10 resultados para moniulotteinen skaalaus


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Tutkimuksessa kuvaillaan Rääkkylän Vihi 1:n kampakeraamisen ajan asuinpaikan saviastia-aineistossa havaittavaa vaihtelua ja pohditaan vaihtelun syitä. Astioissa havaittavan vaihtelun katsotaan syntyneen valmistajien valmistusprosessin aikana teke¬mistä valinnoista. Työssä selvitetään, millaisia vaihtoehtoisia tapoja valmistusvaiheiden toteuttamisessa on ollut ja mikä valmistajan tekemiä valintoja on ohjannut. Tulkintaa aineistosta syvennetään etsimällä muuttujien välistä yhteisvaihtelua ja tarkastelemalla astioiden ominaisuuksien yhteyttä polton tulokseen, käytöstä kertoviin jälkiin, korjaukseen ja astioiden levintään. Tutkimusaineistona ovat 130 Vihin asuinpaikan keramiikka-aineistosta määriteltyä astiaa. Käsitys saviastian valmistajan tiedossa olleista ja käyttämistä vaihtoehdoista luotiin teknisten valintojen attribuuttianalyysilla. Koristelun luokittelussa käytettiin apuna tilastollisia moni¬muuttujamenetelmiä (ryhmittely- ja erotteluanalyysi, moniulotteinen skaalaus). Levintää analysoitiin aineistosta erotetun neljän levintätyypin avulla. Astioiden ominaisuuksissa esiintyvä vaihtelu osoittaa astian valmistajilla olleen useita vaihtoehtoisia tapoja toteuttaa jokainen val¬mistusvaihe. Tästä huolimatta on havaittavissa toistuvia yhteyksiä koristelun, sekoitteen, seinämän paksuuden, reunan muodon ja astian levinnän välillä. Talkkisekoitteisten astioiden seinämät ovat ohuemmat ja kyljen koristelu yksinkertaisempaa kuin hiekka- tai murskasekoitteisten astioiden. Talkkisekoitteisten astioiden polton tulos on parempi ja niitä on korjattu harvemmin kuin hiekka- tai murskasekoitteisia astioita. Erisekoitteisten astioiden välillä on eroa myös reunan muodossa. Astioiden levintään pohjautuvan suhteellisen kronologian perusteella erilaisia sekoitteita, koristelutapoja ja reunatyyppejä on käytetty rinnan suurimman osaa asuinpaikan käytön ajasta. Astioiden ominaisuuksissa kuitenkin tapahtuu muutoksia asuinpaikan käytön aikana: seinämät ohenevat, tasapaksu ja tasainen reuna sekä yksinkertaisempi koristelutapa yleistyvät ja talkinkäyttö sekoitteena lisääntyy. Tutkimustulokset tukevat siten tuoreimman tutkimuksen tuloksia kampakeraamisissa aineistoissa esiintyvästä samanaikaisesta vaihtelusta, joka on suurempaa kuin perinteisessä Aarne Äyräpään typologis-kronologisessa mallissa esitetään. Työssä pohditaan erilaisia selitysvaihtoehtoja astian valmistajien valintoihin ja niissä ja siten valmistusprosessissa tapahtuviin muutoksiin, mutta täsmällisiä syitä niihin ei vielä voida antaa.

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This thesis studies the tree species’ juvenile diversity in cacao (Theobroma cacao L.) based agroforestry and in primary forest in a natural conservation forest environment of Lore Lindu National Park, Sulawesi, Indonesia. Species’ adult composition in Lore Lindu National Park is relatively well studied, less is known about tree species’ diversity in seedling communities particularly in frequently disturbed cacao agroforestry field environment. Cacao production forms a potentially serious thread for maintaining the conservation areas pristine and forested in Sulawesi. The impacts of cacao production on natural environment are directly linked to the diversity and abundance of shade tree usage. The study aims at comparing differences between cacao agroforestry and natural forest in the surrounding area in their species composition in seedling and sapling size categories. The study was carried out in two parts. Biodiversity inventory of seedlings and saplings was combined with social survey with farmer interviews. Aim of the survey was to gain knowledge of the cacao fields, and farmers’ observations and choices regarding tree species associated with cacao. Data was collected in summer 2008. The assessment of the impact of environmental factors of solar radiation, weeding frequency, cacao tree planting density, distance to forest and distance to main park road, and type of habitat on seedling and sapling compositions was done with Non-metric Multidimensional Scaling (NMS). Outlier analysis was used to assess distorting variables for NMS, and Multi-Response Permutation Procedures (MRPP) analysis to differentiate the impact of categorical variables. Sampling success was estimated with rarefaction curves and jackknife estimate of species richness. In the inventory 135 species of trees and shrubs were found. Only some agroforestry related species were dominating. The most species rich were sapling communities in forest habitat. NMS was showing generally low linear correlation between variation of species composition and environmental variables. Solar radiation was having most significance as explaining variable. The most clearly separated in ordination were cacao and forest habitats. The results of seedling and sapling inventory were only partly coinciding with farmers’ knowledge of the tree species occurring on their fields. More research with frequent assessment of seedling cohorts is needed due to natural variability of cohorts and high mortality rate of seedlings.

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Taman tutkielman tarkoituksena oli selvittaa metsikon rakenteen seka hakkuiden vaikutuksia pintakasvillisuuden lajikoostumukseen ja biomassaan Etela-Suomen lehtomaisilla, tuoreilla ja kuivahkoilla kankailla. Aineistona tassa tyossa on 8. valtakunnan metsien inventoinnin yhteydessa vuosina 1985–86 metsaluonnon ja ympariston tilan seurantaa varten perustetuista noin 3 000 pysyvasta koealasta poimittu otos. Pintakasvillisuuden lajisto muuttuu metsikon kehitysvaiheen mukaan. Hakkuu on huomattava hairio, joka aiheuttaa nopeita ja suuria muutoksia pintakasvillisuudessa. Pintakasvillisuutta on tarkasteltu lahinna lajiryhmittain (heinat, ruohot, varvut, sammalet seka jakalat). Kunkin lajiryhman peittavyyden eroavaisuuksia testattiin varianssianalyysilla kun selittavana muuttujana ovat luokittain metsikon ika ja edellisesta hakkuusta kulunut aika. Lajikohtaisia tarkasteluja on sen sijaan tehty kasvillisuuden ordinaatioanalyyseilla. Tassa kaytetty ordinaatiomenetelma on epametrinen moniulotteinen skaalaus (Non-metric multidimensional scaling, NMDS), jonka avulla voidaan tehda paatelmia kasvillisuuden rakenteen ekologisesta vaihtelusta ymparistomuuttujien suhteen. Harvennus- ja avohakkuiden vaikutuksia pintakasvillisuuteen myos mallinnettiin lajiryhmittain kayttaen yleistettyja lineaarisia malleja (Generalized linear models). Lajiryhmien peittavyyksien kehitysta mallinnettiin puuston pohjapinta-alan funktiona. Metsikon ian kasvaessa heinien ja ruohojen osuus pienenee, kun taas varpujen ja sammalten osuus lisaantyy. Harvennushakkuiden vaikutukset ovat lievempia kuin avohakkuiden eivatka ne useimmiten aiheuttaneet tilastollisesti merkittavia muutoksia pintakasvillisuuden peittavyyksissa. Avohakkuu sen sijaan on voimakkaampi ja aiheuttaa merkittavia muutoksia. Heinia ja ruohoja esiintyy hakkuun jalkeen enemman ja vastaavasti sammalet ja varvut taantuvat. Kasvillisuuden kokonaispeittavyys ja biomassa ovat suurimmillaan hakkaamattomissa metsikoissa. Harvennushakkuun jalkeen peittavyys ja biomassa voi kuitenkin hetkellisesti olla suurimmillaan kun harvennuksesta on kulunut muutama vuosi. Yleistetyt lineaariset mallit kuvasivat pintakasvillisuuden kehitysta metsikon pohjapinta-alan funktiona luotettavasti. Malleja voidaan kayttaa myos ennustamaan miten pintakasvillisuus kehittyy avohakkuun jalkeen. Malleja voidaan soveltaa esimerkiksi laskettaessa pintakasvillisuuden sitoman hiilen maaraa eriikaisissa metsissa. Niiden avulla voidaan myos arvioida esimerkiksi avohakkuuta voimaperaisemman energiapuun korjuun vaikutuksia pintakasvillisuuden runsauteen.

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L Amour de loin: The semantics of the unattainable in Kaija Saariaho s opera Kaija Saariaho (born 1952) is one of the most internationally successful Finnish composers there has ever been. Her first opera L Amour de loin (Love from afar, 1999-2000) has been staged all over the world and has won a number of important prizes. The libretto written for L Amour de loin by Amin Malouf (born 1949) sets the work firmly in the culture of courtly love and the troubadours, which flourished in Occitania in the South of France during the Middle Ages. The male lead in the opera is the troubadour Jaufré Rudel, who lived in the twelfth century and is known to have taken part in the Second Crusade in 1147-1148. This doctoral thesis L Amour de loin: The semantics of the unattainable in Kaija Saariaho s opera, which comes within the field of musicology and opera research, examines the dimensions of meaning contained in Kaija Saariaho s opera L Amour de loin. This hermeneutic-semiotic study is the first doctoral thesis dealing with Saariaho to be completed at the University of Helsinki. It is also the first thesis-level study of Saariaho s opera to be completed anywhere in the world. The study focuses on the libretto and music of the opera, that is to say the dramatic text (L Amour de loin 1980), and examines on the one hand the dimensions of meaning produced by the dramatic text and on the other, the way in which they fix the dramatic text in a historical and cultural context. Thus the study helps to answer questions about the dimensions of meaning contained in the dramatic text of the opera and how they can be interpreted. The most important procedural viewpoint is Lawrence Kramer s hermeneutic window (1990), supplemented by Raymond Monelle s semiotic theory of musical topics (2000, 2006) and the philosophical concept of Emmanuel Levinas (1996, 2002) in which the latter acts as an instrument for semantic interpretation to build up an analysis. The analytical section of the study is built around the three characters in the opera, Jaufré Rudel, Clémence the Countess of Tripoli, and the Pilgrim. The study shows that the music of Saariaho, who belongs to the third generation of Finnish modernists, has become distanced from the post-serial aesthetic towards a more diatonic form of expression. There is diatonicity, for instance, in the sonorous individuality of the male lead, which is based on the actual melodies of the historical Jaufré Rudel. The use of outside material in this context is exceptional in the work of Saariaho. At the same time, Saariaho s opera contains a wealth of expressive devices she has used in her earlier work. It became apparent during the study that, as a piece of music, L Amour de loin is a many layered and multi-dimensional work that does not unambiguously represent any single stylistic trend or aesthetic. Despite the composer s post-serial background and its abrasive relationship with opera, L Amour de loin is firmly attached to the tradition of western opera. The analysis based on the theory of musical topics that was carried out in the study, shows that topics referring to death and resurrection, used in opera since the seventeenth century, appear in L Amour de loin. The troubadour topic, mainly identified with the harp, also emerges in the work. The study also shows that the work is firmly attached to the tradition of western opera in other aspects, too, such as the travesti or trouser role played by the Pilgrim, and the idea of deus ex machina derived from Ancient Greek theatre. The study shows that the concept of love based on the medieval practices of courtly love, and the associated longing for another defined by almost 1,000 years of western culture, are both manifested in the semantics of Kaija Saariaho s opera which takes its place in the contemporary music genre.

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Individuality and the Community in the Development of K. E. Nipkow's Theory of Religious Education from 1960 to 1990 The purpose of this study was to describe and analyze the development occurred between 1960 and 1990 of the theory of religious education as proposed by K. E. Nipkow, the German Religious Education specialist, from the point of view of individuality and the community. Nipkow's methodological approach of dialectic convergence theory resulted in a dialogue between theological and educational factors, which supported the thirty-year development of Nipkow's models, theoretical foundations, and theory of religious education. Nipkow's doctoral dissertation, published in 1960, deals with individuality in the thinking of Pestalozzi, Humboldt and Schleiermacher. Nipkow regarded individuality as one of the basic concepts of education, which were to be interpreted anew as social and historical situations changed. In the late 1960s Nipkow developed the so-called experiential hermeneutically oriented context model for the needs of religious education. In this model, individuality is expressed in the attention paid to pupils' life situations and the educational reality. The multi-dimensional theoretical framework of religious education in 1975 emphasized supporting identity as a fundamental task of religious education. The concept of individuality was thus given a new form, in accordance with contemporary theories of developmental psychology. Other fundamental tasks, such as the socio-ethical task, the task of critical religious thinking, and that of ecumenical learning, meant a more specific emphasis on the community. It was an outline of a liberating education, which faced the individualistic-existential and social-ecclesiastical challenges of the time with a critical attitude. The further development of the theoretical outline in 1982 continued to uphold the perspectives of both individuality and the community, as Nipkow combined a historical-social dimension with theories of developmental psychology, especially that of life-span research. According to him, the development of the individual and communal life-reality belonged together. The fundamental task of religious education came to be learning to live and believe together. Nipkow transferred the idea of dialogue into inter-generational learning and developed elementarization as a methodology of Religious Education, which takes into account the point of departure of each age group. His theory of educational responsibility in the church (1990) contained the tasks of walking alongside the individual and the renewal of church communities as prerequisites of communicating the Christian faith in an era characterized by multifaceted Christianity. The "geisteswissenschaftliche" school and its concepts (Ger. Individualität; Bildung) were found to be the explanatory factor of the concepts of individuality and the community in the development of Nipkow's theory of religious education. The concept of education employed by Nipkow (Ger. Bildung) implies, on one hand, the individuality, autonomy, freedom and personal responsibility of people of different ages, and on the other hand, the dialogical nature of education in the community facilitated by this concept. Theologically, Nipkow associates himself in his views on individuality and the community with Schleiermacher's understanding of faith, of which openness towards the world was characteristic. The significance of individuality and the community in Nipkow's thinking was, furthermore, deepened by his participation, as a member of working parties, in the educational discussions of the World Council of Churches.

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An efficient and statistically robust solution for the identification of asteroids among numerous sets of astrometry is presented. In particular, numerical methods have been developed for the short-term identification of asteroids at discovery, and for the long-term identification of scarcely observed asteroids over apparitions, a task which has been lacking a robust method until now. The methods are based on the solid foundation of statistical orbital inversion properly taking into account the observational uncertainties, which allows for the detection of practically all correct identifications. Through the use of dimensionality-reduction techniques and efficient data structures, the exact methods have a loglinear, that is, O(nlog(n)), computational complexity, where n is the number of included observation sets. The methods developed are thus suitable for future large-scale surveys which anticipate a substantial increase in the astrometric data rate. Due to the discontinuous nature of asteroid astrometry, separate sets of astrometry must be linked to a common asteroid from the very first discovery detections onwards. The reason for the discontinuity in the observed positions is the rotation of the observer with the Earth as well as the motion of the asteroid and the observer about the Sun. Therefore, the aim of identification is to find a set of orbital elements that reproduce the observed positions with residuals similar to the inevitable observational uncertainty. Unless the astrometric observation sets are linked, the corresponding asteroid is eventually lost as the uncertainty of the predicted positions grows too large to allow successful follow-up. Whereas the presented identification theory and the numerical comparison algorithm are generally applicable, that is, also in fields other than astronomy (e.g., in the identification of space debris), the numerical methods developed for asteroid identification can immediately be applied to all objects on heliocentric orbits with negligible effects due to non-gravitational forces in the time frame of the analysis. The methods developed have been successfully applied to various identification problems. Simulations have shown that the methods developed are able to find virtually all correct linkages despite challenges such as numerous scarce observation sets, astrometric uncertainty, numerous objects confined to a limited region on the celestial sphere, long linking intervals, and substantial parallaxes. Tens of previously unknown main-belt asteroids have been identified with the short-term method in a preliminary study to locate asteroids among numerous unidentified sets of single-night astrometry of moving objects, and scarce astrometry obtained nearly simultaneously with Earth-based and space-based telescopes has been successfully linked despite a substantial parallax. Using the long-term method, thousands of realistic 3-linkages typically spanning several apparitions have so far been found among designated observation sets each spanning less than 48 hours.

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This study analyses Augustine s concept of concupiscentia, or evil desire (together with two cognate terms, libido and cupiditas) in the context of his entire oeuvre. By the aid of systematic analysis, the concept and its development is explored in four distinct ways. It is claimed that Augustine used the concept of concupiscentia for several theological purposes, and the task of the study is to represent these distinct functions, and their connections to Augustine s general theological and philosophical convictions. The study opens with a survey on terminology. A general overview of the occurrences of the negatively connoted words for desire in Latin literature precedes a corresponding examination of Augustine s own works. In this introductory chapter it is shown that, despite certain preferences in the uses of the words, a sufficient degree of synonymy reigns so as to allow an analysis of the concept without tightly discriminating between the terms. The theological functions of concupiscentia with its distinct contexts are analysed in separate chapters. The function of concupiscentia as a divine punishment is explored first (Ch 3). It is seen how Augustine links together concupiscentia and ideas about divine justice, and finally suggests that in the inordinate, psychologically experienced sexual desire, the original theological disobedience of Adam and Eve can be perceived. Augustine was criticized for this solution already in his own times, and the analysis of the function of concupiscentia as a divine punishment ends in a discussion on the critical response of punitive concupiscentia by Julian of Aeclanum. Augustine also attached to concupiscentia another central theological function by viewing evil desire as an inward originating cause for all external evil actions. In the study, this function is analysed by surveying two formally distinct images of evil desire, i.e. as the root (radix) of all evil, and as a threefold (triplex) matrix of evil actions (Ch 4). Both of these images were based on a single verse of the Bible (1 Jn 2, 16 and 1 Tim 6, 10). This function of concupiscentia was formed both parallel to, and in answer to, Manichaean insights into concupiscentia. Being familiar with the traditional philosophical discussions on the nature and therapy of emotions, Augustine situated concupiscentia also into this context. It is acknowledged that these philosophical traditions had an obvious impact into his way of explaining psychological processes in connection with concupiscentia. Not only did Augustine implicitly receive and exploit these traditions, but he also explicitly moulded and criticized them in connection with concupiscentia. Eventually, Augustine conceives the philosophical traditions of emotions as partly useful but also partly inadequate to deal with concupiscentia (Ch 5). The role of concupiscentia in connection to divine grace and Christian renewal is analysed in the final chapter of the study. Augustine s gradual development in internalizing the effects of concupiscentia also into the life of a baptized Christian are elucidated, as are the strong limitations and mitigations Augustine makes to the concept when attaching it into the life under grace (sub gratia). A crucial part in the development of this function is played by Augustine s changing interpretation of Rom 7, and the way concupiscentia appears in Augustine s readings of this text is therefore also analysed. As a result of the analysis of these four distinct functions and contexts of concupiscentia, it is concluded that Augustine s concept of concupiscentia is fairly tightly and coherently connected to his views of central theological importance. Especially the functions of concupiscentia as a punishment and the function of concupiscentia in Christian renewal were both tightly interwoven into Augustine s view of God s being and God s grace. The study shows the importance of reading Augustine s discussions on evil desire with a constant awareness of their role in their larger context, that is, of their function in each situation. The study warns against too simplistic and unifying readings of Augustine s concupiscentia, emphasizing the need to acknowledge both the necessitating, sinful aspects of concupiscentia, and the domesticated features of concupiscentia during Christian renewal.

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Hyvinvointi koostuu paitsi taloudellisista tekijöistä, myös monista muista ulottuvuuksista. Terveyden, koulutuksen, tasa-arvon sekä yhteiskunnan tarjoaman vapauden ja turvan lisäksi pitkän tähtäimen hyvinvointiin vaikuttavat erityisesti ympäristön tila ja se kuinka kestävän kehityksen mukaista on talouden toiminta. Hyvinvoinnin ollessa näinkin moniulotteinen ilmiö on sen mittaaminen hyvin haastavaa ja siksi hyvinvoinnin mittaaminen on ollut pitkään varsin kehittymätöntä. Taloustieteen teoriapohjan kehittyminen, länsimaisten yhteiskuntien uudet haasteet ja politiikan teon painopisteen siirtyminen kansalaisten hyvinvoinnin lisäämiseen ovat nostaneet hyvinvoinnin mittaamisen kehittämisen erääksi lähivuosien tärkeimmäksi painopisteeksi Euroopan unionissa. Tässä tutkimuksessa käsitellään hyvinvoinnin mittaamista erityisesti taloustieteen näkökulmasta. Tutkimuksessa esitellään erilaisia hyvinvoinnin mittaamisen menetelmiä ja syvennytään tarkemmin varsinkin niin sanottuihin yhdistelmäindikaattoreihin. Erityisesti pohditaan yhdistelmäindikaattoreiden taloustieteellistä teoriapohjaa, tutustutaan yhdistelmäindikaattoreiden käytössä ilmeneviin haasteisiin ja testataan yhdistelmäindikaattorin soveltamista käytännössä. Hyvinvoinnin mittarina on käytetty Sustainable Society Index –yhdistelmäindikaattoria (SSI), joka aggregoi yhteen 24 eri ihmisten hyvinvointiin, ympäristön tilaan ja taloudelliseen hyvinvointiin liittyvää muuttujaa. Indikaattori on laskettu tutkimuksessa Suomelle ensimmäistä kertaa vuosille 1975 – 2008. Samaan aikaan tämän tutkimuksen kanssa SSI:n kehittäjät ovat laskeneet SSI:n Hollannille samoille vuosille. Tutkimuksen mukaan yhdistelmäindikaattoreiden teoriapohja on varsin vajavainen. Niiden soveltamisessa suurimmat haasteet liittyvät riittävän ajantasaisen ja luotettavan tilastotiedon saatavuuteen. Toisaalta yhdistelmäindikaattoreiden etuna on, että niihin on monia muita hyvinvoinnin mittareita helpompi sisällyttää laaja kirjo erilaisia hyvinvoinnin osa-alueiden kehitystä kuvaavia muuttujia, kun yhteistä mittayksikköä ei tarvita. Näin ne pystyvät ottamaan muita seurantavälineitä kattavammin huomioon hyvinvoinnin eri osa-alueita. SSI:n mukaan Suomessa hyvinvointi on kaiken kaikkiaan hieman laskenut tarkasteluajanjaksolla. Hyvinvointi kasvoi 1990-luvun alun lamaan asti, jolloin hyvinvoinnissa tapahtui suuri notkahdus. Tämän jälkeen suunta on ollut taas kasvava, joskaan ennen lamaa vallinnutta hyvinvoinnin tasoa ei ole vieläkään saavutettu. Tulosten mukaan Suomessa hyvinvointi on paremmalla tasolla kuin Hollannissa. Kuitenkin hyvinvoinnin kasvu on Hollannissa ollut tarkasteluajanjaksolla nopeampaa ja ero maiden välillä on koko ajan kaventunut. Tutkimuksen lopussa tehdään ehdotuksia kuinka hyvinvoinnin mittareita ja etenkin SSI:ä tulisi jatkossa kehittää, jotta ne soveltuisivat paremmin juuri Suomen hyvinvoinnin mittaamiseen.

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The major changes that have been witnessed in today's workplaces are challenging the mental well-being of employed people. Stress and burnout are considered to be modern epidemics, and their importance to physical health and work ability has been acknowledged world-wide. The aim of the thesis was to study the concept of burnout as a process proceeding from its antecedents, through the development of the syndrome, and to its outcomes. Several work-related factors considered antecedents of burnout were studied in different occupational groups. The syndrome of burnout is seen as consisting of three dimensions - exhaustion, cynicism and lack of professional efficacy - and different alternatives for the sequential development of these dimensions were tested. Furthermore, several indicators of the severely detrimental health and work ability outcomes of burnout were investigated in a longitudinal study design. The research questions were as follows. 1) Is burnout, as measured with the Maslach Burnout Inventory - General Survey (MBI-GS), a three-dimensional construct and how invariant is the factorial structure across occupations (Finnish) and national samples (Finnish, Swedish and Dutch)? How persistent is exhaustion over time? 2) What is the sequential process of burnout? Is it similar across occupations? How do work stressors relate to the process? 3) How does burnout relate to severe health consequences as well as temporary and chronic work disability according to hospitalization periods, sick-leave episodes and receiving disability pensions? The data were collected between 1986 and 2005. The population of the study consisted of respondents to a company-wide questionnaire survey carried out in 1996-1997 (N=9705, response rate 63%). The participants comprised 6025 blue-collar workers and 3680 white-collar workers. The majority were men (N=7494) and the average age was 43.7 years. In addition, a sample from the population had responded to a questionnaire survey in 1988, which was combined with the 1996 data to form panel data on 713 respondents. The register-based data were collected between 1986 and 2005 from 1) the company's occupational health services' records for a sample of respondents from the 1996 questionnaire survey (sick-leave data), 2) hospitalization records from the Hospital discharge register, and 3) disability pension records from the Finnish Centre for Pensions. These data were combined person by person with the 1996 questionnaire survey data with the help of personal identification numbers which were saved with the study numbers by the researchers. The results showed that burnout consists of three separate but correlating symptoms: exhaustion, cynicism and lack of professional efficacy. As a syndrome, burnout was strongly related to job stressors at work, and seemed to develop from exhaustion through cynicism to lack of professional efficacy in a similar manner among white-collar and blue-collar employees. The results also showed that exhaustion persisted even after eight years of follow-up but did not predict cynicism or lack of professional efficacy after that amount of time. Nor were job stressors longitudinally related to burnout. Longitudinal results were obtained for the severe health-related consequences of burnout. The investigated outcomes represented different phases of health deterioration ranging from sick-leaves and hospitalization periods to receiving work disability pensions. The results showed that burnout syndrome, and its elements of exhaustion and cynicism, were related to future mental and cardiovascular disorders as indicated by hospitalization periods. Burnout was also related to future sick-leave periods due to mental, cardiovascular and musculoskeletal disorders. Of the separate elements, exhaustion was related to the same three categories of disorder, cynicism to mental, musculoskeletal and digestive disorders, and lack of professional efficacy to mental and musculoskeletal disorders. Burnout also predicted receiving disability pensions due to mental and musculoskeletal disorders among initially healthy subjects. Exhaustion was related to receiving disability pensions even when self-reported chronic illness was taken into account. The results suggest that burnout is a multidimensional, chronic, work-related syndrome, which may have serious consequences for health and work ability.

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High food prices can be a barrier to healthy eating because some of the food products may be perceived as expensive. Understanding the role of price in food purchase situations is important, but only a few studies document attitudes towards expensiveness or cheapness in foods. In this thesis, the role of food price in food choice and consumers attitudes towards food prices were investigated and the aim was to measure the food price attitudes. Food price attitudes were hypothesized to have an impact on consumers willingness to pay judgements and their willingness to buy premium-priced food products. First, using qualitative data consisting of 40 thematic interviews the experiences of the expensiveness and cheapness in foods were explored by using functional food products as a target product category. Second, a Food Price Attitude Scale was developed using four quantitative surveys representing Finnish consumers (2001 N=1158; 2002 N=1156; 2004a N=1113; 2004b N=1027). Food price attitudes were confirmed to compose a multidimensional construct and consumers may perceive positive and negative attitudes towards both high and low food prices. Finnish consumers were clustered into four groups based on their food price attitudes. In the first group, 29% of respondents were negative towards high food prices and they were willing to seek low food prices, whereas respondents in another group (22%) were positive towards high food prices. Additionally, in the third group consumers (17%) were willing to pay for high quality but still looked for low food prices. In the fourth group, consumers (32%) were willing to look for low food prices, unwilling to pay for high quality, but high-priced food was appreciated if offered to others. It was found in qualitative data that consumers willingness to accept high prices in foods was connected to price fairness and to justifications. Feelings of fairness or unfairness might be a core element of food price attitudes. Using quantitative methods, it was confirmed that positive attitudes towards high food prices in terms of high quality enhanced consumers willingness to buy food products with certain benefits (e.g., a health claim). Additionally, the favourable attitude towards low food prices lowered the willingness to pay estimates. This type of tendency, however, can create a possible bias in small convenient samples. In the food price-related research, it is advisable to take into account food price attitudes as possible background variables. The Food Price Attitude Scale needs further development to increase construct validity even though, in the present study, it was shown to be a reliable measure with good predictive and discriminant validity. The theoretical and managerial implications of the results for a better understanding of the role of price in consumers food purchases are discussed.