The Pepsi paradox : A review
- Authors: Van Doorn, George , Miloyan, Beyon
- Date: 2018
- Type: Text , Journal article , Review
- Relation: Food Quality and Preference Vol. 65, no. (2018), p. 194-197
- Full Text: false
- Reviewed:
- Description: The Pepsi Paradox refers to the observation that Pepsi is preferred to Coke in blind taste tests, despite Coke being regarded as the more successful brand. We begin by describing the origins of the Pepsi Paradox. We then outline a neural hypothesis for why it occurs. Next, we carefully assess the published behavioural studies related to the Pepsi Paradox, and on people's ability to distinguish colas by taste. We conclude that the existing research has failed to provide sufficient evidence for the existence of the Pepsi Paradox. In fact, there does not even seem to be a consistent taste preference for either beverage in the reviewed studies.
Using principles of motor learning to enhance ACL injury prevention programs
- Authors: Gokeler, Alli , Benjaminse, Anne , Seil, Romain , Kerkhoffs, Gino , Verhagen, Evert
- Date: 2018
- Type: Text , Journal article , Review
- Relation: Sports Orthopaedics and Traumatology Vol. 34, no. 1 (2018), p. 23-30
- Full Text: false
- Reviewed:
- Description: Findings from efficacy studies have shown decreased in ACL injury rates in (predominantly female) athletes participating in prevention programs. Given the inherent higher ACL injury risk for females, the majority of intervention studies, have focused on female athletes. Subsequently, the content of exercises in ACL prevention programs is directed to target the modifiable ACL injury risk factors for female athletes. The literature is generally scarce regarding the efficacy of prevention programs to reduce ACL injuries in male athletes. In general, reduction of ACL injury rates seem to be limited to (young) female athletes and male athletes playing at low level of sports. Typically, ACL injury prevention programs entail a combination of plyometrics, strength training, agility and balance exercises. A problem is that improvements of movement patterns are not sustained over time. The reason may be related to the type of instructions given during training. Encouraging athletes to consciously control knee movements during exercises may not be optimal for the acquisition of complex motor skills. In the motor learning domain, these type of instructions are defined as an internal attentional focus. An internal focus, on one's own movements results in a more conscious type of control that may hamper motor learning. It has been established in numerous studies that an external focus of attention facilitates motor learning more effectively due to the utilization of automatic motor control. Subsequently, the athlete has more recourses available to anticipate on situations on the field and take appropriate feed forward directed actions. The purpose of this manuscript was to present methods to optimize motor skill acquisition of athletes and elaborate on athletes’ behavior.
A framework for the etiology of running-related injuries
- Authors: Bertelsen, Michael , Hulme, Adam , Petersen, Jesper , Brund, Rene , Sørensen, Henrik , Finch, Caroline , Parner, Erik , Nielsen, Rasmus
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Scandinavian Journal of Medicine and Science in Sports Vol. 27, no. 11 (2017), p. 1170-1180
- Full Text: false
- Reviewed:
- Description: The etiology of running-related injury is important to consider as the effectiveness of a given running-related injury prevention intervention is dependent on whether etiologic factors are readily modifiable and consistent with a biologically plausible causal mechanism. Therefore, the purpose of the present article was to present an evidence-informed conceptual framework outlining the multifactorial nature of running-related injury etiology. In the framework, four mutually exclusive parts are presented: (a) Structure-specific capacity when entering a running session; (b) structure-specific cumulative load per running session; (c) reduction in the structure-specific capacity during a running session; and (d) exceeding the structure-specific capacity. The framework can then be used to inform the design of future running-related injury prevention studies, including the formation of research questions and hypotheses, as well as the monitoring of participation-related and non-participation-related exposures. In addition, future research applications should focus on addressing how changes in one or more exposures influence the risk of running-related injury. This necessitates the investigation of how different factors affect the structure-specific load and/or the load capacity, and the dose-response relationship between running participation and injury risk. Ultimately, this direction allows researchers to move beyond traditional risk factor identification to produce research findings that are not only reliably reported in terms of the observed cause-effect association, but also translatable in practice. © 2017 John Wiley & Sons A/S. Published by John Wiley & Sons Ltd
Accelerometers for the assessment of concussion in male athletes : A systematic review and meta-analysis
- Authors: Brennan, James , Mitra, Biswadev , Synnot, Anneliese , McKenzie, Joanne , Willmott, Catherine , McIntosh, Andrew , Maller, Jerome , Rosenfeld, Jeffrey
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Sports Medicine Vol. 47, no. 3 (2017), p. 469-478
- Full Text: false
- Reviewed:
- Description: Background Concussion is common in the sporting arena and is often challenging to diagnose. The development of wearable head impact measurement systems has enabled measurement of head kinematics in contact sports. Objectives The objective of this systematic review was to determine the characteristics of head kinematics measured by an accelerometer system among male athletes diagnosed with concussion. Methods A systematic search was conducted in July 2015. Inclusion criteria were English-language studies published after 1990 with a study population of male athletes, in any sport, where objectively measured biomechanical forces were reported in the setting of a concussive event. The random effects meta-analysis model was used to combine estimates of biomechanical force measurements in concussed athletes. Results Thirteen studies met the inclusion criteria, the majority of which were conducted with high school and college football teams in the US. Included studies measured a combination of linear and rotational acceleration. The meta-analysed mean peak linear head acceleration associated with a concussive episode was 98.68 g (95 % CI 82.36-115.00) and mean peak rotational head acceleration was 5776.60 rads/s 2 (95 % CI 4583.53-6969.67). The estimates of the biomechanical forces were consistent across studies, with I 2 values of 0 % for both metaanalyses. Conclusions Head impact monitoring through accelerometery has been shown to be useful with regard to characterising the kinematic load to the head associated with concussion. Future research with improved clinical outcome measures and head kinematic data may improve accuracy when evaluating concussion, and may assist with both interpretation of biomechanical data and the development and utilisation of implementation strategies for the technology.
Anxiety and clinical performance in simulated setting in undergraduate health professionals education : An integrative review
- Authors: Al-Ghareeb, Amal , Cooper, Simon J. , McKenna, Lisa
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Clinical Simulation in Nursing Vol. 13, no. 10 (2017), p. 478-491
- Full Text: false
- Reviewed:
- Description: Background Undergraduate health professionals clearly experience anxiety during simulation. However, little is known regarding learners’ physiological and psychological responses and the influence of these responses on performance. Method An integrative review was undertaken to provide a comprehensive understanding of the influence of anxiety on undergraduate health professionals’ performance during simulation, and to review the tools and measurements reported in the healthcare literature. Result Eleven articles were included showing simulation aroused learners physiologically and psychologically, either improving or declining clinical performance. Conclusion Two contrasting perceptions emerged, which are indicative of the current lack of understanding regarding the effects of anxiety on performance in a simulation setting. © 2017 International Nursing Association for Clinical Simulation and Learning
Cardiac telomere length in heart development, function, and disease
- Authors: Booth, Scott , Charchar, Fadi
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Physiological Genomics Vol. 49, no. 7 (2017), p. 368-384
- Relation: http://purl.org/au-research/grants/nhmrc/1034371
- Full Text: false
- Reviewed:
- Description: Telomeres are repetitive nucleoprotein structures at chromosome ends, and a decrease in the number of these repeats, known as a reduction in telomere length (TL), triggers cellular senescence and apoptosis. Heart disease, the worldwide leading cause of death, often results from the loss of cardiac cells, which could be explained by decreases in TL. Due to the cell-specific regulation of TL, this review focuses on studies that have measured telomeres in heart cells and critically assesses the relationship between cardiac TL and heart function. There are several lines of evidence that have identified rapid changes in cardiac TL during the onset and progression of heart disease as well as at critical stages of development. There are also many factors, such as the loss of telomeric proteins, oxidative stress, and hypoxia, that decrease cardiac TL and heart function. In contrast, antioxidants, calorie restriction, and exercise can prevent both cardiac telomere attrition and the progression of heart disease. TL in the heart is also indicative of proliferative potential and could facilitate the identification of cells suitable for cardiac rejuvenation. Although these findings highlight the involvement of TL in heart function, there are important questions regarding the validity of animal models, as well as several confounding factors, that need to be considered when interpreting results and planning future research. With these in mind, elucidating the telomeric mechanisms involved in heart development and the transition to disease holds promise to prevent cardiac dysfunction and potentiate regeneration after injury. © 2017 the American Physiological Society.
Challenges faced by shorebird species using the inland wetlands of the East Asian-Australasian Flyway : The little curlew example
- Authors: Bellio, Mariagrazia , Minton, Clive , Veltheim, Inka
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Marine and Freshwater Research Vol. 68, no. 6 (2017), p. 999-1009
- Full Text: false
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- Description: Asia is experiencing an alarming rate of inland wetlands loss, posing a risk to the future long-term survival of many species depending on these ecosystems. This review on the status and conservation of the little curlew (Numenius minutus) aims to draw attention to the conservation challenges faced by migratory shorebird species using the inland wetlands of the East Asian-Australasian Flyway (EAAF). Extensive and systematic research survey efforts along the EAAF have focused on species using coastal and tidal areas rather than on species using inland wetlands. Knowledge gaps include functional ecology and physiological responses to quality of food resources, population trends, migratory strategy and the role species play in supporting ecosystems resilience. Studies using remote sensing and geographic information system techniques to track the movements of birds along the flyway and to map habitat condition will prove essential in the future to allow a better understanding of the dynamics occurring at the stopover areas, how birds use resources and what competition pressures exist among species. Ultimately, these studies will contribute to our ability to predict changes and establish management practices for the long-term protection and conservation of the stopover areas for a suite of shorebird species using inland wetlands along the flyway. © CSIRO 2017.
Cloninger's personality dimensions and ADHD : A meta-analytic review
- Authors: Gomez, Rapson , Van Doorn, George , Watson, Shaun , Gomez, Andre , Stavropoulos, Vasileios
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Personality and Individual Differences Vol. 107, no. (2017), p. 219-227
- Full Text: false
- Reviewed:
- Description: A meta-analysis of up to 20 datasets is reported that examined the relationships between Cloninger's personality dimensions and Attention Deficit Hyperactivity Disorder (ADHD). Cloninger's model comprises four temperament (Novelty-Seeking, Harm-Avoidance, Reward Dependence, and Persistence) and three character (Self-Directedness, Cooperation, and Self-Transcendence) dimensions. Major findings were that all personality dimensions, except Self-Transcendence, were significantly associated with ADHD. These associations had different directions and magnitudes of relationship with ADHD. The associations were especially strong for Novelty-Seeking and Self-Directedness, being positive for Novelty-Seeking and negative for Self-Directedness. In addition, the association between ADHD and Persistence was moderated by age (stronger in children than adults) and source (stronger in clinical samples than community samples). Further, the association between harm avoidance and ADHD was moderated by age (strong and significant in adults, but not significant in children). Findings are discussed in relation to past work and the different strengths of the associations found between Cloninger's personality dimensions and ADHD, developmental differences in these relationships, implications for theoretical models of ADHD, the influence of biological and environmental factors in the expression of ADHD, implications for treatment and diagnosis, and the underlying processes for the relationships between personality and ADHD. © 2016 Elsevier Ltd
Eocene-Oligocene coals of the Gippsland and Australo-Antarctic basins – Paleoclimatic and paleogeographic context and implications for the earliest Cenozoic glaciations
- Authors: Holdgate, Guy , Sluiter, Ian , Taglieri, Jessica
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Palaeogeography, Palaeoclimatology, Palaeoecology Vol. 472, no. (2017), p. 236-255
- Full Text: false
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- Description: Australia's Gippsland Basin contains a semi-continuous Eocene-Oligocene (41.5–28.4 Ma) near-coastal coal record that formed adjacent to Pacific Ocean. Traralgon and Morwell Formation brown coals include 4 main seams (T2, T1, T0, M2). Coal seam palynology records show late Middle Eocene (T2) coals formed under megathermic conditions characterized by high-gymnosperm contents, Late Eocene (T1) coals formed under mesothermic conditions characterized by reduced-gymnosperm contents and earliest indications of palaeoclimate cooling. Earliest Oligocene T0 coal record (33.9–31.5 Ma) contains high-gymnosperm palynology profile, very similar to the T2 coals. The earliest indication of cooler climes only begins after this coal formed as indicated by low-gymnosperm high-Nothofagus (southern beech) pollen proportions. We suggest in Gippsland the earliest evidence for major glacial cooling (by inference the Oi1 event) be placed immediately above the T0 coal seam where Early to Late Oligocene Morwell Formation sands, clays and coals contain low counts of gymnosperms (< 10%) but high average proportions of Nothofagus (50%). This is the main definitive indicator that palaeoclimates had cooled between the Eocene and Oligocene. This agrees with the current ocean drilling position of the earliest (Oi1) glacial event shortly above the Eocene-Oligocene boundary. A number of contemporaneous Middle to Late Eocene brown coals occurred in near-coastal settings across 1200 km of southern Australia. Palaeogeographically, all these coal basins faced the Australo-Antarctic Gulf and have a much lower gymnosperm proportion (< 10%), low Nothofagus proportion (< 10%), but very high (non-Nothofagus) angiosperms proportion. This suggests a different climatic regime separated a cooler and wetter Gippsland Basin flora that responded to the cooler Proto-Ross Sea Gyre rotating around a wide Pacific Ocean, and a warm-wet climate associated with a warm proto-Leeuwin current of the Australo-Antarctic Gulf. © 2017 Elsevier B.V.
Equity in healthcare resource allocation decision making : a systematic review
- Authors: Lane, Haylee , Sarkies, Mitchell , Martin, Jennifer , Haines, Terry
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Social Science and Medicine Vol. 175, no. (2017), p. 11-27
- Full Text: false
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- Description: Objective To identify elements of endorsed definitions of equity in healthcare and classify domains of these definitions so that policy makers, managers, clinicians, and politicians can form an operational definition of equity that reflects the values and preferences of the society they serve. Design Systematic review where verbatim text describing explicit and implicit definitions of equity were extracted and subjected to a thematic analysis. Data sources The full holdings of the AMED, CINAHL plus, OVID Medline, Scopus, PsychInfo and ProQuest (ProQuest Health & Medical Complete, ProQuest Nursing and Allied Health Source, ProQuest Social Science Journals) were individually searched in April 2015. Eligibility criteria for selecting studies Studies were included if they provided an original, explicit or implicit definition of equity in regards to healthcare resource allocation decision making. Papers that only cited earlier definitions of equity and provided no new information or extensions to this definition were excluded. Results The search strategy yielded 74 papers appropriate for this review; 60 of these provided an explicit definition of equity, with a further 14 papers discussing implicit elements of equity that the authors endorsed in regards to healthcare resource allocation decision making. Five key themes emerged i) Equalisation across the health service supply/access/outcome chain, ii) Need or potential to benefit, iii) Groupings of equalisation, iv) Caveats to equalisation, and v) Close enough is good enough. Conclusions There is great inconsistency in definitions of equity endorsed by different authors. Operational definitions of equity need to be more explicit in addressing these five thematic areas before they can be directly applied to healthcare resource allocation decisions. © 2016 Elsevier Ltd
Exclusive use spectrum access trading models in cognitive radio networks : A survey
- Authors: Hassan, Md Rakib , Karmakar, Gour , Kamruzzaman, Joarder , Srinivasan, Bala
- Date: 2017
- Type: Text , Journal article , Review
- Relation: IEEE Communications Surveys and Tutorials Vol. 19, no. 4 (2017), p. 2192-2231
- Full Text: false
- Reviewed:
- Description: Spectrum frequency is a valuable resource for wireless communication but very limited in its availability. Due to the extensive use and ever increasing demand of spectrum bands by wireless devices and newer applications, unlicensed band is becoming congested, while licensed bands are found mostly underutilized. To solve this problem of spectrum scarcity, cognitive radio (CR) devices can share licensed bands opportunistically in several ways. We analyze the three main dynamic sharing models (commons, shared-use, and exclusive-use) proposed in literature with extensive analysis of the exclusive-use model, which is the most promising as it provides benefits to both licensed and unlicensed users. In this model, CR-enabled service providers, also known as secondary service providers, can buy or lease spectrum from licensed, known as primary service providers, for both short and long duration and gain exclusive rights to access the spectrum. In this survey paper, exclusive-use trading approaches, namely, game theory, market equilibrium, and classical, hybrid and other models are reviewed extensively and their characteristics and differences are highlighted and compared. We also propose possible future research directions on exclusive-use CR model. © 1998-2012 IEEE.
Exercise interventions for the prevention and treatment of groin pain and injury in athletes : A critical and systematic review
- Authors: Charlton, Paula , Drew, Michael , Mentiplay, Benjamin , Grimaldi, Alison , Clark, Ross
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Sports Medicine Vol. 47, no. 10 (2017), p. 2011-2026
- Full Text: false
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- Description: Background: Groin injury is a common musculoskeletal complaint for athletes competing in a variety of sports. The extent to which exercise interventions incorporating external load are an appropriate option for the treatment and prevention of groin injury in athletes is not yet clear. Objectives: The aim of this review was to describe and evaluate exercise therapy interventions and outcomes for the treatment and prevention of groin injury with specific attention to application of external load. Data Sources: The databases Medline, PubMed, SPORTDiscus, Web of Science, and Cochrane were searched on 18 April 2016. Study Eligibility Criteria: This review was registered as PROSPERO CRD42016037752 and a systematic search was conducted with the following inclusion criteria: any study design evaluating exercise interventions for the prevention or treatment of groin pain in athletes. Data Analysis: Two independent authors screened search results, performed data extraction, assessed risk of bias using the modified Downs and Black appraisal tool and determined strength and level of evidence. Reporting standards for exercise interventions were assessed using the Consensus for Exercise Reporting Template (CERT). Results: A total of 1320 titles were identified with 14 studies satisfying the inclusion criteria, four (29%) of which demonstrated low risk of bias. Ten (71%) studies utilised external load as a component of the exercise intervention. Reporting standards for exercise intervention scores ranged from 0 to 63%. Conclusion: There is limited evidence from level 2 and 3 studies indicating exercise therapy may reduce the incidence and hazard risk of sustaining a groin injury in athletes. There is strong evidence from level 4 studies indicating exercise therapy is beneficial as a treatment for groin injury in athletes in terms of symptom remission, return to sport and recurrence outcomes. However, there are limited studies with low risk of bias, and exercise interventions for the treatment of groin injury are poorly described. © 2017, Springer International Publishing Switzerland.
Eye tracking to investigate cue processing in medical decision making : A scoping review
- Authors: Al-Moteri, Modi , Symmons, Mark , Plummer, Virginia , Cooper, Simon J.
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Computers in Human Behavior Vol. 66, no. (2017), p. 52-66
- Full Text: false
- Reviewed:
- Description: Eye-tracking techniques have been adopted as a research tool for a wide range of applications in healthcare studies. Recently, healthcare researchers have started to show interest in using eye-tracking techniques to study medical decision-making. Mapping the literature pertaining to eye tracking using a systematic approach is valuable at this point to bring together all the studies to date on how medical decision-makers make decisions, and the results may contribute to clinical training. This review follows Arksey and O'Malley's scoping review framework to improve our understanding of visual cue processing in medical decision-making. A diverse range of studies was identified, and the results are presented descriptively to develop a more coherent understanding of different aspects of cue processing and errors in medical decision-making. The review shows the need for more extensive investigations of cue processing and medical decision-making. Crown Copyright (C) 2016 Published by Elsevier Ltd. All rights reserved.
Hip and knee osteoarthritis affects younger people, too
- Authors: Ackerman, Ilana , Kemp, Joanne , Crossley, Kay , Culvenor, Adam , Hinman, Rana
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Journal of Orthopaedic and Sports Physical Therapy Vol. 47, no. 2 (2017), p. 67-79
- Full Text: false
- Reviewed:
- Description: Although osteoarthritis (OA) has traditionally been considered a disease of older age, hip and knee OA can and does affect younger adults, with a profound impact on psychosocial well-being and work capacity. Obesity and a history of traumatic knee injury (eg, anterior cruciate ligament rupture and/or meniscal tear) are key risk factors for the accelerated development of knee OA, while structural hip deformities (including those contributing to femoroacetabular impingement syndrome) are strong predictors of early-onset hip OA. In view of these associations, rising rates of obesity and sports injuries are concerning, and may signal a future surge in OA incidence among younger people. Assessment of hip and knee OA in younger people should focus on a patient-centered history, comprehensive physical examination, performance-based measures, and patient-reported outcome measures to enable monitoring of symptoms and function over time. Referral for imaging should be reserved for people presenting with atypical signs or symptoms that may indicate diagnoses other than OA. Nonpharmacological approaches are core strategies for the management of hip and knee OA in younger people, and these include appropriate disease-related education, activity modifcation (including for work-related tasks), physical therapist-prescribed exercise programs to address identifed physical impairments, and weight control or weight loss. High-quality evidence has shown no beneft of arthroscopy for knee OA, and there are no published clinical trials to support the use of hip arthroscopy for OA. Referral for joint-conserving or joint replacement surgery should be considered when nonpharmacological and pharmacological management strategies are no longer effective. © 2017 Journal of Orthopaedic & Sports Physical Therapy.
Injuries impair the chance of successful performance by sportspeople : A systematic review
- Authors: Drew, Michael , Raysmith, Ben , Charlton, Paula
- Date: 2017
- Type: Text , Journal article , Review
- Relation: British Journal of Sports Medicine Vol. 51, no. 16 (2017), p. 1209-1214
- Full Text: false
- Reviewed:
- Description: Background Cost-benefit analyses have been proposed for determining acceptable risk of injury regarding training and competition participation. Currently, there is no best evidence synthesis of the literature evaluating the relationship between injury/illness and chance of success or failure. Objective To evaluate the relationship between injury and/or illness and success and/or failure in athletic populations (individual and team sports). Methods This review was prospectively registered (PROSPERO CRD42016036729) and a systematic electronic search was conducted in May 2016. Inclusion criterion was any study design describing the association between injury and/or illness and success or failure in athletic performance. Two independent authors screened search results, performed data extraction and assessed methodological quality and strength of evidence using a modified Downs and Black appraisal tool and a modified van Tulder method, respectively. Results Of 10 546 titles identified, 14 satisfied the inclusion criteria and 7 had low risk of bias. Outcome measures associated with success and/or failure included: (1) availability of team members, (2) injury incidence, (3) injury burden, (4) squad utilisation and (5, 6) precompetition and in-competition injury. There was strong evidence that (1) increased availability of team members/athletes decreased the risk of failure and (2) precompetition and in-competition injuries were associated with increased risk of failure. Conclusions Injuries have a detrimental impact on team and individual athletic success. Increased player availability improves chances of success. Conversely, injuries sustained both prior to and during competition may increase risk of failure. Injury prevention should therefore be a priority for maximising athletic performance. © Article author(s) (or their employer(s) unless otherwise stated in the text of the article) 2017. All rights reserved. No commercial use is permitted unless otherwise expressly granted.
Is subsequent lower limb injury associated with previous injury? A systematic review and meta-analysis
- Authors: Toohey, Liam , Drew, Michael , Cook, Jill , Finch, Caroline , Gaida, Jamie
- Date: 2017
- Type: Text , Journal article , Review
- Relation: British Journal of Sports Medicine Vol. 51, no. 23 (2017), p. 1670-1678
- Full Text: false
- Reviewed:
- Description: Background Previous injury is a strong risk factor for recurrent lower limb injury in athletic populations, yet the association between previous injury and a subsequent injury different in nature or location is rarely considered. Objective To systematically review data on the risk of sustaining a subsequent lower limb injury different in nature or location following a previous injury. Methods Eight medical databases were searched. Studies were eligible if they reported lower limb injury occurrence following any injury of a different anatomical site and/or of a different nature, assessed injury risk, contained athletic human participants and were written in English. Two reviewers independently applied the eligibility criteria and performed the risk of bias assessment. Meta-analysis was conducted using a random effects model. Results Twelve studies satisfied the eligibility criteria. Previous history of an ACL injury was associated with an increased risk of subsequent hamstring injury (three studies, RR=2.25, 95% CI 1.34 to 3.76), but a history of chronic groin injury was not associated with subsequent hamstring injury (three studies, RR=1.14, 95% CI 0.29 to 4.51). Previous lower limb muscular injury was associated with an increased risk of sustaining a lower limb muscular injury at a different site. A history of concussion and a variety of joint injuries were associated with an increased subsequent lower limb injury risk. Conclusions The fact that previous injury of any type may increase the risk for a range of lower limb subsequent injuries must be considered in the development of future tertiary prevention programmes. Systematic review registration number CRD42016039904 (PROSPERO). © Article author(s) (or their employer(s) unless otherwise stated in the text of the article) 2017. All rights reserved. No commercial use is permitted unless otherwise expressly granted.
Is that the light at the end of the tunnel, or is it an oncoming train? : An obsession with obvious workplace hazards may blind us to approaching catastrophe
- Authors: Young, Stephen , Blitvich, Jennifer , Naiker, Mani , Aldred, Peter
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Journal of Health, Safety and Environment Vol. 33, no. 1 (2017), p. 1-17
- Full Text: false
- Reviewed:
- Description: A mixed method survey of owners of commercial breweries in Victoria and Tasmania (Australia) was conducted (n = 45). The purpose of the study was to gain an understanding of how the breweries mitigated for the hazards they identified - in particular, asphyxiation from elevated levels of CO 2 . The survey comprised a questionnaire regarding the breweries' age, staff numbers, how brewery owners assessed a 'significant' hazard, and their methods of recognition and mitigation of the CO 2 hazard. The research methodology also encouraged and recorded qualitative responses. The research intended to gain an understanding of how the breweries mitigated for the hazards they identified - in particular, asphyxiation from elevated levels of CO 2 . Contradictions between the respondents' questionnaire (quantitative) and qualitative responses were noted. A discontinuity between the respondents' awareness of potential Class I injuries and their safety processes was discussed - in particular, the distinction between high frequency and high consequence hazards. Accordingly, the paper suggests a "polar area" graph for mapping hazards in small businesses generally, to highlight rare but potentially catastrophic injuries among known industry hazards. © CCH.
Research on capital structure determinants : A review and future directions
- Authors: Kumar, Satish , Colombage, Sisira , Rao, Purnima
- Date: 2017
- Type: Text , Journal article , Review
- Relation: International Journal of Managerial Finance Vol. 13, no. 2 (2017), p. 106-132
- Full Text: false
- Reviewed:
- Description: Purpose: The purpose of this paper is to study the status of studies on capital structure determinants in the past 40 years. This paper highlights the major gaps in the literature on determinants of capital structure and also aims to raise specific questions for future research. Design/methodology/approach: The prominence of research is assessed by studying the year of publication and region, level of economic development, firm size, data collection methods, data analysis techniques and theoretical models of capital structure from the selected papers. The review is based on 167 papers published from 1972 to 2013 in various peer-reviewed journals. The relationship of determinants of capital structure is analyzed with the help of meta-analysis. Findings: Major findings show an increase of interest in research on determinants of capital structure of the firms located in emerging markets. However, it is observed that these regions are still under-examined which provides more scope for research both empirical and survey-based studies. Majority of research studies are conducted on large-sized firms by using secondary data and regression-based models for the analysis, whereas studies on small-sized firms are very meager. As majority of the research papers are written only at the organizational level, the impact of leverage on various industries is yet to be examined. The review highlights the major determinants of capital structure and their relationship with leverage. It also reveals the dominance of pecking order theory in explaining capital structure of firms theoretically as well as statistically. Originality/value: The paper covers a considerable period of time (1972-2013). Among very few review papers on capital structure research, to the best of authors’ knowledge; this is the first review to identify what is missing in the literature on the determinants of capital structure while offering recommendations for future studies. It also synthesize the findings of empirical studies on determinants of capital structure statistically. © 2017, © Emerald Publishing Limited.
Revision of the competency standards for occupational therapy driver assessors : an overview of the evidence for the inclusion of cognitive and perceptual assessments within fitness-to-drive evaluations
- Authors: Fields, Sally , Unsworth, Carolyn
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Australian Occupational Therapy Journal Vol. 64, no. 4 (2017), p. 328-339
- Full Text: false
- Reviewed:
- Description: Background/aim: Determination of fitness-to-drive after illness or injury is a complex process typically requiring a comprehensive driving assessment, including off-road and on-road assessment components. The competency standards for occupational therapy driver assessors (Victoria, Australia) define the requirements for performance of a comprehensive driving assessment, and we are currently revising these. Assessment of cognitive and perceptual skills forms an important part of the off-road assessment. The aim of this systematic review of systematic reviews (known as an overview) is to identify what evidence exists for including assessment of cognitive and perceptual skills within fitness-to-drive evaluations to inform revision of the competency standards. Methods: Five electronic databases (MEDLINE, CINAHL, PsycINFO, The Cochrane Library, OT Seeker) were systematically searched. Systematic review articles were appraised by two authors for eligibility. Methodological quality was independently assessed using the AMSTAR tool. Narrative analysis was conducted to summarise the content of eligible reviews. Results: A total of 1228 results were retrieved. Fourteen reviews met the inclusion criteria. Reviews indicated that the components of cognition and perception most frequently identified as being predictive of fitness-to-drive were executive function (n = 13), processing speed (n = 12), visuospatial skills, attention, memory and mental flexibility (n = 11). Components less indicative were perception, concentration (n = 10), praxis (n = 9), language (n = 7) and neglect (n = 6). Conclusion: This overview of systematic reviews supports the inclusion of assessment of a range of cognitive and perceptual skills as key elements in a comprehensive driver assessment and therefore should be included in the revised competency standards for occupational therapy driver assessors. © 2017 Occupational Therapy Australia
Risk of post-fire metal mobilization into surface water resources : A review
- Authors: Abraham, Joji , Dowling, Kim , Florentine, Singarayer
- Date: 2017
- Type: Text , Journal article , Review
- Relation: Science of the Total Environment Vol. 599-600, no. (2017), p. 1740-1755
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- Description: One of the significant economic benefits to communities around the world of having pristine forest catchments is the supply of substantial quantities of high quality potable water. This supports a saving of around US$ 4.1 trillion per year globally by limiting the cost of expensive drinking water treatments and provision of unnecessary infrastructure. Even low levels of contaminants specifically organics and metals in catchments when in a mobile state can reduce these economic benefits by seriously affecting the water quality. Contamination and contaminant mobility can occur through natural and anthropogenic activities including forest fires. Moderate to high intensity forest fires are able to alter soil properties and release sequestered metals from sediments, soil organic matter and fragments of vegetation. In addition, the increase in post-fire erosion rate by rainfall runoff and strong winds facilitates the rapid transport of these metals downslope and downstream. The subsequent metal deposition in distal soil and water bodies can influence surface water quality with potential impacts to the larger ecosystems inclusive of negative effects on humans. This is of substantial concern as 4 billion hectares of forest catchments provide high quality water to global communities. Redressing this problem requires quantification of the potential effects on water resources and instituting rigorous fire and environmental management plans to mitigate deleterious effects on catchment areas. This paper is a review of the current state of the art literature dealing with the risk of post-fire mobilization of the metals into surface water resources. It is intended to inform discussion on the preparation of suitable management plans and policies during and after fire events in order to maintain potable water quality in a cost-effective manner. In these times of climate fluctuation and increased incidence of fires, the need for development of new policies and management frameworks are of heighted significance. © 2017 Elsevier B.V.