981 resultados para private use of reason


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Objectives: To describe the use of physiotherapy services and alternative therapies by a population of children with moderate to severe cerebral palsy (CP).
Design: Descriptive cross-sectional survey.
Subjects: A total of 212 parents of children aged 4–14 years with moderate to severe CP were identified from the Northern Ireland Cerebral Palsy Register (NICPR) and a random subsample of their paediatric physiotherapists.
Main measures: A standardized description of motor impairment or assessment form; a postal questionnaire to parents and paediatric physiotherapists (to validate parents’ reports of service use).
Response rates: In total, 85% of parent questionnaires were returned and 100% of paediatric physiotherapists responded.
Results: Service use among families was high; on average the families had contact with approximately seven services in a 6-month time interval. The overwhelming majority of children (96%) received physiotherapy during the school term and most (59%) received treatment at least twice a week for 30 min; 43% of children had their physiotherapy discontinued over the summer holidays. Over one-quarter (28%) of families had opted out of the NHS and bought alternatives like conductive education (21%) or private forms of conventional physiotherapy (16%). Children with more severe forms of CP, in special education, particularly at schools for physical disability, were high-intensity users of the physiotherapy service. Despite this, 74% of parents wanted more physiotherapy for their child.
Conclusions and implications: The demand for physiotherapy services is likely to continue given the relatively stable prevalence rate of CP, the proportion of children with disabling CP and the level of parent interest in the service. A number of quality aspects and gaps in the service have been identified.

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In recent years there has seen an increased interest in refractive surgery for the correction of presbyopia. This can be attributed to a number of factors such as the increased demand from patients to have perfect vision without the need for glasses, spurred on by the success of high street refractive laser surgery. Also the World Health Organisation (WHO) estimated in 2005 that over a 1.04 billion people worldwide are affected by presbyopia (Holden et al. 2008). This vast number of people is valued as a potential market and is a huge enticement to the ophthalmic industry to try and develop devices and products to treat this condition. Recent advances in technology have renewed interest in the implantation of corneal inlays for surgical treatment of presbyopia. Dexl et al. (2011) suggest that the reason for this is the further development of biomaterial technology, advances in femtosecond laser and the need for a reversible presbyopic treatment.

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Os compostos de tributilestanho (TBT) foram utilizados como biocidas em tintas antivegetativas (AV) e amplamente aplicados, durante décadas, de forma a evitar a bioincrustação em superfícies submersas, principalmente em cascos de embarcações. Os seus efeitos deletérios em organismos não-alvo tornaram-se evidentes após o aparecimento de gastrópodes prosobrâquios com imposex – sobreposição de caracteres sexuais masculinos sobre o tracto reprodutivo das fêmeas. Desde então, a expressão do imposex em prosobrânquios tem sido amplamente utilizada como biomarcador da poluição por TBT. Um dos objectivos da presente tese é avaliar se as mais recentes restrições legais na utilização das tintas AV com compostos organoestânicos (OTs) resultaram numa redução da poluição pelos mesmos na costa continental Portuguesa. Para tal, foi levada a cabo a análise da variação temporal do imposex como biomarcador dos níveis ambientais de TBT e a validação de procedimentos, de modo a seguir de forma precisa a evolução da intensidade deste fenómeno ao longo do tempo. O trabalho de investigação teve início no momento em que a ineficácia da legislação anterior (Directiva 89/677/CEE) na redução da poluição por TBT no litoral Português era reportada na literatura e quando estavam já agendados instrumentos decisivos para a diminuição definitiva deste tipo de poluição: o Regulamento (CE) N.º 782/2003 do Parlamento e do Conselho da União Europeia (UE) que bania as tintas AV baseadas em TBT na sua frota a partir de 1 de Julho de 2003; a "Convenção Internacional sobre o Controlo de Sistemas Antivegetativos Nocivos em Navios” (Convenção AFS), adoptada em 2001 pela Organização Marítima Internacional (OMI), que procurava erradicar os OTs da frota mundial até 2008. Os níveis de imposex e as concentrações de OTs nos tecidos de fêmeas de Nucella lapillus foram medidos em 17 locais de amostragem ao longo da costa Portuguesa em 2003, a fim de se avaliarem os impactos do TBT nas populações desta espécie e de se criar uma base de dados para seguir a sua evolução futura. O índice da sequência do vaso deferente (VDSI), o índice do tamanho relativo do pénis (RPSI) e a percentagem de fêmeas afectadas por imposex (%I) foram utilizados na medição da intensidade deste fenómeno em cada local de amostragem e os seus valores variaram entre 0,20-4,04, 0,0- 42,2% e 16,7-100,0%, respectivamente. Foram encontradas fêmeas estéreis em 3 locais de amostragem, com percentagens a variar entre 4,0 e 6,2%. As concentrações de TBT e dibutilestanho (DBT) nas fêmeas variaram respectivamente entre 23-138 e <10-62 ng Sn.g-1 de peso seco, e o conteúdo em TBT nos tecidos revelou-se significativamente correlacionado com o imposex (nomeadamente com o RPSI e o VDSI). Os níveis de expressão do fenómeno e o conteúdo em OTs nos tecidos, foram superiores na proximidade de portos, confirmando as conclusões obtidas anteriormente por outros autores de que os navios e a actividade dos estaleiros são as principais fontes destes compostos no litoral Português. As infra-estruturas associadas ás principais fontes de OTs – portos, estaleiros e marinas – estão geralmente localizadas no interior de estuários, motivo pelo qual estas áreas têm vindo a ser descritas como as mais afectadas por estes poluentes. Por esta razão, foi levado a cabo o estudo pormenorizado da poluição por TBT na Ria de Aveiro, como caso de estudo representativo da poluição por estes compostos num sistema estuarino em Portugal continental. N. lapillus foi usada como bioindicador para avaliar a tendência temporal da poluição por TBT nesta área entre 1997 e 2007. Foi registada uma diminuição da intensidade do imposex após 2003, embora as melhorias mais evidentes tenham sido observadas entre 2005 e 2007, provavelmente devido à implementação do Regulamento (CE) N.º 782/2003 que proibiu a aplicação de tintas AV com TBT em navios com a bandeira da UE. Apesar desses progressos, as análises ao conteúdo em OTs nos tecidos de fêmeas de N. lapillus e em amostras de água colhidas em 2006 indicaram contaminação recente por TBT na área de estudo, evidenciando assim a permanência de fontes de poluição. A utilização de N. lapillus como bioindicador da poluição por TBT na Ria de Aveiro apresenta algumas limitações uma vez que a espécie não ocorre nas áreas mais interiores da Ria e não vive em contacto com sedimentos. Assim, a informação obtida a partir da sua utilização como bioindicador é fundamentalmente relativa aos níveis de TBT na coluna de água. Foi então necessário recorrer a um bioindicador complementar – Hydrobia ulvae – para melhor avaliar a evolução temporal da poluição por TBT no interior deste sistema estuarino e estudar a persistência de TBT nos sedimentos. Não foi registada uma diminuição dos níveis de imposex em H. ulvae na Ria de Aveiro entre 1998 e 2007, apesar da aplicação do Regulamento (CE) N.º 782/2003. Pelo contrário, houve um aumento global significativo da percentagem de fêmeas afectadas por imposex e um ligeiro aumento do VDSI, contrastando com o que tem sido descrito para outros bioindicadores na Ria de Aveiro no mesmo período. Estes resultados mostram que a diferente biologia/ecologia das espécies indicadoras determina vias distintas de acumulação de TBT, apontando a importância da escolha do bioindicador dependendo do compartimento a ser monitorizado (sedimento versus água). A ingestão de sedimento como hábito alimentar em H. ulvae foi discutida como sendo a razão para a escolha da espécie como indicadora da contaminação dos sedimentos por TBT. Foram também estudados os métodos mais fiáveis para reduzir a influência de variáveis críticas na medição dos níveis de imposex em H. ulvae. As comparações de parâmetros do imposex baseados em medições do pénis devem ser sempre realizadas sob condições de narcotização bem standardizadas uma vez que este procedimento provoca um aumento significativo do comprimento do pénis (PL) em ambos os sexos. O VDSI, a % e o PL em ambos os sexos revelaram ser fortemente influenciados pelo tamanho dos espécimes: a utilização de fêmeas mais pequenas conduz à subestimação do VDSI, da %I e do PL, enquanto que diferenças no tamanho dos machos provocam variações no índice do comprimento relativo do pénis (RPLI), independentemente dos níveis de poluição por TBT. Existe, portanto, a necessidade de controlar algumas variáveis envolvidas na análise do imposex que mostraram afectar a fiabilidade dos resultados. Uma vez que N. lapillus é o principal bioindicador dos efeitos biológicos específicos do TBT para a área da OSPAR, foi também estudada a influência de algumas variáveis na avaliação dos níveis de imposex nesta espécie, especificamente as relacionadas com o ciclo reprodutor e o tamanho dos espécimes. O estudo do ciclo reprodutor e a variação sazonal/espacial do comprimento do pénis do macho (MPL) incidiu num único local no litoral Português (Areão – região de Aveiro) de forma a avaliar se o RPSI varia sazonal e espacialmente na mesma estação de amostragem e se tais variações influenciam os resultados obtidos em programas de monitorização do imposex. Nos meses de Dezembro de 2005 a Junho de 2007, foram encontrados espécimes de N. lapillus sexualmente maturos e potencialmente aptos para a reprodução. Contudo, foi também evidente um padrão sazonal do ciclo reprodutor – o estado de desenvolvimento da gametogénese nas fêmeas variou sazonalmente e ocorreu uma diminuição do volume da glândula da cápsula e do factor de condição no final do Verão / início do Outono. Contrariamente, a gametogénese nos machos não apresentou variação sazonal significativa, embora os valores mais baixos do factor de condição, do comprimento do pénis e dos volumes de esperma e da próstata tenham também sido registados no final do Verão / início do Outono. Além disso, o MPL mostrou variar, no mesmo local de amostragem, inversamente com a distância aos ninhos de cápsulas ovígeras; um aumento dos valores do MPL foi também observado em espécimes de maior tamanho. Todas estas variações no MPL introduzem desvios nos resultados da avaliação do imposex quando é usado o RPSI. A magnitude do erro envolvido foi quantificada e revelou-se superior em locais com níveis mais elevados de poluição por TBT. Apesar do RPSI ser um índice que fornece informação importante sobre os níveis de poluição por TBT, a sua interpretação deve ser cuidadosa e realizada complementarmente com os outros índices, destacando-se o VDSI como índice mais fiável e com significado biológico mais expressivo. Novas campanhas de monitorização do imposex em N. lapillus foram realizadas ao longo da costa Portuguesa em 2006 e 2008, e os resultados subsequentemente comparados com a base de dados criada em 2003,de forma a avaliar a evolução da poluição por TBT no litoral Português naquele período. Nestes estudos foram aplicados novos procedimentos na monitorização e tratamento dos dados, de forma a minimizar a variação nos índices de avaliação do imposex induzida pelos factores acima descritos, para seguir com maior consistência a tendência da poluição por TBT entre 2003 e 2008. Foi observado um declínio global significativo na intensidade de imposex na área de estudo durante o referido período e a qualidade ecológica da costa Portuguesa, segundo os termos definidos pela Comissão OSPAR, revelou melhorias notáveis após 2003 confirmando a eficácia do Regulamento (CE) N.º 782/2003. Não obstante, as populações de N. lapillus revelaram-se ainda amplamente afectadas por imposex, tendo sido detectadas emissões de TBT na água do mar ao longo da costa em 2006, apesar da restrição anteriormente referida. Estes inputs foram atribuídos principalmente aos navios que à data ainda circulavam com tintas AV com TBT aplicadas antes de 2003, uma vez que a sua utilização nas embarcações foi apenas proibida em 2008. Considerando que o Regulamento (CE) N.º 782/2003 constitui uma antecipação da proibição global da OMI que entrou em vigor em Setembro de 2008, prevê-se, por analogia, que haja uma rápida diminuição da poluição por TBT à escala mundial num futuro próximo. Na sequência desta previsão, é apresentada uma discussão teórica preliminar relativamente ás possíveis estratégias usadas por N. lapillus na recolonização de locais onde, no passado, as populações terão aparentemente sido extintas devido a níveis extremamente elevados de TBT. Estes locais são tipicamente zonas abrigadas junto de infra-estruturas portuárias, cuja recolonização por esta espécie será provavelmente muito lenta dada a mobilidade reduzida dos adultos e o ciclo de vida não apresentar fase larvar pelágica. Foram então equacionadas duas hipotéticas vias de recolonização de zonas abrigadas por espécimes provenientes de populações de costa aberta/exposta: a migração de adultos e/ou a dispersão de juvenis. No entanto, em ambos os casos, estaria implicada a transposição de um problema amplamente descrito na bibliografia: as populações de N. lapillus de costa aberta podem apresentar um fenótipo muito diferente das de zonas abrigadas, podendo inclusivamente variar no número de cromossomas. A recolonização pode portanto não ter sucesso pelo simples facto dos novos recrutas não estarem bem adaptados aos locais a recolonizar. Para analisar este problema, foram estudados tanto a forma da concha de espécimes de N. lapillus ao longo da costa Portuguesa como o respectivo número de cromossomas. Embora a forma da concha tenha revelado diferenças, de acordo com o grau de hidrodinamismo entre as populações de N. lapillus avaliadas, o cariótipo 2n = 26, típico de zonas expostas, foi registado em todos os locais amostrados. Por outro lado, foi também testada em laboratório a possível mortalidade de juvenis em dispersão no interior menos salino dos estuários. Foi então verificada a ocorrência de mortalidade elevada de juvenis expostos a salinidades baixas (=100% após 1 hora a salinidades ≤9 psu), o que também pode comprometer a recolonização de zonas estuarinas menos salinas por esta via. Mesmo assim, os juvenis mostraram um comportamento de flutuação à superfície da água em condições laboratoriais, que pode ser considerado um benefício específico na colonização de áreas mais internas dos estuários, se tal facto vier a ser confirmado em estudos de campo. As conclusões deste estudo contribuem certamente para a descrição do final da “história do TBT” dado que, uma vez controlados alguns factores determinantes no uso do imposex como biomarcador, a avaliação do declínio da poluição por estes compostos, agora esperado à escala global, se torna mais rigorosa.

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Uncertainties as to future supply costs of nonrenewable natural resources, such as oil and gas, raise the issue of the choice of supply sources. In a perfectly deterministic world, an efficient use of multiple sources of supply requires that any given market exhausts the supply it can draw from a low cost source before moving on to a higher cost one; supply sources should be exploited in strict sequence of increasing marginal cost, with a high cost source being left untouched as long as a less costly source is available. We find that this may not be the efficient thing to do in a stochastic world. We show that there exist conditions under which it can be efficient to use a risky supply source in order to conserve a cheaper non risky source. The benefit of doing this comes from the fact that it leaves open the possibility of using it instead of the risky source in the event the latter’s future cost conditions suddenly deteriorate. There are also conditions under which it will be efficient to use a more costly non risky source while a less costly risky source is still available. The reason is that this conserves the less costly risky source in order to use it in the event of a possible future drop in its cost.

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We report on a laser induced photoacoustic study of the nematic-to-isotropic transition in certain commercial nematic liquid crystal mixtures, namely BL001, BL002, BL032 and BL035. A simple analysis of the experimental data using the Rosencwaig–Gersho theory shows that the heat capacities of all these compounds exhibit a sharp peak as the temperature of the sample is varied across the transition region. Also, substantial differences in the photoacoustic signal amplitudes in nematic and isotropic phases have been noticed for all the mixtures. The increased light scattering property of the nematic phase may be the reason for the enhanced photoacoustic signal amplitude in this phase.

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We report on a laser induced photoacoustic study of the nematic-to-isotropic transition in certain commercial nematic liquid crystal mixtures, namely BL001, BL002, BL032 and BL035. A simple analysis of the experimental data using the Rosencwaig–Gersho theory shows that the heat capacities of all these compounds exhibit a sharp peak as the temperature of the sample is varied across the transition region. Also, substantial differences in the photoacoustic signal amplitudes in nematic and isotropic phases have been noticed for all the mixtures. The increased light scattering property of the nematic phase may be the reason for the enhanced photoacoustic signal amplitude in this phase

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We report on a laser induced photoacoustic study of the nematic-to-isotropic transition in certain commercial nematic liquid crystal mixtures, namely BL001, BL002, BL032 and BL035. A simple analysis of the experimental data using the Rosencwaig–Gersho theory shows that the heat capacities of all these compounds exhibit a sharp peak as the temperature of the sample is varied across the transition region. Also, substantial differences in the photoacoustic signal amplitudes in nematic and isotropic phases have been noticed for all the mixtures. The increased light scattering property of the nematic phase may be the reason for the enhanced photoacoustic signal amplitude in this phase.

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This paper discusses the implications of the shifting cultural significance of public open space in urban areas. In particular, it focuses on the increasing dysfunction between people's expectations of that space and its actual provision and management. In doing so, the paper applies Lefebvre's ideas of spatiality to the evident paradigm shift from 'public' to 'private' culture, with its associated commodification of previously public space. While developing the construct of paradigm shift, the paper recognises that the former political notions inherent in the provision of public space remain in evidence. So whereas public parks were formerly seen as spaces of confrontation between the 'rationality' of public order as the 'irrationality' of individual leisure pursuits, they are now increasingly seen, particularly 'out of hours', as the domain of the dispossessed, to be defined and policed as 'dangerous'. Where once people were welcomed into public open spaces as a means of 'educating' them in good, acceptable, leisure practices, therefore, they are now increasingly excluded, but for the same ostensible reasons. Building on survey work undertaken in Reading, Berkshire, the paper illustrates how communities can become separated from 'their' space, leaving them with the overriding impression that they have been 'short-changed' in terms of both the provision and the management of urban open space. Rather than the intimacy of local space for local people, therefore, the paper argues that parks have become externalised places, increasingly responding to commercial definitions of culture and what is 'public'. Central urban open spaces are therefore increasingly becoming sites of stratification, signification of a consumer-constructed citizenship and valorisation of public life as a legitimate element of the market surface of town and city centres.

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Background Appropriately conducted adaptive designs (ADs) offer many potential advantages over conventional trials. They make better use of accruing data, potentially saving time, trial participants, and limited resources compared to conventional, fixed sample size designs. However, one can argue that ADs are not implemented as often as they should be, particularly in publicly funded confirmatory trials. This study explored barriers, concerns, and potential facilitators to the appropriate use of ADs in confirmatory trials among key stakeholders. Methods We conducted three cross-sectional, online parallel surveys between November 2014 and January 2015. The surveys were based upon findings drawn from in-depth interviews of key research stakeholders, predominantly in the UK, and targeted Clinical Trials Units (CTUs), public funders, and private sector organisations. Response rates were as follows: 30(55 %) UK CTUs, 17(68 %) private sector, and 86(41 %) public funders. A Rating Scale Model was used to rank barriers and concerns in order of perceived importance for prioritisation. Results Top-ranked barriers included the lack of bridge funding accessible to UK CTUs to support the design of ADs, limited practical implementation knowledge, preference for traditional mainstream designs, difficulties in marketing ADs to key stakeholders, time constraints to support ADs relative to competing priorities, lack of applied training, and insufficient access to case studies of undertaken ADs to facilitate practical learning and successful implementation. Associated practical complexities and inadequate data management infrastructure to support ADs were reported as more pronounced in the private sector. For funders of public research, the inadequate description of the rationale, scope, and decision-making criteria to guide the planned AD in grant proposals by researchers were all viewed as major obstacles. Conclusions There are still persistent and important perceptions of individual and organisational obstacles hampering the use of ADs in confirmatory trials research. Stakeholder perceptions about barriers are largely consistent across sectors, with a few exceptions that reflect differences in organisations’ funding structures, experiences and characterisation of study interventions. Most barriers appear connected to a lack of practical implementation knowledge and applied training, and limited access to case studies to facilitate practical learning. Keywords: Adaptive designs; flexible designs; barriers; surveys; confirmatory trials; Phase 3; clinical trials; early stopping; interim analyses

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Objectives. To describe the changes in the use of maternal and child health care services by residents of three municipalities-Embu, Itapecerica da Serra, and Taboao da Serra-in the Sao Paulo metropolitan area, 12 years after the implementation of the Unified Health System (SUS) in Brazil, and to analyze the potential of population-based health care surveys as sources of data to evaluate these changes. Methods. Two population-based, cross-sectional surveys were carried out in 1990 and 2002 in municipalities located within the Sao Paulo metropolitan area. For children under 1 year of age, the two periods were compared in terms of outpatient services utilization and hospital admission; for the mothers, the periods were compared in terms of prenatal care and deliveries. In both surveys, stratified and multiple-stage conglomerate sampling was employed, with standardization of interview questions. Results. The most important changes observed were regarding the location of services used for prenatal care, deliveries, and hospitalization of children less than 1 year of age. There was a significant increase in the use of services in the surrounding region or hometown, and decrease in the utilization of services in the city of Sao Paulo (in 1990, 80% of deliveries and almost all admissions for children less than 1 year versus 32% and 46%, respectively, in 2002). The use of primary care units and 24-hour walk-in clinics also increased. All these changes reflect care provided by public resources. In the private sector, there was a decrease in direct payments and payments through company-paid health insurance and an increase in payments through self-paid health insurance. Conclusions. The major changes observed in the second survey occurred simultaneous to the changes that resulted from the implementation of the SUS. Population-based health surveys are adequate for analyzing and comparing the utilization of health care services at different times.

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In the area of campaign financing in federal elections, one of the most controversial issues is that of soft money. Soft money refers to those funds raised by the national party organizations for use on various grassroots and party-building activities. but which are not subject to the restraints of federal campaign finance law. Critics contend that these party-building activitie, such as generic television advertising, voter registration and get-out-the vote drives, provide ancillary benefits to federal candidates and should, therefore, be subject to federal contribution and expenditure limits. Critics further argue that because these funds are not subject to federal law and do benefit federal candidates, the national parties raise monies in amounts and from sources, such as corporations and unions, that are prohibited under federal law. Efforts to gain a better understanding of soft money have been hampered by a lack of data, as the national parties were not required to disclose their soft money receipts and transactions until 1991. The purpose of this study is to analyze data recently made available in an attempt to add the import of empirical evidence to the debate over soft money. The nature, size and timing of soft money contributions are investigated and national party soft money disbursements are examined. The findings suggest that any attempts to reform the soft money system must first consider its compensatory benefits. Most prominently, this includes the extent to which soft money has promoted the resurgence of the national party organizations in the context of election politics.

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Oral diseases including dental caries and periodontal disease are among the most prevalent and costly diseases in Australia today. Around 5.4% of Australia’s health dollar is spent on dental services totalling around $2.6 billion, 84% of which are delivered through the private sector (AIHW 2001). The other 16% is spent providing public sector services in varied and inadequate ways. While disease rates among school children have declined significantly in the past 20 years the gains made among children are not flowing on to adult dentitions and our aging population will place increasing demands on an inadequate system into the future (AHMAC 2001). Around 50% of adults do not received regular care and this has implications for widening health inequalities as the greatest burden falls on lower income groups (AIHW DSRU 2001). The National Competition Policy agenda has initiated, Australia-wide, reviews of dental legislation applying to delivery of services by dentists, dental specialists, dental therapists and hygienists and dental technicians and prosthetists. The review of the Victorian Dentists Act 1972, was completed first in 1999, followed by the other Australian states with Queensland, the ACT and the Northern Territory still developing legislation. One of the objectives of the new Victorian Act is to ‘…promote access to dental care’. This study has grown out of the need to know more about how dental therapists and hygienists might be utilised to achieve this and the legislative frameworks that could enable such roles. This study used qualitative methods to explore dental health policy making associated with strategies that may increase access to dental care using dental therapists and hygienists. The study used a multiple case study design to critically examine the dental policy development process around the Review of the Dentists Act 1972 in Victoria; to assess legislative and regulatory dental policy reforms in other states in Australia and to conduct a comparative analysis of dental health policy as it relates to dental auxiliary practice internationally. Data collection has involved (I) semi-structured interviews with key participants and stakeholders in the policy development processes in Victoria, interstate and overseas, and (ii) analysis of documentary data sources. The study has taken a grounded theory approach whereby theoretical issues that emerged from the Victorian case study were further developed and challenged in the subsequent interstate and international case studies. A component of this study has required the development of indicators in regulatory models for dental hygienists and therapists that will increase access to dental care for the community. These indicators have been used to analyse regulation reform and the likely impacts in each setting. Despite evidence of need, evidence of the effectiveness and efficiency of dental therapists and hygienists, and the National Competition Policy agenda of increasing efficiency, the legislation reviews have mostly produces only minor changes. Results show that almost all Australian states have regulated dental therapists and hygienists in more prescriptive ways than they do dentists. The study has found that dental policy making is still dominated by the views of private practice dentists under elitist models that largely protect dentist authority, autonomy and sovereignty. The influence of dentist professional dominance has meant that governments have been reluctant to make sweeping changes. The study has demonstrated alternative models of regulation for dental therapists and hygienists, which would allow wider utilisation of their skills, more effective use of public sector funding, increased access to services and a grater focus on preventive care. In the light of theses outcomes, there is a need to continue to advocate for changes that will increase the public health focus of oral health care.

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One objective of government is to provide services at least cost whilst maintaining or improving service quality. While this may be an important objective, questions are being asked whether services can be provided more efficiently and effectively by the private rather than by the government sector. The shift of service provision from the public to the private sector is known as outsourcing or contracting out. The objective in this study is to critically examine whether the contracting out of services by local government to the private sector is an efficient management practice.

The contracting out of Parks and Grounds Maintenance services for the City of Kingston in the State of Victoria, Australia, is used as an exploratory case study to identify the variables associated with management decision-making in the contracting out process. Factors relevant to the contracting out decision such as the criteria used in selecting a contractor; the evaluation of a contractor’s performance; and any subsequent changes to management practice relating to the contracting out of the services are identified and discussed.

Political forces were found to be an important consideration in the initial contracting out decision, and the selection of a contractor was influenced by the potential to avoid costs. It was also found that under-bidding and associated cost /profit constraints lead to contractors engaging in non-sustainable environmental practices which resulted in the degradation of the local government’s Parks and Gardens assets. A sustainable asset management philosophy as opposed to an avoidable costs approach now underpins the contracting out process to ensure the preservation of such assets. Further, administrative processes have been revised to make tender specifications more prescriptive, critical components of services have been brought back in-house, and management practices have been amended so that a greater degree of control is exercised over contractors’ activities.

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Commuting to work is one of the most important and regular routines of transportation in towns and cities. From a geographic perspective, the length of people’s commute is influenced, to some degree, by the spatial separation of their home and workplace and the transport infrastructure. The rise of car ownership in Australia from the 1950s to the present was accompanied by a considerable decrease of public transport use. Currently there is an average of 1.4 persons per car in Australia, and private cars are involved in approximately 90% of the trips, and public transportation in only 10%. Increased personal mobility has fuelled the trend of decentralised housing development, mostly without a clear planning for local employment, or alternative means of transportation. Transport sector accounts for 14% of Australia’s net greenhouse gas emissions. Without further policy action, Australia’s emissions are projected to continue to increase. The Australian Federal Government and the new Department of Climate Change have recently published a set of maps showing that rising seas would submerge large parts of Victoria coastal region. Such event would lead to major disruption in planned urban growth areas in the next 50 years with broad scale inundation of dwellings, facilities and road networks. The Greater Geelong Region has well established infrastructure as a major urban centre and tourist destination and hence attracted the attention of federal and state governments in their quest for further development and population growth. As a result of its natural beauty and ecological sensitivity, scenarios for growth in the region are currently under scrutiny from local government as well as development agencies, scientists, and planners. This paper is part of a broad research in the relationship between transportation system, urban form, trip demand, and emissions, as a paramount in addressing the challenges presented by urban growth. Progressing from previous work focused on private cars, this present paper investigates the use of public transport as a mode for commuting in the Greater Geelong Region. Using a GIS based interaction model, it characterises the current use of the existing public transportation system, and also builds a scenario of increased use of the existing public transportation system, estimating potencial reductions in CO2 emissions. This study provides an improved understanding of the extent to which choices of transport mode and travel activity patterns, affect emissions in the context of regional networks. The results indicate that emissions from commuting by public transportation are significantly lower than those from commuting by private car, and emphasise that there are opportunities for large abatment in the greenhouse emissions from the transportation sector related to efforts in increasing the use of existing public transportation system.

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Aim: Pressure ulcers are a serious secondary consequence of spinal cord injuries. The objective of the present study was to determine whether an arginine-containing nutritional supplement can reduce the healing time of pressure ulcers in people with spinal cord injuries compared with those not consuming the supplement until full wound healing.

Methods: Thirty-four spinal cord injured patients with a grade 2, 3 or 4 pressure ulcer were prescribed two 237 mL tetrapaks/day of a supplement containing additional protein, arginine, zinc and vitamin C. Pressure ulcer healing was assessed with the Pressure Ulcer Scale for Healing tool.

Results: Twenty patients consumed the nutritional supplement until full pressure ulcer healing had occurred, while 14 patients ceased consuming the supplement before full healing occurred because of intolerance, compliance or taste issues. A 2.5-fold greater rate of healing was observed in patients consuming the supplement until full healing compared with those who ceased taking the supplement (8.5 ± 1.1 weeks vs 20.9 ± 7.0 weeks respectively; P = 0.04). There were no significant differences in age, nutritional status, gender or reason for admission between groups. Comparison of healing rates in the group consuming the supplement to full wound healing against expected rates derived from the medical literature showed a significantly shorter time-to-healing (grade 3 pressure ulcer: 6.5 ± 0.8 weeks vs 18.2 weeks; grade 4: 11.4 ± 2.0 weeks vs 22.1 weeks; P < 0.001).

Conclusion: The present small-scale study demonstrated the potential for specialised wound healing nutritional supplements to shorten the time to pressure ulcer healing in spinal cord injured patients.