Developing entrustable professional activities to enhance application of an aggression prevention protocol
- Maguire, Tessa, Willetts, Georgina, McKenna, Brian, Daffern, Michael, Garvey, Loretta
- Authors: Maguire, Tessa , Willetts, Georgina , McKenna, Brian , Daffern, Michael , Garvey, Loretta
- Date: 2023
- Type: Text , Journal article
- Relation: Nurse Education in Practice Vol. 73, no. (2023), p.
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- Description: Aim: The research aim of this study was to seek feedback from prevention of aggression training experts about the suitability of Entrustable Professional Activities (EPAs) as an assessment tool for an Aggression Prevention Protocol. The protocol was designed to structure intervention to prevent aggression and reduce the use of restrictive practices following risk assessment using a validated instrument (the Dynamic Appraisal of Situational Aggression). Background: Preventing aggression and limiting the use of restrictive practices are key priorities for inpatient mental health services. Assessing clinical activities using a competence framework has limitations, particularly when determining complex interventions. EPAs could provide a suitable method for assessing complex clinical activities like de-escalation and limit setting, which comprise some of the interventions in the Aggression Prevention Protocol. EPAs are new to forensic mental health nursing; therefore, feedback was sought regarding the utility of EPAs to assess aggression prevention interventions. Methods: Data were collected via focus groups including 11 aggression prevention experts from Australia and New Zealand. A thematic analysis, comparative analysis and a Strength, Weakness, Opportunity and Threats analysis was conducted. Results: Three themes were interpreted from the data: 1) Frameworks such as the APP are needed to work towards elimination of restrictive practices; 2) APP-EPAs afford an opportunity to set the standard for practice; and 3) ‘who watches the watchers’, were identified by the experts as well as areas to enhance EPAs prior to introduction into practice. Conclusions: EPAs address a practice-gap and offer a framework to assist movement towards elimination of restrictive practices, while prompting best-practice, self-reflection and practice improvement guidance. © 2023
- Authors: Maguire, Tessa , Willetts, Georgina , McKenna, Brian , Daffern, Michael , Garvey, Loretta
- Date: 2023
- Type: Text , Journal article
- Relation: Nurse Education in Practice Vol. 73, no. (2023), p.
- Full Text:
- Reviewed:
- Description: Aim: The research aim of this study was to seek feedback from prevention of aggression training experts about the suitability of Entrustable Professional Activities (EPAs) as an assessment tool for an Aggression Prevention Protocol. The protocol was designed to structure intervention to prevent aggression and reduce the use of restrictive practices following risk assessment using a validated instrument (the Dynamic Appraisal of Situational Aggression). Background: Preventing aggression and limiting the use of restrictive practices are key priorities for inpatient mental health services. Assessing clinical activities using a competence framework has limitations, particularly when determining complex interventions. EPAs could provide a suitable method for assessing complex clinical activities like de-escalation and limit setting, which comprise some of the interventions in the Aggression Prevention Protocol. EPAs are new to forensic mental health nursing; therefore, feedback was sought regarding the utility of EPAs to assess aggression prevention interventions. Methods: Data were collected via focus groups including 11 aggression prevention experts from Australia and New Zealand. A thematic analysis, comparative analysis and a Strength, Weakness, Opportunity and Threats analysis was conducted. Results: Three themes were interpreted from the data: 1) Frameworks such as the APP are needed to work towards elimination of restrictive practices; 2) APP-EPAs afford an opportunity to set the standard for practice; and 3) ‘who watches the watchers’, were identified by the experts as well as areas to enhance EPAs prior to introduction into practice. Conclusions: EPAs address a practice-gap and offer a framework to assist movement towards elimination of restrictive practices, while prompting best-practice, self-reflection and practice improvement guidance. © 2023
Developing rights-based standards for children having tests, treatments, examinations and interventions: using a collaborative, multi-phased, multi-method and multi-stakeholder approach to build consensus
- Bray, Lucy, Carter, Bernie, Kiernan, Joann, Horowicz, Ed, Dixon, Katie, Ridley, James, Robinson, Carol, Simmons, Anna, Craske, Jennie, Sinha, Stephanie, Morton, Liza, Nafria, Begonya, Forsner, Maria, Rullander, Anna-Clara, Nilsson, Stefan, Darcy, Laura, Karlsson, Katarina, Hubbuck, Cath, Brenner, Maria, Spencer-Little, Sian, Evans, Kath, Rowland, Andrew, Hilliard, Carol, Preston, Jennifer, Leroy, Piet, Roland, Damian, Booth, Lisa, Davies, Jean, Saron, Holly, Peck, Blake
- Authors: Bray, Lucy , Carter, Bernie , Kiernan, Joann , Horowicz, Ed , Dixon, Katie , Ridley, James , Robinson, Carol , Simmons, Anna , Craske, Jennie , Sinha, Stephanie , Morton, Liza , Nafria, Begonya , Forsner, Maria , Rullander, Anna-Clara , Nilsson, Stefan , Darcy, Laura , Karlsson, Katarina , Hubbuck, Cath , Brenner, Maria , Spencer-Little, Sian , Evans, Kath , Rowland, Andrew , Hilliard, Carol , Preston, Jennifer , Leroy, Piet , Roland, Damian , Booth, Lisa , Davies, Jean , Saron, Holly , Peck, Blake
- Date: 2023
- Type: Text , Journal article
- Relation: European Journal of Pediatrics Vol. 182, no. 10 (2023), p. 4707-4721
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- Description: Children continue to experience harm when undergoing clinical procedures despite increased evidence of the need to improve the provision of child-centred care. The international ISupport collaboration aimed to develop standards to outline and explain good procedural practice and the rights of children within the context of a clinical procedure. The rights-based standards for children undergoing tests, treatments, investigations, examinations and interventions were developed using an iterative, multi-phased, multi-method and multi-stakeholder consensus building approach. This consensus approach used a range of online and face to face methods across three phases to ensure ongoing engagement with multiple stakeholders. The views and perspectives of 203 children and young people, 78 parents and 418 multi-disciplinary professionals gathered over a two year period (2020–2022) informed the development of international rights-based standards for the care of children having tests, treatments, examinations and interventions. The standards are the first to reach international multi-stakeholder consensus on definitions of supportive and restraining holds. Conclusion: This is the first study of its kind which outlines international rights-based procedural care standards from multi-stakeholder perspectives. The standards offer health professionals and educators clear evidence-based tools to support discussions and practice changes to challenge prevailing assumptions about holding or restraining children and instead encourage a focus on the interests and rights of the child. What is Known: • Children continue to experience short and long-term harm when undergoing clinical procedures despite increased evidence of the need to improve the provision of child-centred care. • Professionals report uncertainty and tensions in applying evidence-based practice to children’s procedural care. What is New: • This is the first study of its kind which has developed international rights-based procedural care standards from multi-stakeholder perspectives. • The standards are the first to reach international multi-stakeholder consensus on definitions of supportive and restraining holds. © 2023, The Author(s). **Please note that there are multiple authors for this article therefore only the name of the first 30 including Federation University Australia affiliate “Blake Peck” is provided in this record**
- Authors: Bray, Lucy , Carter, Bernie , Kiernan, Joann , Horowicz, Ed , Dixon, Katie , Ridley, James , Robinson, Carol , Simmons, Anna , Craske, Jennie , Sinha, Stephanie , Morton, Liza , Nafria, Begonya , Forsner, Maria , Rullander, Anna-Clara , Nilsson, Stefan , Darcy, Laura , Karlsson, Katarina , Hubbuck, Cath , Brenner, Maria , Spencer-Little, Sian , Evans, Kath , Rowland, Andrew , Hilliard, Carol , Preston, Jennifer , Leroy, Piet , Roland, Damian , Booth, Lisa , Davies, Jean , Saron, Holly , Peck, Blake
- Date: 2023
- Type: Text , Journal article
- Relation: European Journal of Pediatrics Vol. 182, no. 10 (2023), p. 4707-4721
- Full Text:
- Reviewed:
- Description: Children continue to experience harm when undergoing clinical procedures despite increased evidence of the need to improve the provision of child-centred care. The international ISupport collaboration aimed to develop standards to outline and explain good procedural practice and the rights of children within the context of a clinical procedure. The rights-based standards for children undergoing tests, treatments, investigations, examinations and interventions were developed using an iterative, multi-phased, multi-method and multi-stakeholder consensus building approach. This consensus approach used a range of online and face to face methods across three phases to ensure ongoing engagement with multiple stakeholders. The views and perspectives of 203 children and young people, 78 parents and 418 multi-disciplinary professionals gathered over a two year period (2020–2022) informed the development of international rights-based standards for the care of children having tests, treatments, examinations and interventions. The standards are the first to reach international multi-stakeholder consensus on definitions of supportive and restraining holds. Conclusion: This is the first study of its kind which outlines international rights-based procedural care standards from multi-stakeholder perspectives. The standards offer health professionals and educators clear evidence-based tools to support discussions and practice changes to challenge prevailing assumptions about holding or restraining children and instead encourage a focus on the interests and rights of the child. What is Known: • Children continue to experience short and long-term harm when undergoing clinical procedures despite increased evidence of the need to improve the provision of child-centred care. • Professionals report uncertainty and tensions in applying evidence-based practice to children’s procedural care. What is New: • This is the first study of its kind which has developed international rights-based procedural care standards from multi-stakeholder perspectives. • The standards are the first to reach international multi-stakeholder consensus on definitions of supportive and restraining holds. © 2023, The Author(s). **Please note that there are multiple authors for this article therefore only the name of the first 30 including Federation University Australia affiliate “Blake Peck” is provided in this record**
Development and validation of the feminist social identity scale
- Poll, Alex, Critchley, Christine
- Authors: Poll, Alex , Critchley, Christine
- Date: 2023
- Type: Text , Journal article
- Relation: Current psychology Vol. 42, no. 15 (2023), p. 12614-12629
- Full Text: false
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- Description: Feminist identity is a multidimensional construct, associated with significant physical and psychological outcomes. Despite this, it has previously been largely conceptualised and measured as unidimensional. To address this limitation, we developed a multidimensional measure of feminist identity using the framework of social identity theory. A total of 1493 respondents (81.8% women, 16.6% men, 1.5% other genders) aged between 18 and 75 years ( M= 31.55, SD =11.37) completed an online survey. Following Confirmatory Factor Analysis, expert evaluation ( N = 21), and testing of the model in a separate sample ( N = 504), the Feminist Social Identity Scale (FSIS) was created. The FSIS is comprised of 36-items which measure feminist identity across 12 subscales and has excellent internal consistency, test-retest reliability, and validity indices. Latent Class Analysis revealed that the FSIS successfully distinguishes between different levels of feminist identity. The FSIS will aid future researchers to examine feminist identity as a multidimensional construct, avoiding the limitations of single construct measures.
Development of a long-term climatology of tropical 1 cyclones and depressions for the South Pacific 2 Ocean basin
- Authors: Yeasmin, Alea
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: Tropical cyclones (TCs) are one of the most destructive synoptic systems that can cause enormous loss of life and property damages in the South Pacific Island nations. The impact of tropical depressions (TDs, i.e., weaker systems that do not develop into TCs) can also be staggering in the region in terms of heavy flooding and landslides, but a lack of complete records (reliable data prior to 1950) often hinders research involving TD impacts. A methodology has been developed here to detect TDs in the ERA-5 (the fifth generation European Centre for Medium-Range Weather Forecasts-ECMWF atmospheric reanalysis of the global climate) and 20CR (the Twentieth Century Reanalysis) dataset using the Okubo–Weiss–Zeta parameter (OWZP) detection scheme. The new South Pacific Enhanced Archive for Tropical Cyclones dataset (SPEArTC), the Dvorak analysis of satellite-based cloud patterns over the South Pacific Ocean basin, rainfall dataset for various stations in the South Pacific and historical archives have been utilised to validate ERA5/20CR-derived TCs and TDs. Results indicate that the OWZP method shows substantial skill in capturing the realistic climatological distribution of TCs and TDs for the South Pacific Ocean in both reanalyses dataset. The 20CR-derived TCs and TDs resemble several key characteristics of the observational records, including spatial distribution of genesis locations and track shapes. This gives us confidence that the 20CR-derived long-term records of TCs and TDs can serve as an effective tool for examining historical changes in various characteristics of TCs and TDs, particularly in the context of anthropogenic climate change. Utilizing the reconstructed proxies of TCs and TDs, their climatic connections with the El Niño Southern Oscillation (ENSO), the Interdecadal Pacific Oscillation (IPO), and the combined ENSO-IPO phases have been examined. Results show clear spatial shifts in TC activity between La Niña and El Niño phases with activity in the region 1400-1700E (1700-2200E) occurring during La Niña (El Niño) events. However, when IPO is considered synergistically with ENSO phases, we found that the combination of El Niño and the positive phase of IPO (+IPO) substantially enhances TC numbers (may be artifact influence) in both domains, noting the modulation between the two phases themselves. Similarly, La Niña and the negative phase of the IPO (-IPO) is found to enhance TC numbers in 1400-1700E. It is shown for the first time that the combined phases of El Niño and +IPO account for increased TC activity, as opposed to the combined phase of La Niña and -IPO, in the eastern sub-region. Similarly, the combined phase of La Niña and +IPO, as opposed to the combined phase of El Niño and -IPO, account for increased TC activity in the western sub-region. However, unlike TCs, the patterns of ENSO variability seem to be reversed for TDs. Changes in large-scale environmental conditions, such as environmental vertical wind shear, low-level cyclonic relative vorticity, mid-tropospheric relative humidity and sea surface temperature are linked to the various modes of variability patterns and their synergistic relationships. Results can have substantial implications, particularly on the predictability of TCs and TDs associated with the two important modes of natural variability in the South Pacific.
- Description: Doctor of Philosophy
- Authors: Yeasmin, Alea
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: Tropical cyclones (TCs) are one of the most destructive synoptic systems that can cause enormous loss of life and property damages in the South Pacific Island nations. The impact of tropical depressions (TDs, i.e., weaker systems that do not develop into TCs) can also be staggering in the region in terms of heavy flooding and landslides, but a lack of complete records (reliable data prior to 1950) often hinders research involving TD impacts. A methodology has been developed here to detect TDs in the ERA-5 (the fifth generation European Centre for Medium-Range Weather Forecasts-ECMWF atmospheric reanalysis of the global climate) and 20CR (the Twentieth Century Reanalysis) dataset using the Okubo–Weiss–Zeta parameter (OWZP) detection scheme. The new South Pacific Enhanced Archive for Tropical Cyclones dataset (SPEArTC), the Dvorak analysis of satellite-based cloud patterns over the South Pacific Ocean basin, rainfall dataset for various stations in the South Pacific and historical archives have been utilised to validate ERA5/20CR-derived TCs and TDs. Results indicate that the OWZP method shows substantial skill in capturing the realistic climatological distribution of TCs and TDs for the South Pacific Ocean in both reanalyses dataset. The 20CR-derived TCs and TDs resemble several key characteristics of the observational records, including spatial distribution of genesis locations and track shapes. This gives us confidence that the 20CR-derived long-term records of TCs and TDs can serve as an effective tool for examining historical changes in various characteristics of TCs and TDs, particularly in the context of anthropogenic climate change. Utilizing the reconstructed proxies of TCs and TDs, their climatic connections with the El Niño Southern Oscillation (ENSO), the Interdecadal Pacific Oscillation (IPO), and the combined ENSO-IPO phases have been examined. Results show clear spatial shifts in TC activity between La Niña and El Niño phases with activity in the region 1400-1700E (1700-2200E) occurring during La Niña (El Niño) events. However, when IPO is considered synergistically with ENSO phases, we found that the combination of El Niño and the positive phase of IPO (+IPO) substantially enhances TC numbers (may be artifact influence) in both domains, noting the modulation between the two phases themselves. Similarly, La Niña and the negative phase of the IPO (-IPO) is found to enhance TC numbers in 1400-1700E. It is shown for the first time that the combined phases of El Niño and +IPO account for increased TC activity, as opposed to the combined phase of La Niña and -IPO, in the eastern sub-region. Similarly, the combined phase of La Niña and +IPO, as opposed to the combined phase of El Niño and -IPO, account for increased TC activity in the western sub-region. However, unlike TCs, the patterns of ENSO variability seem to be reversed for TDs. Changes in large-scale environmental conditions, such as environmental vertical wind shear, low-level cyclonic relative vorticity, mid-tropospheric relative humidity and sea surface temperature are linked to the various modes of variability patterns and their synergistic relationships. Results can have substantial implications, particularly on the predictability of TCs and TDs associated with the two important modes of natural variability in the South Pacific.
- Description: Doctor of Philosophy
- Meaklim, Hailey, Rehm, Imogen, Junge, Moira, Monfries, Melissa, Kennedy, Gerard, Bucks, Romola, Meltzer, Lisa, Jackson, Melinda
- Authors: Meaklim, Hailey , Rehm, Imogen , Junge, Moira , Monfries, Melissa , Kennedy, Gerard , Bucks, Romola , Meltzer, Lisa , Jackson, Melinda
- Date: 2023
- Type: Text , Journal article
- Relation: Behavioral Sleep Medicine Vol. 21, no. 6 (2023), p. 787-801
- Full Text: false
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- Description: Objectives: Despite the clear influence of poor sleep on mental health, sleep education has been neglected in psychology training programs. Here, we develop a novel behavioral sleep medicine (BSM) education workshop, the Sleep Psychology Workshop, designed for integration within graduate psychology programs. We also examined the potential efficacy and acceptability of the workshop to upskill trainee psychologists in sleep and insomnia management. Methods: The Sleep Psychology Workshop was developed using a modified Delphi Method. Eleven trainee psychologists completing their Master of Psychology degrees (90% female, 24.4 ± 1.6 years old) attended the workshop, delivered as three, two-hour lectures (total of six hours). Sleep knowledge, attitudes, and practice assessments were completed pre-and post-intervention using the GradPsyKAPS Questionnaire. A focus group and 6-month follow-up survey captured feedback and qualitative data. Results: Trainees’ sleep knowledge quiz scores (% correct) increased from 60% to 79% pre- to post-workshop (p =.002). Trainees’ self-efficacy to use common sleep-related assessment instruments and empirically supported interventions to manage sleep disturbances increased, along with their confidence to manage insomnia (all p < .02). Participant feedback was positive, with 91% of trainees rating the workshop as “excellent” and qualitative data highlighting trainees developing practical skills in BSM. Six months post-intervention, 100% of trainees endorsed routinely asking their clients about sleep, with 82% reporting improvements in their own sleep. Conclusions: The Sleep Psychology Workshop is a potentially effective and acceptable introductory BSM education program for trainee psychologists, ready for integration within the graduate psychology curriculum. © 2023 Taylor & Francis Group, LLC.
Development of scaled boundary finite element method for geotechnical and mining engineering
- Authors: Wijesinghe, Dakshith
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text: false
- Description: Numerical methods are a mature field of research and have become an increasingly important tool in mining and geotechnical engineering design practices. Although the advantages of numerical methods in aiding the analysis and solving practical engineering problems have been widely accepted and recognised, there is still a gap for further improvements. One such area is the challenge to consider the complexities of geology and the lack of stratigraphic information in the numerical model. Failure to include geological complexities may lead to overestimating the analysis parameters, such as the safety factor. These difficulties mainly manifest in the form of complex mesh generation due to the need to integrate spatial variable material parameters, capturing complex geological features, requirement of additional meshing algorithms, high human involvement, and long processing time. The scaled boundary finite element method (SBFEM) is a semi-analytical method that has potential to address these types of problems. This thesis focuses on developing the SBFEM to address these challenges so that complex geotechnical and mining engineering can be better modelled. Optimisation problems in geotechnical and mining engineering are also considered by developing a combined SBFEM-genetic algorithm framework for the design and rehabilitation of slopes. To begin with, an image-based mesh generation procedure is developed to automatically integrate the spatially variable material parameters into a computational mesh. The procedure allows the input of large data sets of geological and geometrical information in image format, and the mapping procedure enables the concatenation of any number of material parameters into a single computational mesh. The scaled boundary finite element formulation is used to discretise the governing equations of elasto-plasticity considering a Mohr-Coulomb failure criterion, which is common in soils. A shear strength reduction technique is implemented to analyse the stability of slopes in the form of an output Factor of Safety. The developed method is shown to allow routine changes in the operation of the slopes to consider geometric changes, such as backfilling, excavation and updates to geological sublets, by simply editing the digital image inputs. To extend the SBFEM to more complex geotechnical and mining engineering applications, a formulation that considers the coupled effect of pore pressure and nonlinear deformation of the soil is developed. The image-based mesh generation procedure is incorporated to integrate the geological complexities, which include heterogeneity of strate and phreatic surfaces. The developed technique is applied to study complex case studies of a tailings dam embankment construction and a coal slope rehabilitation project with a construction period. The research also considers geometric optimisation problems within the context of geotechnical and mining engineering applications. Geometric optimisation of slopes such as those in open cut mines is important to reduce the overhead operational cost involved in construction, excavation and rehabilitation backfilling, while ensuring stability at an acceptable level. This is achieved by developing a unified platform combining genetic algorithm (GA) with scaled boundary finite element formulations and image-based meshing procedures. Since the image-based mesh generation procedure is an automatic process, it enables automation of the optimisation, which is an iterative proceeding. The capabilities of this technique are demonstrated by optimising the geometric parameters of complex slopes for given safety factors and rehabilitation geometries for given safety factors during a given construction period. The image-based SBFEM analysis platform is further developed to consider geological uncertainty, such as stratigraphic interfaces and phreatic surface fluctuations, so that their effect on slope stability can be studied. The Brownian bridge statistic technique is integrated into the pre-processing module to produce these instances reflecting the ranii dom fluctuations between two intervals and generate possible geological and hydrological cross-sections. This allows unknown geological stratigraphic interface fluctuation due to a lack of sublet information to be considered. The scaled boundary finite element formulations developed in the earlier parts of this thesis are used to discretise each generated profile and analysis probabilistically. Since the mesh generation method is fully automatic, this probabilistic analysis procedure enables to analyse of a large number of possible variations and their effect on geotechnical structures with limited human intervention. Few parametric studies were conducted on slopes to study the impact of stratigraphic and phreatic surface fluctuation on the probability of failure. Finally, the hydraulic fracture commonly seen in geotechnical and mining engineering applications is considered. The phase field has the potential to model complex fracture mechanisms including crack nucleation, branching and coalescence. However, it requires a very fine mesh in order to accurately regularise the energy resulting from the creation of new crack faces. This leads to longer processing time and high computational requirements. Moreover, fracture propagation modelling with phase field models requires equilibrium iterations and hence repetitive calculation of element matrices. This research develops a scaled boundary finite element formulation with phase field model to address hydraulic fracture problems in fully-saturated poro-elastic media. Adaptive meshing refinement based on quadtree meshes is applied. This restricts the fine mesh requirement to only the regions where damage is present and avoids the need for a very fine mesh throughout the structure. Further, leveraging from the unique number of patterns in a hierarchical mesh, an appropriate scaling technique is applied to transform the relevant matrices and vectors to the physical cell in the mesh. This avoids the need for repetitive calculations during the equilibrium iterations. These features increase the efficiency of fracture modelling while reducing the computational requirement. The benchmark problems and complex fracture network problems are provided to highlight the advantage of the method.
- Description: Doctor of Philosophy
Device agent assisted blockchain leveraged framework for Internet of Things
- Nasrullah, Tarique, Islam, Md Manowarul, Uddin, Md Ashraf, Khan, Md Anisauzzaman, Layek, Md Abu, Stranieri, Andrew, Huh, Eui-Nam
- Authors: Nasrullah, Tarique , Islam, Md Manowarul , Uddin, Md Ashraf , Khan, Md Anisauzzaman , Layek, Md Abu , Stranieri, Andrew , Huh, Eui-Nam
- Date: 2023
- Type: Text , Journal article
- Relation: IEEE Access Vol. 11, no. (2023), p. 1254-1268
- Full Text:
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- Description: Blockchain (BC) is a burgeoning technology that has emerged as a promising solution to peer-to-peer communication security and privacy challenges. As a revolutionary technology, blockchain has drawn the attention of academics and researchers. Cryptocurrencies have already effectively utilized BC technology. Many researchers have sought to implement this technique in different sectors, including the Internet of Things. To store and manage IoT data, we present in this paper a lightweight BC-based architecture with a modified raft algorithm-based consensus protocol. We designed a Device Agent that executes a novel registration procedure to connect IoT devices to the blockchain. We implemented the framework on Docker using the Go programming language. We have simulated the framework on a Linux environment hosted in the cloud. We have conducted a detailed performance analysis using a variety of measures. The results demonstrate that our suggested solution is suitable for facilitating the management of IoT data with increased security and privacy. In terms of throughput and block generation time, the results indicate that our solution might be 40% to 45% faster than the existing blockchain. © 2013 IEEE.
- Authors: Nasrullah, Tarique , Islam, Md Manowarul , Uddin, Md Ashraf , Khan, Md Anisauzzaman , Layek, Md Abu , Stranieri, Andrew , Huh, Eui-Nam
- Date: 2023
- Type: Text , Journal article
- Relation: IEEE Access Vol. 11, no. (2023), p. 1254-1268
- Full Text:
- Reviewed:
- Description: Blockchain (BC) is a burgeoning technology that has emerged as a promising solution to peer-to-peer communication security and privacy challenges. As a revolutionary technology, blockchain has drawn the attention of academics and researchers. Cryptocurrencies have already effectively utilized BC technology. Many researchers have sought to implement this technique in different sectors, including the Internet of Things. To store and manage IoT data, we present in this paper a lightweight BC-based architecture with a modified raft algorithm-based consensus protocol. We designed a Device Agent that executes a novel registration procedure to connect IoT devices to the blockchain. We implemented the framework on Docker using the Go programming language. We have simulated the framework on a Linux environment hosted in the cloud. We have conducted a detailed performance analysis using a variety of measures. The results demonstrate that our suggested solution is suitable for facilitating the management of IoT data with increased security and privacy. In terms of throughput and block generation time, the results indicate that our solution might be 40% to 45% faster than the existing blockchain. © 2013 IEEE.
Dexamethasone leads to Zn2+ accumulation and increased unbound Zn2+ in C2C12 muscle and 3T3-L1 adipose cells
- Maier, Michelle, Nankervis, Scott, Wallace, Morgan, Develyn, Tamekha, Myers, Mark
- Authors: Maier, Michelle , Nankervis, Scott , Wallace, Morgan , Develyn, Tamekha , Myers, Mark
- Date: 2023
- Type: Text , Journal article
- Relation: Journal of Cellular Biochemistry Vol. 124, no. 3 (2023), p. 409-420
- Full Text:
- Reviewed:
- Description: Skeletal muscle atrophy is associated with increases in circulating glucocorticoid levels and insulin resistance. Zinc accumulates in atrophic muscle, but the relationship between atrophy, insulin resistance, and Zn2+ homeostasis remains unclear. In this study, the effect of the glucocorticoid dexamethasone (DEX) on insulin and Zn2+ homeostasis was explored. Treatment of differentiated C2C12 skeletal myotubes and 3T3-L1 adipocytes with DEX significantly increased mRNA expression of the metal-binding proteins Mt1 and 2 and altered energy storage as shown by the increased size of lipid droplets in 3T3-L1 cells. In C2C12 cells the total cellular Zn2+ was higher after DEX treatment, and in both C2C12 and 3T3-L1 adipocytes, free unbound Zn2+ was increased. Insulin treatment led to a gradual increase in free Zn2+ in C2C12 cells, and no significant change in DEX-treated cells such that concentrations were similar 10 min after insulin treatment. These data demonstrate that DEX disturbs Zn2+ homeostasis in muscle and fat cells. Further study of the molecular pathways involved to identify novel therapeutic targets for treatment of skeletal muscle atrophy is warranted. © 2023 The Authors. Journal of Cellular Biochemistry published by Wiley Periodicals LLC.
- Authors: Maier, Michelle , Nankervis, Scott , Wallace, Morgan , Develyn, Tamekha , Myers, Mark
- Date: 2023
- Type: Text , Journal article
- Relation: Journal of Cellular Biochemistry Vol. 124, no. 3 (2023), p. 409-420
- Full Text:
- Reviewed:
- Description: Skeletal muscle atrophy is associated with increases in circulating glucocorticoid levels and insulin resistance. Zinc accumulates in atrophic muscle, but the relationship between atrophy, insulin resistance, and Zn2+ homeostasis remains unclear. In this study, the effect of the glucocorticoid dexamethasone (DEX) on insulin and Zn2+ homeostasis was explored. Treatment of differentiated C2C12 skeletal myotubes and 3T3-L1 adipocytes with DEX significantly increased mRNA expression of the metal-binding proteins Mt1 and 2 and altered energy storage as shown by the increased size of lipid droplets in 3T3-L1 cells. In C2C12 cells the total cellular Zn2+ was higher after DEX treatment, and in both C2C12 and 3T3-L1 adipocytes, free unbound Zn2+ was increased. Insulin treatment led to a gradual increase in free Zn2+ in C2C12 cells, and no significant change in DEX-treated cells such that concentrations were similar 10 min after insulin treatment. These data demonstrate that DEX disturbs Zn2+ homeostasis in muscle and fat cells. Further study of the molecular pathways involved to identify novel therapeutic targets for treatment of skeletal muscle atrophy is warranted. © 2023 The Authors. Journal of Cellular Biochemistry published by Wiley Periodicals LLC.
Diatom index of Galela Lake, Halmahera, Indonesia in relation to human activities
- Soeprobowati, Tri, Saraswati, Tyas, Jumari, Jumari, Sari, Kenanga, Gell, Peter
- Authors: Soeprobowati, Tri , Saraswati, Tyas , Jumari, Jumari , Sari, Kenanga , Gell, Peter
- Date: 2023
- Type: Text , Journal article
- Relation: International Journal of Environmental Science and Technology Vol. 20, no. 7 (2023), p. 7707-7722
- Full Text: false
- Reviewed:
- Description: Diatoms, silicious microalgae, have been used successfully as bioindicators of water quality assessment in aquatic ecosystems. Diatoms have a degree of tolerance to the water quality and some diatoms are a good indicator for several water quality variables. Diatom indices have been developed to assess river water quality, mostly in Europe. This study aims to apply diatom indices developed in Europe for the tropical lake of Galela adjacent to residential areas influenced by human activities. Galela Lake is one of the biggest lakes in Halmahera Utara, Indonesia with its main functions being domestic water supply, irrigation, fisheries, and tourism. Human activities have impacted the area around the lake. The 90-cm and 85-cm long sediment cores were collected using a piston corer from Site 1 and 2, respectively. Sediment samples were sliced every 5 cm, separated from sediment by adding HCl and H2O2. The diatom valves were identified under a microscope with 1,000 × magnification. The water quality status of each layer was inferred with diatom indices performed using OMNIDIA software version 6.0. Forty-nine and 63 diatoms species were identified from Site 1 and Site 2, respectively. The number of species and diversity of diatoms was higher in the lower layers than those in the upper layers. The preserved diatom assemblages reflect past physical and chemical water quality. Generic Diatom Index and Specific Pollution Sensitivity Index provided the best evidence for change in Galela Lake—they integrated 70–100% of the diatom taxa from the sediment core samples. © 2022, The Author(s) under exclusive licence to Iranian Society of Environmentalists (IRSEN) and Science and Research Branch, Islamic Azad University.
Dietary fatty acids and mortality risk from heart disease in US adults : an analysis based on NHANES
- Wang, Yutang, Fang, Yan, Witting, Paul, Charchar, Fadi, Sobey, Christopher, Drummond, Grant, Golledge, Jonothan
- Authors: Wang, Yutang , Fang, Yan , Witting, Paul , Charchar, Fadi , Sobey, Christopher , Drummond, Grant , Golledge, Jonothan
- Date: 2023
- Type: Text , Journal article
- Relation: Scientific Reports Vol. 13, no. 1 (2023), p.
- Full Text:
- Reviewed:
- Description: We investigated the association of dietary intake of major types of fatty acids with heart disease mortality in a general adult cohort with or without a prior diagnosis of myocardial infarction (MI). This cohort study included US adults who attended the National Health and Nutrition Examination Surveys from 1988 to 2014. Heart disease mortality was ascertained by linkage to the National Death Index records through 31 December 2015. Cox proportional hazards models were used to estimate hazard ratios (HRs) and 95% confidence intervals (CIs) of fatty acid intake for heart disease mortality. This cohort included 45,820 adults among which 1,541 had a prior diagnosis of MI. Participants were followed up for 532,722 person-years (mean follow-up, 11.6 years), with 2,313 deaths recorded from heart disease being recorded. Intake of saturated (SFAs) and monounsaturated fatty acids (MUFAs) was associated with heart disease mortality after adjustment for all the tested confounders. In contrast, a 5% higher calorie intake from polyunsaturated fatty acids (PUFAs) was associated with a 9% (HR, 0.91; 95% CI 0.83–1.00; P = 0.048) lower multivariate-adjusted risk of heart disease mortality. Sub-analyses showed that this inverse association was present in those without a prior diagnosis of MI (HR,0.89; 95% CI 0.80–0.99) but not in those with the condition (HR, 0.94; 95% CI 0.75–1.16). The lack of association in the MI group could be due to a small sample size or severity and procedural complications (e.g., stenting and medication adherence) of the disease. Higher PUFA intake was associated with a favourable lipid profile. However, further adjustment for plasma lipids did not materially change the inverse association between PUFAs and heart disease mortality. Higher intake of PUFAs, but not SFAs and MUFAs, was associated with a lower adjusted risk of heart disease mortality in a large population of US adults supporting the need to increase dietary PUFA intake in the general public. © 2023, The Author(s).
Dietary fatty acids and mortality risk from heart disease in US adults : an analysis based on NHANES
- Authors: Wang, Yutang , Fang, Yan , Witting, Paul , Charchar, Fadi , Sobey, Christopher , Drummond, Grant , Golledge, Jonothan
- Date: 2023
- Type: Text , Journal article
- Relation: Scientific Reports Vol. 13, no. 1 (2023), p.
- Full Text:
- Reviewed:
- Description: We investigated the association of dietary intake of major types of fatty acids with heart disease mortality in a general adult cohort with or without a prior diagnosis of myocardial infarction (MI). This cohort study included US adults who attended the National Health and Nutrition Examination Surveys from 1988 to 2014. Heart disease mortality was ascertained by linkage to the National Death Index records through 31 December 2015. Cox proportional hazards models were used to estimate hazard ratios (HRs) and 95% confidence intervals (CIs) of fatty acid intake for heart disease mortality. This cohort included 45,820 adults among which 1,541 had a prior diagnosis of MI. Participants were followed up for 532,722 person-years (mean follow-up, 11.6 years), with 2,313 deaths recorded from heart disease being recorded. Intake of saturated (SFAs) and monounsaturated fatty acids (MUFAs) was associated with heart disease mortality after adjustment for all the tested confounders. In contrast, a 5% higher calorie intake from polyunsaturated fatty acids (PUFAs) was associated with a 9% (HR, 0.91; 95% CI 0.83–1.00; P = 0.048) lower multivariate-adjusted risk of heart disease mortality. Sub-analyses showed that this inverse association was present in those without a prior diagnosis of MI (HR,0.89; 95% CI 0.80–0.99) but not in those with the condition (HR, 0.94; 95% CI 0.75–1.16). The lack of association in the MI group could be due to a small sample size or severity and procedural complications (e.g., stenting and medication adherence) of the disease. Higher PUFA intake was associated with a favourable lipid profile. However, further adjustment for plasma lipids did not materially change the inverse association between PUFAs and heart disease mortality. Higher intake of PUFAs, but not SFAs and MUFAs, was associated with a lower adjusted risk of heart disease mortality in a large population of US adults supporting the need to increase dietary PUFA intake in the general public. © 2023, The Author(s).
Differences between DSM-5-TR and ICD-11 revisions of attention deficit/hyperactivity disorder : a commentary on implications and opportunities
- Gomez, Rapson, Chen, Wai, Houghton, Stephen
- Authors: Gomez, Rapson , Chen, Wai , Houghton, Stephen
- Date: 2023
- Type: Text , Journal article
- Relation: World J Psychiatry Vol. 13, no. 5 (2023), p. 138-143
- Full Text:
- Reviewed:
- Description: Current ICD-11 descriptions for attention deficit hyperactivity disorder (ADHD) were recently published online, in the same year as the DSM-5-TR (text revised edition) was released. In this commentary, we compare and contrast the DSM-5/DSM-5-TR and ICD-11 diagnostic criteria, summarize important differences, and underscore their clinical and research implications. Overall, three major differences emerge: (1) The number of diagnostic criteria for inattention (IA), hyperactivity (HY) and impulsivity (IM) symptoms ( , DSM-5-TR has nine IA and nine HY/IM symptoms, whereas ICD-11 has 11 IA and 11 HY/IM sym-ptoms) (2) the clarity and standardization of diagnostic thresholds ( , the diagnostic thresholds for symptom count in IA and HY/IM domains are explicitly specified in DSM-5-TR, whereas in ICD-11 they are not) and (3) the partitioning of HY and IM symptoms into sub-dimensions ( , difference in partitioning HY and IM symptom domains relates to the differences between the current and previous editions of DSM and ICD, and this has important research implications). Currently, no ICD-11 based ADHD rating scales exist and while this absence represents an obstacle for respective research and clinical practice, it also presents opportunities for research development. This article highlights these challenges, possible remedies and novel research opportunities.
- Authors: Gomez, Rapson , Chen, Wai , Houghton, Stephen
- Date: 2023
- Type: Text , Journal article
- Relation: World J Psychiatry Vol. 13, no. 5 (2023), p. 138-143
- Full Text:
- Reviewed:
- Description: Current ICD-11 descriptions for attention deficit hyperactivity disorder (ADHD) were recently published online, in the same year as the DSM-5-TR (text revised edition) was released. In this commentary, we compare and contrast the DSM-5/DSM-5-TR and ICD-11 diagnostic criteria, summarize important differences, and underscore their clinical and research implications. Overall, three major differences emerge: (1) The number of diagnostic criteria for inattention (IA), hyperactivity (HY) and impulsivity (IM) symptoms ( , DSM-5-TR has nine IA and nine HY/IM symptoms, whereas ICD-11 has 11 IA and 11 HY/IM sym-ptoms) (2) the clarity and standardization of diagnostic thresholds ( , the diagnostic thresholds for symptom count in IA and HY/IM domains are explicitly specified in DSM-5-TR, whereas in ICD-11 they are not) and (3) the partitioning of HY and IM symptoms into sub-dimensions ( , difference in partitioning HY and IM symptom domains relates to the differences between the current and previous editions of DSM and ICD, and this has important research implications). Currently, no ICD-11 based ADHD rating scales exist and while this absence represents an obstacle for respective research and clinical practice, it also presents opportunities for research development. This article highlights these challenges, possible remedies and novel research opportunities.
- Murphy, Angela, Ollerenshaw, Alison
- Authors: Murphy, Angela , Ollerenshaw, Alison
- Date: 2023
- Type: Text , Journal article
- Relation: Online Information Review Vol. 47, no. 4 (2023), p. 732-748
- Full Text: false
- Reviewed:
- Description: Purpose: The impact of innovative web portals on users, from access to application, is gaining interest as the global call for increased data availability gains momentum. This study reports on the perceptions of portal end users about usage and access to digital data across a range of fields of practice. Design/methodology/approach: Data were collected and analysed from interviews (n = 132) and email feedback (n = 235) from end users of interoperable spatial knowledge web portals. Findings: Data reveal that users attribute importance to ease of access and applicability, and to confidence and trust in data. The acquisition of data assists with reducing knowledge silos, facilitates knowledge sharing and decision-making. Digital data portals enable the building of stronger collaborations between different groups of individuals and communities leading to improved outcomes and more positive developments across varied discipline and practice areas. Practical implications: Recommendations for developing online portals to optimise knowledge transfer and associated benefits, for users, are offered. Originality/value: By collecting extensive qualitative data drawn from the experiences of end users of digital data portals, this paper provides new insights, thereby addressing a knowledge gap in the published literature about the use of technology uptake and the application of online data for practice and industry benefit. © 2022, Emerald Publishing Limited.
Digital twin for risk and uncertainty analysis in complex industrial control and automation systems using artificial intelligence and machine learning
- Authors: Siddiqui, Muhammad
- Date: 2023
- Type: Text , Thesis , Masters
- Full Text:
- Description: Industrial control systems play a crucial role in enabling advanced manufacturing operations. However, these systems are inherently susceptible to failure. Detecting faults at an early stage is of paramount importance, as it can prevent the occurrence of fatal and catastrophic consequences resulting from equipment failures. Moreover, timely detection and resolution of faults can save significant costs and time for organizations. The failure of these systems not only poses risks to operators but can also lead to substantial delays in the advanced manufacturing process, imposing substantial financial burdens on organizations. Therefore, a methodology is needed that can be used to avoid the adverse effects of equipment failure of industrial control systems to achieve smooth advanced manufacturing operations. To achieve this, the methodology should be able to detect the abnormal behaviour of the system at very early stages for predictive maintenance. This methodology can be designed using an extremely popular concept known as the Digital Twin, which has gained significant importance in the era of Industry 4.0. In this research, artificial intelligence techniques will be employed to develop a highly accurate and detailed digital twin model. This model will serve as a valuable tool for predictive maintenance in complex industrial control systems, facilitating the achievement of smooth and uninterrupted advanced manufacturing processes. Also, the performance of the proposed Digital Twin model will be compared with state-of-the-art anomaly detection approaches. The digital twin, utilizing the proposed algorithms, will not only be able to detect anomalies but also quantify their severity, classifying them into different levels such as minor, severe, and faulty operations. Furthermore, the research addresses the generalization challenges faced by state-of-the-art approaches, showcasing the digital twin's ability to effectively classify unseen data as healthy or anomalous. The results obtained from the analysis and comparison of state-of-the-art approaches with the proposed algorithms clearly demonstrate the methodology's capability to detect anomalies, quantify their level, and classify them accurately and effectively in real-world data. This validation underscores the robustness and reliability of the developed methodology, further solidifying its potential as a valuable tool for predictive maintenance in complex industrial control systems.
- Description: Masters by Research
- Authors: Siddiqui, Muhammad
- Date: 2023
- Type: Text , Thesis , Masters
- Full Text:
- Description: Industrial control systems play a crucial role in enabling advanced manufacturing operations. However, these systems are inherently susceptible to failure. Detecting faults at an early stage is of paramount importance, as it can prevent the occurrence of fatal and catastrophic consequences resulting from equipment failures. Moreover, timely detection and resolution of faults can save significant costs and time for organizations. The failure of these systems not only poses risks to operators but can also lead to substantial delays in the advanced manufacturing process, imposing substantial financial burdens on organizations. Therefore, a methodology is needed that can be used to avoid the adverse effects of equipment failure of industrial control systems to achieve smooth advanced manufacturing operations. To achieve this, the methodology should be able to detect the abnormal behaviour of the system at very early stages for predictive maintenance. This methodology can be designed using an extremely popular concept known as the Digital Twin, which has gained significant importance in the era of Industry 4.0. In this research, artificial intelligence techniques will be employed to develop a highly accurate and detailed digital twin model. This model will serve as a valuable tool for predictive maintenance in complex industrial control systems, facilitating the achievement of smooth and uninterrupted advanced manufacturing processes. Also, the performance of the proposed Digital Twin model will be compared with state-of-the-art anomaly detection approaches. The digital twin, utilizing the proposed algorithms, will not only be able to detect anomalies but also quantify their severity, classifying them into different levels such as minor, severe, and faulty operations. Furthermore, the research addresses the generalization challenges faced by state-of-the-art approaches, showcasing the digital twin's ability to effectively classify unseen data as healthy or anomalous. The results obtained from the analysis and comparison of state-of-the-art approaches with the proposed algorithms clearly demonstrate the methodology's capability to detect anomalies, quantify their level, and classify them accurately and effectively in real-world data. This validation underscores the robustness and reliability of the developed methodology, further solidifying its potential as a valuable tool for predictive maintenance in complex industrial control systems.
- Description: Masters by Research
Discriminative ability of lower limb strength and power measures in lacrosse athletes
- Talpey, Scott, Axtell, Robert, Gardner, Elizabeth, Maloney, Maggie, Newman, Thomas, Cordone, Jason, O'Grady, Mathew
- Authors: Talpey, Scott , Axtell, Robert , Gardner, Elizabeth , Maloney, Maggie , Newman, Thomas , Cordone, Jason , O'Grady, Mathew
- Date: 2023
- Type: Text , Journal article
- Relation: International Journal of Sports Medicine Vol. 44, no. 1 (2023), p. 29-37
- Full Text:
- Reviewed:
- Description: The objective of this investigation was to compare isokinetic strength, countermovement jump and drop jump variables between high-contributors and low-contributors within NCAA Division I Men's and Women's lacrosse athletes. Men's (N=36) and Women's (N=30) NCAA Division I lacrosse athletes completed strength testing of the quadriceps and hamstring across three speeds (60°·s -1, 180°·s -1, 300°·s -1), countermovement and drop jumps. To determine the discriminative ability of select lower-limb strength and power characteristics participants were categorized as high-contributors (Males N=18, age=20.3±0.4 yrs, height=183.9±5.5 cm, mass=90.8±5.8 kg; Females N=15, age=20.8±0.8 yrs, height=169.3±6.7 cm, mass=64.1±7.2 kg) or low-contributors (Males N=18, age=19.5±0.2 yrs, height=184.1±5.6 cm; mass=87.9±8.1 kg; Females N=15, age=19.7±0.2 yrs, height=169.8±7.0 cm, mass=62.9±7.7 kg) based upon the number of games the participants competed in during the regular season. Within the male cohort, moderate significant (p<0.05) differences were observed between high-contributors and low-contributors in isokinetic hamstring strength of the left leg at 300°·s -1(d=0.69) and peak power in countermovement jump (d= 0.68). Within the women's cohort a large (d= 0.87) significant difference (p<0.05) in isokinetic strength of the left hamstring was observed between high-contributors and low-contributors at 60°·s -1. Hamstring strength and lower-limb power are important strength measures for lacrosse performance and should be prioritized in training prescription for lacrosse athletes. © 2023 Georg Thieme Verlag. All rights reserved.
- Authors: Talpey, Scott , Axtell, Robert , Gardner, Elizabeth , Maloney, Maggie , Newman, Thomas , Cordone, Jason , O'Grady, Mathew
- Date: 2023
- Type: Text , Journal article
- Relation: International Journal of Sports Medicine Vol. 44, no. 1 (2023), p. 29-37
- Full Text:
- Reviewed:
- Description: The objective of this investigation was to compare isokinetic strength, countermovement jump and drop jump variables between high-contributors and low-contributors within NCAA Division I Men's and Women's lacrosse athletes. Men's (N=36) and Women's (N=30) NCAA Division I lacrosse athletes completed strength testing of the quadriceps and hamstring across three speeds (60°·s -1, 180°·s -1, 300°·s -1), countermovement and drop jumps. To determine the discriminative ability of select lower-limb strength and power characteristics participants were categorized as high-contributors (Males N=18, age=20.3±0.4 yrs, height=183.9±5.5 cm, mass=90.8±5.8 kg; Females N=15, age=20.8±0.8 yrs, height=169.3±6.7 cm, mass=64.1±7.2 kg) or low-contributors (Males N=18, age=19.5±0.2 yrs, height=184.1±5.6 cm; mass=87.9±8.1 kg; Females N=15, age=19.7±0.2 yrs, height=169.8±7.0 cm, mass=62.9±7.7 kg) based upon the number of games the participants competed in during the regular season. Within the male cohort, moderate significant (p<0.05) differences were observed between high-contributors and low-contributors in isokinetic hamstring strength of the left leg at 300°·s -1(d=0.69) and peak power in countermovement jump (d= 0.68). Within the women's cohort a large (d= 0.87) significant difference (p<0.05) in isokinetic strength of the left hamstring was observed between high-contributors and low-contributors at 60°·s -1. Hamstring strength and lower-limb power are important strength measures for lacrosse performance and should be prioritized in training prescription for lacrosse athletes. © 2023 Georg Thieme Verlag. All rights reserved.
Discussion : effects of plastic waste materials on geotechnical properties of clayey soil [doi: 10.1007/s40515-020-00145-4]
- O’Kelly, Brendan, Soltani, Amin
- Authors: O’Kelly, Brendan , Soltani, Amin
- Date: 2023
- Type: Text , Journal article
- Relation: Transportation Infrastructure Geotechnology Vol. 10, no. 2 (2023), p. 359-362
- Full Text:
- Reviewed:
- Authors: O’Kelly, Brendan , Soltani, Amin
- Date: 2023
- Type: Text , Journal article
- Relation: Transportation Infrastructure Geotechnology Vol. 10, no. 2 (2023), p. 359-362
- Full Text:
- Reviewed:
Disordered social media use during COVID-19 predicts perceived stress and depression through indirect effects via fear of COVID-19
- Tillman, Gabriel, March, Evita, Lavender, Andrew, Braund, Taylor, Mesagno, Christopher
- Authors: Tillman, Gabriel , March, Evita , Lavender, Andrew , Braund, Taylor , Mesagno, Christopher
- Date: 2023
- Type: Text , Journal article
- Relation: Behavioral Sciences Vol. 13, no. 9 (2023), p.
- Full Text:
- Reviewed:
- Description: The 2019 novel coronavirus disease (COVID-19) is a global threat that can have an adverse effect on an individuals’ physical and mental health. Here, we investigate if disordered social media use predicts user stress and depression symptoms indirectly via fear of COVID-19. A total of 359 (timepoint 1 = 171, timepoint 2 = 188) participants were recruited via social media and snowball sampling. They completed an online survey that measured disordered social media use, fear of COVID-19, perceived stress, and depression symptomatology at two cross-sectional timepoints. We found that disordered social media use predicts depression indirectly through fear of COVID-19 at both timepoints. We also found that disordered social media use predicts perceived stress indirectly through fear of COVID-19, but only at timepoint 1. Taken together with previous research, our findings indicate that disordered social media use may lead to increased fear of COVID-19, which in turn may lead to poorer psychological wellbeing outcomes. Overall, there is evidence that the impact of the COVID-19 pandemic is affecting the physical, psychological, and emotional health of individuals worldwide. Moreover, this impact may be exacerbated by disordered use of social media. © 2023 by the authors.
- Authors: Tillman, Gabriel , March, Evita , Lavender, Andrew , Braund, Taylor , Mesagno, Christopher
- Date: 2023
- Type: Text , Journal article
- Relation: Behavioral Sciences Vol. 13, no. 9 (2023), p.
- Full Text:
- Reviewed:
- Description: The 2019 novel coronavirus disease (COVID-19) is a global threat that can have an adverse effect on an individuals’ physical and mental health. Here, we investigate if disordered social media use predicts user stress and depression symptoms indirectly via fear of COVID-19. A total of 359 (timepoint 1 = 171, timepoint 2 = 188) participants were recruited via social media and snowball sampling. They completed an online survey that measured disordered social media use, fear of COVID-19, perceived stress, and depression symptomatology at two cross-sectional timepoints. We found that disordered social media use predicts depression indirectly through fear of COVID-19 at both timepoints. We also found that disordered social media use predicts perceived stress indirectly through fear of COVID-19, but only at timepoint 1. Taken together with previous research, our findings indicate that disordered social media use may lead to increased fear of COVID-19, which in turn may lead to poorer psychological wellbeing outcomes. Overall, there is evidence that the impact of the COVID-19 pandemic is affecting the physical, psychological, and emotional health of individuals worldwide. Moreover, this impact may be exacerbated by disordered use of social media. © 2023 by the authors.
Disseminating sleep education to graduate psychology programs online : a knowledge translation study to improve the management of insomnia
- Meaklim, Hailey, Meltzer, Lisa, Rehm, Imogen, Junge, Moira, Monfries, Melissa, Kennedy, Gerard, Bucks, Romola, Graco, Marnie, Jackson, Melinda
- Authors: Meaklim, Hailey , Meltzer, Lisa , Rehm, Imogen , Junge, Moira , Monfries, Melissa , Kennedy, Gerard , Bucks, Romola , Graco, Marnie , Jackson, Melinda
- Date: 2023
- Type: Text , Journal article
- Relation: Sleep Vol. 46, no. 10 (2023), p.
- Full Text:
- Reviewed:
- Description: Study Objectives: Despite the negative impact of poor sleep on mental health, evidence-based insomnia management guidelines have not been translated into routine mental healthcare. Here, we evaluate a state-wide knowledge translation effort to disseminate sleep and insomnia education to graduate psychology programs online using the RE-AIM (reach, effectiveness, adoption, implementation, and maintenance) evaluation framework. Methods: Using a non-randomized waitlist control design, graduate psychology students attended a validated 6-hour online sleep education workshop delivered live as part of their graduate psychology program in Victoria, Australia. Sleep knowledge, attitudes, and practice assessments were conducted pre- and post-program, with long-term feedback collected at 12 months. Results: Seven out of ten graduate psychology programs adopted the workshop (adoption rate = 70%). The workshop reached 313 graduate students, with a research participation rate of 81%. The workshop was effective at improving students’ sleep knowledge and self-efficacy to manage sleep disturbances using cognitive behavioral therapy for insomnia (CBT-I), compared to the waitlist control with medium-to-large effect sizes (all p < .001). Implementation feedback was positive, with 96% of students rating the workshop as very good-to-excellent. Twelve-month maintenance data demonstrated that 83% of students had used the sleep knowledge/skills learned in the workshop in their clinical practice. However, more practical training is required to achieve CBT-I competency. Conclusions: Online sleep education workshops can be scaled to deliver cost-effective foundational sleep training to graduate psychology students. This workshop will accelerate the translation of insomnia management guidelines into psychology practice to improve sleep and mental health outcomes nationwide. © The Author(s) 2023. Published by Oxford University Press on behalf of Sleep Research Society.
- Authors: Meaklim, Hailey , Meltzer, Lisa , Rehm, Imogen , Junge, Moira , Monfries, Melissa , Kennedy, Gerard , Bucks, Romola , Graco, Marnie , Jackson, Melinda
- Date: 2023
- Type: Text , Journal article
- Relation: Sleep Vol. 46, no. 10 (2023), p.
- Full Text:
- Reviewed:
- Description: Study Objectives: Despite the negative impact of poor sleep on mental health, evidence-based insomnia management guidelines have not been translated into routine mental healthcare. Here, we evaluate a state-wide knowledge translation effort to disseminate sleep and insomnia education to graduate psychology programs online using the RE-AIM (reach, effectiveness, adoption, implementation, and maintenance) evaluation framework. Methods: Using a non-randomized waitlist control design, graduate psychology students attended a validated 6-hour online sleep education workshop delivered live as part of their graduate psychology program in Victoria, Australia. Sleep knowledge, attitudes, and practice assessments were conducted pre- and post-program, with long-term feedback collected at 12 months. Results: Seven out of ten graduate psychology programs adopted the workshop (adoption rate = 70%). The workshop reached 313 graduate students, with a research participation rate of 81%. The workshop was effective at improving students’ sleep knowledge and self-efficacy to manage sleep disturbances using cognitive behavioral therapy for insomnia (CBT-I), compared to the waitlist control with medium-to-large effect sizes (all p < .001). Implementation feedback was positive, with 96% of students rating the workshop as very good-to-excellent. Twelve-month maintenance data demonstrated that 83% of students had used the sleep knowledge/skills learned in the workshop in their clinical practice. However, more practical training is required to achieve CBT-I competency. Conclusions: Online sleep education workshops can be scaled to deliver cost-effective foundational sleep training to graduate psychology students. This workshop will accelerate the translation of insomnia management guidelines into psychology practice to improve sleep and mental health outcomes nationwide. © The Author(s) 2023. Published by Oxford University Press on behalf of Sleep Research Society.
Distinct subpopulations of DN1 thymocytes exhibit preferential gamma delta T lineage potential
- Oh, Seungyoul, Liu, Xin, Tomei, Sara, Luo, Mengxiao, Skinner, Jarrod, Berzins, Stuart, Naik, Shalin, Gray, Daniel, Chong, Mark
- Authors: Oh, Seungyoul , Liu, Xin , Tomei, Sara , Luo, Mengxiao , Skinner, Jarrod , Berzins, Stuart , Naik, Shalin , Gray, Daniel , Chong, Mark
- Date: 2023
- Type: Text , Journal article
- Relation: Frontiers in Immunology Vol. 14, no. (2023), p.
- Full Text:
- Reviewed:
- Description: The
- Authors: Oh, Seungyoul , Liu, Xin , Tomei, Sara , Luo, Mengxiao , Skinner, Jarrod , Berzins, Stuart , Naik, Shalin , Gray, Daniel , Chong, Mark
- Date: 2023
- Type: Text , Journal article
- Relation: Frontiers in Immunology Vol. 14, no. (2023), p.
- Full Text:
- Reviewed:
- Description: The
Distributed formation trajectory planning for multi-vehicle systems
- Nguyen, Binh, Nghiem, Truong, Nguyen, Linh, Nguyen, Tung, La, Hung, Sookhak, Mehdi, Nguyen, Thang
- Authors: Nguyen, Binh , Nghiem, Truong , Nguyen, Linh , Nguyen, Tung , La, Hung , Sookhak, Mehdi , Nguyen, Thang
- Date: 2023
- Type: Text , Conference paper
- Relation: 2023 American Control Conference, ACC 2023 Vol. 2023-May, p. 1325-1330
- Full Text: false
- Reviewed:
- Description: This paper addresses the problem of distributed formation trajectory planning for multi-vehicle systems with collision avoidance among vehicles. Unlike some previous distributed formation trajectory planning methods, our proposed approach offers great flexibility in handling computational tasks for each vehicle when the global formation of all the vehicles changes. It affords the system the ability to adapt to the computational capabilities of the vehicles. Furthermore, global formation constraints can be handled at any selected vehicles. Thus, any formation change can be effectively updated without recomputing all local formations at all the vehicles. To guarantee the above features, we first formulate a dynamic consensus-based optimization problem to achieve desired formations while guaranteeing collision avoidance among vehicles. Then, the optimization problem is effectively solved by ADMM-based or alternating projection-based algorithms, which are also presented. Theoretical analysis is provided not only to ensure the convergence of our method but also to show that the proposed algorithm can surely be implemented in a fully distributed manner. The effectiveness of the proposed method is illustrated by a numerical example of a 9-vehicle system. © 2023 American Automatic Control Council.
- Authors: Trewarn, Adam
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text: false
- Description: Sediments are the ultimate repository of most contaminants that enter Australia's waterways; therefore, it is appropriate that regulatory attention addresses the risks posed by sediment contaminants. The release of elevated levels of heavy metals into the environment is a common by-product of our industrialised way of life. This problem continues to increase throughout the industrial age. We are now only beginning to understand the actual long-term burden that must be managed. Globally, estuaries are a critical focal point for civilisation and development. Owing to their strategic location and abundant resources, they have been utilised as trade hubs and industrial centres, and are often subject to intense industrial and urban development. Because estuaries accommodate large volumes of fine-grained sediments, their capacity to trap and absorb metal pollutants qualifies them as important sinks and receptacles for terrestrial, atmospheric, and oceanic metal input. Estuaries also provide important environmental services. Their protective conditions harbour a diverse range of biota, and the biogeochemical processes they accommodate play a key role in nutrient cycling and metal sequestration. However, contamination of estuaries with heavy metals is an ongoing issue, particularly as they bioaccumulate and transfer from sediments to aquatic organisms through the food chain. The Gippsland Lakes catchment has a 150-year history of a range of industrial activities, including gold and other metal mining, large open-cut brown coal mines and associated coalfired power stations, powering much of the state of Victoria, plantation forests and associated timber and paper mills, and extensive agriculture, including intensive dairy. Many of these activities are potential sources of contamination, particularly in bygone times, when environmental awareness and sound practices were less prevalent. The issue of highly elevated levels of heavy metal contaminants present within the Gippsland Lake sediments was first identified over 35 years ago. This comprehensive study looks to re-evaluate the modern surface sediments from across the Gippsland Lakes to determine, (i) If previously identified elevated Hg levels are still present or can be replicated (ii) If there are other metal contaminants that may warrant further attention, (iii) If possible, contamination is current, historical or a prolonged event (iv) If there are any natural or anthropogenic influences affecting metal concentrations within the sediments (v) What is the impact of heavy metal pollution across the Gippsland Lakes? Surficial grab and consolidated core sediment samples were collected over a period between 2015-2018 from thirteen defined locations across the Gippsland Lakes, representing the major geomorphological features of the area (e.g. major river mouths and lakes). Total metal analysis, sediment grain size, and XRF high-resolution core scanning provided insight into the overall distribution and possible risks of bulk and heavy metals present in the Gippsland Lakes sediment. Elevated concentrations of Cr, Ni, As, Cu, and Hg were found throughout the study area, exceeding the lower SQG trigger values across multiple depths and locations. Of the numerous metals initially investigated (Cr, Ni, Cu, As, Cd, Hg, and Pb) within the surface and core sediments, the findings of this study reiterated that the greatest concern was the degree of contamination and distribution of elevated levels of Hg in the western regions of the Gippsland Lakes. In addition, it highlighted the risks associated with elevated levels of Cr, Ni, and Cu. Cr and Ni have been identified at elevated levels throughout most of the western locations, Lake Victoria and Lake King, while isolated Cu is present at Paynesville. Further analysis into the metals and the interactions with the environment has defined three separate influences contributing to the elevated concentrations of heavy metals present across the study area, (i) Natural sources and cycling (Cr, Ni, and As): Concentrations of Cr, Ni, and As are likely a result of natural sources from the surrounding catchment, rather than a specific anthropogenically derived source. (i) Diffuse anthropogenic sources (Hg): The calculated pollution indices showed little to no natural influence on Hg concentrations; therefore, Hg concentrations were deemed highly likely a result of diffuse anthropogenic origin. (ii) Point source (Cu): Concentrations of Cu were generally very low throughout the study, except at a single location in an urbanised area adjacent to a commercial boatyard. This project has provided the most recent and comprehensive assessment of the presence, distribution, and leading influences on heavy metals present in the Gippsland Lakes, forming a strong foundation for informed management of the area into the future.
- Description: Doctor of Philosophy