive market supply, is to underinvest in design speciffication so as to make signifficant cost overrunslikely. Since no such misspeciffication occurs in a perfectly competitive market, cost overruns are seen to arise as a consequence of lack of competition in the procurement market.

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We analyze the impact of different types of international conventions thatrequire signatory countries to penalize domestic firms that are found tohave bribed foreign public officials. We analyze enforcement of penaltiesunder a convention styled after the OECD's 'Convention on Combating Briberyof Foreign Public Officials in International Business Transactions', in whichsignatory countries commit to prosecuting firms that have bribed publicofficials of any foreign country. We compare the results with the case inwhich the convention requires signatory countries to commit to prosecutingfirms that have bribed public officials of signatory countries only.We argue that the second type of convention is more likely to ensureenforcement of penalties on firms found to have bribed foreign publicofficials.

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El objetivo de este trabajo es discutir y analizar el concepto de la responsabilidad socialcorporativa (RSC) desde la teoria económica. Para ello usamos un modelo sencilloque nos permite clarificar algunos aspectos del debate que rodea la RSC. Observamoscomo la motivación subyacente en las decisiones y estrategias empresariales juega unpapel importante en el concepto de RSC; así, aquellas políticas de la empresa quefavorecen a alguno de los stakeholders, pero estén simplemente destinadas a incrementarla rentabilidad empresarial, no deberían catalogarse como RSC. Otro aspectoclave de la RSC es su relación e interacción con la intervención y regulación pública.Desde nuestro punto de vista, el papel de la RSC será importante allí donde la regulación pública no puede llegar debido a, por ejemplo, restricciones de información alas que se enfrenta el sector público. Analizamos también el papel y las característicasdel activismo desarrollado por algunos grupos de consumidores (mediante el posiblelanzamiento de boicots a las empresas no responsables socialmente). Y, finalmente,nos planteamos la posibilidad de implementar la empresa stakeholder , es decir, laempresa Socialmente Responsable; la conclusión principal en este aspecto es que suimplementación se enfrenta a complejos problemas, especialmente en lo que concierneal diseño de los incentivos adecuados para los gestores de estas empresas.

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Estas notas corresponden a las exposiciones presentadas en el \emph{Primer Seminario de Integrabilidad}, dentro de lo que se denomina \emph{Aula de Sistemas Din\'amicos}. Durante este evento se realizaron seis conferencias, todas presentadas por miembros del grupo de Sistemas Din\'amicos de la UPC. El programa desarrollado fue el siguiente:\\\begin{center}AULA DE SISTEMAS DIN\'AMICOS\end{center}\begin{center}\texttt{http://www.ma1.upc.es/recerca/seminaris/aulasd-cat.html}\end{center}\begin{center}SEMINARIO DE INTEGRABILIDAD\end{center}\begin{center}Martes 29 y Mi\'ercoles 30 de marzo de 2005\\Facultad de Matem\'aticas y Estad\'{\i}stica, UPC\\Aula: Seminario 1\end{center}\bigskip\begin{center}PROGRAMA Y RES\'UMENES\end{center}{\bf Martes 29 de marzo}\begin{itemize}\item15:30. Juan J. Morales-Ruiz. \emph{El problema de laintegrabilidad en Sistemas Din\'amicos}\medskip {\bf Resumen.} En esta presentaci\'on se pretende dar unaidea de conjunto, pero sin entrar en detalles, sobre las diversasnociones de integrabilidad, asociadas a nombres de matem\'aticostan ilustres como Liouville, Galois-Picard-Vessiot, Lie, Darboux,Kowalevskaya, Painlev\'e, Poincar\'e, Kolchin, Lax, etc. Adem\'astambi\'en mencionaremos la revoluci\'on que supuso en los a\~nossesenta del siglo pasado el descubrimiento de Gardner, Green,Kruskal y Miura sobre un nuevo m\'etodo para resolver en algunoscasos determinadas ecuaciones en derivadas parciales. \medskip\item16:00. David G\'omez-Ullate. \emph{Superintegrabilidad, pares deLax y modelos de $N-$cuerpos en el plano}\medskip{\bf Resumen.} Introduciremos algunas t\'ecnicas cl\'asicas paraconstruir modelos de N-cuerpos integrables, como los pares de Laxo la din\'amica de los ceros de un polinomio. Revisaremos lanoci\'on de integrabilidad Liouville y superintegrabilidad, ydiscutiremos un nuevo m\'etodo debido a F. Calogero para contruirmodelos de N-cuerpos en el plano con muchas \'orbitasperi\'odicas. La exposici\'on se acompa\~nar\'a de animaciones delmovimiento de los cuerpos, y se plantear\'an algunos problemasabiertos.\medskip\item17:00. Pausa\medskip\item17:30. Yuri Fedorov. \emph{An\'alisis de Kovalevskaya--Painlev\'ey Sistemas Algebraicamente Integrables}\medskip{\bf Resumen.} Muchos sistemas integrables poseen una propiedadremarcable: todas sus soluciones son funciones meromorfas deltiempo como una variable compleja. Tal comportamiento, que serefiere como propiedad de Kovalevskaya-Painleve (KP) y que se usafrecuentemente como una ensayo de integrabilidad, no es accidentaly tiene unas ra\'{\i}ces geom\'etricas profundas. En esta charladescribiremos una clase de tales sistemas (conocidos como lossistemas algebraicamente integrables) y subrayaremos suspropiedades geom\'etricas principales que permiten predecir laestructura de las soluciones complejas y adem\'as encontrarlasexpl\'{\i}citamente. Eso lo ilustraremos con algunos sistemas dela mec\'anica cl\'asica. Tambi\'en mencionaremos unasgeneralizaciones \'utiles de la noci\'on de integrabilidadalgebraica y de la propiedad KP.\end{itemize}\medskip{\bf Mi\'ercoles 30 de marzo}\begin{itemize}\item 15:30. Rafael Ram\'{\i}rez-Ros. \emph{El m\'etodo de Poincar\'e}\medskip{\bf Resumen.} Dado un sistema Hamiltoniano aut\'onomo cercano acompletamente integrable Poincar\'e prob\'o que, en general, noexiste ninguna integral primera adicional uniforme en elpar\'ametro de perturbaci\'on salvo el propio Hamiltoniano.Esbozaremos las ideas principales del m\'etodo de prueba ycomentaremos algunas extensiones y generalizaciones.\newpage\item16:30. Chara Pantazi. \emph{El M\'etodo de Darboux}\medskip{\bf Resumen.} Darboux, en 1878, present\'o su m\'etodo paraconstruir integrales primeras de campos vectoriales polinomialesutilizando sus curvas invariantes algebraicas. En estaexposici\'on presentaremos algunas extensiones del m\'etodocl\'asico de Darboux y tambi\'en algunas aplicaciones.\medskip\item17:30. Pausa\medskip\item18:00. Juan J. Morales-Ruiz. \emph{M\'etodos recientes paradetectar la no integrabilidad}\medskip{\bf Resumen.} En 1982 Ziglin utiliza la estructura de laecuaci\'on en variaciones de Poincar\'e (sobre una curva integralparticular) como una herramienta fundamental para detectar la nointegrabilidad de un sistema Hamiltoniano. En esta charla sepretende dar una idea de esta aproximaci\'on a la nointegrabilidad, junto con t\'ecnicas m\'as recientes queinvolucran la teor\'{\i}a de Galois de ecuaciones diferencialeslineales, haciendo \'enfasis en los ejemplos m\'as que en lateor\'{\i}a general. Ilustraremos estos m\'etodos con resultadossobre la no integrabilidad de algunos problemas de $N$ cuerpos enMec\'anica Celeste.\end{itemize}

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Background: We use an approach based on Factor Analysis to analyze datasets generated for transcriptional profiling. The method groups samples into biologically relevant categories, and enables the identification of genes and pathways most significantly associated to each phenotypic group, while allowing for the participation of a given gene in more than one cluster. Genes assigned to each cluster are used for the detection of pathways predominantly activated in that cluster by finding statistically significant associated GO terms. We tested the approach with a published dataset of microarray experiments in yeast. Upon validation with the yeast dataset, we applied the technique to a prostate cancer dataset. Results: Two major pathways are shown to be activated in organ-confined, non-metastatic prostate cancer: those regulated by the androgen receptor and by receptor tyrosine kinases. A number of gene markers (HER3, IQGAP2 and POR1) highlighted by the software and related to the later pathway have been validated experimentally a posteriori on independent samples. Conclusion: Using a new microarray analysis tool followed by a posteriori experimental validation of the results, we have confirmed several putative markers of malignancy associated with peptide growth factor signalling in prostate cancer and revealed others, most notably ERRB3 (HER3). Our study suggest that, in primary prostate cancer, HER3, together or not with HER4, rather than in receptor complexes involving HER2, could play an important role in the biology of these tumors. These results provide new evidence for the role of receptor tyrosine kinases in the establishment and progression of prostate cancer.

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