Treatment of flue-gas impurities for liquid absorbent-based post-combustion CO2 capture processes
- Meuleman, Erik, Cottrell, Aaron, Ghayur, Adeel
- Authors: Meuleman, Erik , Cottrell, Aaron , Ghayur, Adeel
- Date: 2016
- Type: Text , Book chapter
- Relation: Absorption-Based Post-Combustion Capture of Carbon Dioxide Chapter 22 p. 519-551
- Full Text:
- Reviewed:
- Description: This chapter discusses the importance of flue-gas treatment and the effect of its impurities on post-combustion CO2 capture (PCC) process performance. Important consequences of nonoptimized flue-gas treatment include atmospheric emissions, amine degradation, extra maintenance requirements through corrosion or fly ash deposition, and waste handling. Each of these areas is strongly dependent on the others. We briefly describe existing flue-gas separation technologies and compare them to the requirements of PCC. Further pretreatment technologies are suggested to improve the composition and thereby the properties of the flue gas entering the PCC plant. For optimal plant operation, the overall process from boiler to atmosphere and waste needs to be analyzed holistically, because: certain approaches can increase efficiency when treating multiple contaminants compared with treating each component separately;most "cleaning" steps influence or generate other compounds that could reduce the performance of the process chain;all costs associated with the treatment chain increase production costs, with little or no increase in value. © 2016 Copyright © 2016 Elsevier Ltd All rights reserved.
- Authors: Meuleman, Erik , Cottrell, Aaron , Ghayur, Adeel
- Date: 2016
- Type: Text , Book chapter
- Relation: Absorption-Based Post-Combustion Capture of Carbon Dioxide Chapter 22 p. 519-551
- Full Text:
- Reviewed:
- Description: This chapter discusses the importance of flue-gas treatment and the effect of its impurities on post-combustion CO2 capture (PCC) process performance. Important consequences of nonoptimized flue-gas treatment include atmospheric emissions, amine degradation, extra maintenance requirements through corrosion or fly ash deposition, and waste handling. Each of these areas is strongly dependent on the others. We briefly describe existing flue-gas separation technologies and compare them to the requirements of PCC. Further pretreatment technologies are suggested to improve the composition and thereby the properties of the flue gas entering the PCC plant. For optimal plant operation, the overall process from boiler to atmosphere and waste needs to be analyzed holistically, because: certain approaches can increase efficiency when treating multiple contaminants compared with treating each component separately;most "cleaning" steps influence or generate other compounds that could reduce the performance of the process chain;all costs associated with the treatment chain increase production costs, with little or no increase in value. © 2016 Copyright © 2016 Elsevier Ltd All rights reserved.
Trends in body image of adolescent females in metropolitan and non-metropolitan regions: a longitudinal study
- Craike, Melinda, Young, Janet, Symons, Caroline, Pain, Michelle, Harvey, Jack, Eime, Rochelle, Payne, Warren
- Authors: Craike, Melinda , Young, Janet , Symons, Caroline , Pain, Michelle , Harvey, Jack , Eime, Rochelle , Payne, Warren
- Date: 2016
- Type: Text , Journal article
- Relation: BMC Public Health Vol. 16, no. 1 (2016), p. 1-9
- Full Text:
- Reviewed:
- Description: Background: Body dissatisfaction is associated with a range of adverse outcomes, including impaired psychological health, low physical activity and disordered eating. This longitudinal study used the Factors Influencing Transitions in Girls' Active Leisure and Sport (FITGALS) dataset to examine trends in body image of adolescent females. Specifically, the study examined satisfaction with body size, physical appearance and dieting behaviour for two cohorts at transitional life phases in two geographic regions longitudinally over a 3-year period. Methods: A sample of 732 adolescent females in Grade 7 (n = 489, 66.8 %) and Grade 11 (n = 243, 33.2 %) at randomly selected Australian metropolitan and non-metropolitan secondary schools responded to a questionnaire in three successive years from 2008 to 2010. Participants reported perceptions about their body size and physical appearance and whether they were, or ought to be, on a diet. The data were analysed using a series of longitudinal logistic regression models. Results: Dieting and dissatisfaction with body size significantly increased over time and more so for older than younger girls. Region significantly moderated the effect of grade level regarding dissatisfaction with body size but not dieting. In non-metropolitan regions, those in the younger cohort were significantly more likely to be dissatisfied with their body size than the older cohort; whereas in metropolitan regions, those in the older cohort were significantly more likely to be dissatisfied with their body size than the younger cohort. Adolescent female's perceptions of their appearance were unchanged over time, region and grade level. Conclusions: Differences across time, region and grade level were found among adolescent females on body size and dieting behaviour, but not physical appearance. Adolescent females experience early and increasing body size dissatisfaction and dieting as they age, but stable perceptions of physical appearance. Age and geographic region are important considerations for the timing and targeting of interventions to address body image concerns. Further investigation of regional differences in body image perceptions and factors that affect these is warranted. The findings of this study highlight the ongoing need for strategies during adolescence to promote a healthy appreciation of body size and appearance. © 2016 The Author(s).
- Authors: Craike, Melinda , Young, Janet , Symons, Caroline , Pain, Michelle , Harvey, Jack , Eime, Rochelle , Payne, Warren
- Date: 2016
- Type: Text , Journal article
- Relation: BMC Public Health Vol. 16, no. 1 (2016), p. 1-9
- Full Text:
- Reviewed:
- Description: Background: Body dissatisfaction is associated with a range of adverse outcomes, including impaired psychological health, low physical activity and disordered eating. This longitudinal study used the Factors Influencing Transitions in Girls' Active Leisure and Sport (FITGALS) dataset to examine trends in body image of adolescent females. Specifically, the study examined satisfaction with body size, physical appearance and dieting behaviour for two cohorts at transitional life phases in two geographic regions longitudinally over a 3-year period. Methods: A sample of 732 adolescent females in Grade 7 (n = 489, 66.8 %) and Grade 11 (n = 243, 33.2 %) at randomly selected Australian metropolitan and non-metropolitan secondary schools responded to a questionnaire in three successive years from 2008 to 2010. Participants reported perceptions about their body size and physical appearance and whether they were, or ought to be, on a diet. The data were analysed using a series of longitudinal logistic regression models. Results: Dieting and dissatisfaction with body size significantly increased over time and more so for older than younger girls. Region significantly moderated the effect of grade level regarding dissatisfaction with body size but not dieting. In non-metropolitan regions, those in the younger cohort were significantly more likely to be dissatisfied with their body size than the older cohort; whereas in metropolitan regions, those in the older cohort were significantly more likely to be dissatisfied with their body size than the younger cohort. Adolescent female's perceptions of their appearance were unchanged over time, region and grade level. Conclusions: Differences across time, region and grade level were found among adolescent females on body size and dieting behaviour, but not physical appearance. Adolescent females experience early and increasing body size dissatisfaction and dieting as they age, but stable perceptions of physical appearance. Age and geographic region are important considerations for the timing and targeting of interventions to address body image concerns. Further investigation of regional differences in body image perceptions and factors that affect these is warranted. The findings of this study highlight the ongoing need for strategies during adolescence to promote a healthy appreciation of body size and appearance. © 2016 The Author(s).
Tripartite motif-containing 55 identified as functional candidate for spontaneous cardiac hypertrophy in the rat locus cardiac mass 22
- Prestes, Priscilla, Marques, Francine, Lopez-Campos, Guillermo, Booth, Scott, McGlynn, Maree, Lewandowski, Paul, Delbridge, Lea, Harrap, Stephen, Charchar, Fadi
- Authors: Prestes, Priscilla , Marques, Francine , Lopez-Campos, Guillermo , Booth, Scott , McGlynn, Maree , Lewandowski, Paul , Delbridge, Lea , Harrap, Stephen , Charchar, Fadi
- Date: 2016
- Type: Text , Journal article
- Relation: Journal of Hypertension Vol. 34, no. 5 (May 2016), p. 950-958
- Relation: http://purl.org/au-research/grants/nhmrc/1034371
- Full Text:
- Reviewed:
- Description: Background:Left ventricular (LV) hypertrophy is a risk factor for cardiovascular death, but the genetic factors determining LV size and predisposition to hypertrophy are not well understood. We have previously linked the quantitative trait locus cardiac mass 22 (Cm22) on chromosome 2 with cardiac hypertrophy independent of blood pressure in the spontaneously hypertensive rat. From an original cross of spontaneously hypertensive rat with F344 rats, we derived a normotensive polygenic model of spontaneous cardiac hypertrophy, the hypertrophic heart rat (HHR) and its control strain, the normal heart rat (NHR).Methods and results:To identify the genes and molecular mechanisms underlying spontaneous LV hypertrophy we sequenced the HHR genome with special focus on quantitative trait locus Cm22. For correlative analyses of function, we measured global RNA transcripts in LV of neonatal HHR and NHR and 198 neonatal rats of an HHRxNHR F2 crossbred population. Only one gene within locus Cm22 was differentially expressed in the parental generation: tripartite motif-containing 55 (Trim55), with mRNA downregulation in HHR (P<0.05) and reduced protein expression. Trim55 mRNA levels were negatively correlated with LV mass in the F2 cross (r=-0.16, P=0.025). In exon nine of Trim55 in HHR, we found one missense mutation that functionally alters protein structure. This mutation was strongly associated with Trim55 mRNA expression in F2 rats (F=10.35, P<0.0001). Similarly, in humans, we found reduced Trim55 expression in hearts of subjects with idiopathic dilated cardiomyopathy.Conclusion:Our study suggests that the Trim55 gene, located in Cm22, is a novel candidate gene for polygenic LV hypertrophy independent of blood pressure.
- Authors: Prestes, Priscilla , Marques, Francine , Lopez-Campos, Guillermo , Booth, Scott , McGlynn, Maree , Lewandowski, Paul , Delbridge, Lea , Harrap, Stephen , Charchar, Fadi
- Date: 2016
- Type: Text , Journal article
- Relation: Journal of Hypertension Vol. 34, no. 5 (May 2016), p. 950-958
- Relation: http://purl.org/au-research/grants/nhmrc/1034371
- Full Text:
- Reviewed:
- Description: Background:Left ventricular (LV) hypertrophy is a risk factor for cardiovascular death, but the genetic factors determining LV size and predisposition to hypertrophy are not well understood. We have previously linked the quantitative trait locus cardiac mass 22 (Cm22) on chromosome 2 with cardiac hypertrophy independent of blood pressure in the spontaneously hypertensive rat. From an original cross of spontaneously hypertensive rat with F344 rats, we derived a normotensive polygenic model of spontaneous cardiac hypertrophy, the hypertrophic heart rat (HHR) and its control strain, the normal heart rat (NHR).Methods and results:To identify the genes and molecular mechanisms underlying spontaneous LV hypertrophy we sequenced the HHR genome with special focus on quantitative trait locus Cm22. For correlative analyses of function, we measured global RNA transcripts in LV of neonatal HHR and NHR and 198 neonatal rats of an HHRxNHR F2 crossbred population. Only one gene within locus Cm22 was differentially expressed in the parental generation: tripartite motif-containing 55 (Trim55), with mRNA downregulation in HHR (P<0.05) and reduced protein expression. Trim55 mRNA levels were negatively correlated with LV mass in the F2 cross (r=-0.16, P=0.025). In exon nine of Trim55 in HHR, we found one missense mutation that functionally alters protein structure. This mutation was strongly associated with Trim55 mRNA expression in F2 rats (F=10.35, P<0.0001). Similarly, in humans, we found reduced Trim55 expression in hearts of subjects with idiopathic dilated cardiomyopathy.Conclusion:Our study suggests that the Trim55 gene, located in Cm22, is a novel candidate gene for polygenic LV hypertrophy independent of blood pressure.
Two roles for ecological surrogacy : indicator surrogates and management surrogates
- Hunter, Malcolm, Westgate, Martin, Barton, Philip, Calhoun, Aram, Pierson, Jennifer
- Authors: Hunter, Malcolm , Westgate, Martin , Barton, Philip , Calhoun, Aram , Pierson, Jennifer
- Date: 2016
- Type: Text , Journal article
- Relation: Ecological Indicators Vol. 63, no. (2016), p. 121-125
- Full Text:
- Reviewed:
- Description: Ecological surrogacy - here defined as using a process or element (e.g., species, ecosystem, or abiotic factor) to represent another aspect of an ecological system - is a widely used concept, but many applications of the surrogate concept have been controversial. We argue that some of this controversy reflects differences among users with different goals, a distinction that can be crystalized by recognizing two basic types of surrogate. First, many ecologists and natural resource managers measure "indicator surrogates" to provide information about ecological systems. Second, and often overlooked, are "management surrogates" (e.g., umbrella species) that are primarily used to facilitate achieving management goals, especially broad goals such as "maintain biodiversity" or "increase ecosystem resilience." We propose that distinguishing these two overarching roles for surrogacy may facilitate better communication about project goals. This is critical when evaluating the usefulness of different surrogates, especially where a potential surrogate might be useful in one role but not another. Our classification for ecological surrogacy applies to species, ecosystems, ecological processes, abiotic factors, and genetics, and thus can provide coherence across a broad range of uses. © 2015 Elsevier Ltd. All rights reserved. **Please note that there are multiple authors for this article therefore only the name of the first 5 including Federation University Australia affiliate “Philip Barton" is provided in this record**
- Authors: Hunter, Malcolm , Westgate, Martin , Barton, Philip , Calhoun, Aram , Pierson, Jennifer
- Date: 2016
- Type: Text , Journal article
- Relation: Ecological Indicators Vol. 63, no. (2016), p. 121-125
- Full Text:
- Reviewed:
- Description: Ecological surrogacy - here defined as using a process or element (e.g., species, ecosystem, or abiotic factor) to represent another aspect of an ecological system - is a widely used concept, but many applications of the surrogate concept have been controversial. We argue that some of this controversy reflects differences among users with different goals, a distinction that can be crystalized by recognizing two basic types of surrogate. First, many ecologists and natural resource managers measure "indicator surrogates" to provide information about ecological systems. Second, and often overlooked, are "management surrogates" (e.g., umbrella species) that are primarily used to facilitate achieving management goals, especially broad goals such as "maintain biodiversity" or "increase ecosystem resilience." We propose that distinguishing these two overarching roles for surrogacy may facilitate better communication about project goals. This is critical when evaluating the usefulness of different surrogates, especially where a potential surrogate might be useful in one role but not another. Our classification for ecological surrogacy applies to species, ecosystems, ecological processes, abiotic factors, and genetics, and thus can provide coherence across a broad range of uses. © 2015 Elsevier Ltd. All rights reserved. **Please note that there are multiple authors for this article therefore only the name of the first 5 including Federation University Australia affiliate “Philip Barton" is provided in this record**
Unique proteome signature of post-chemotherapy ovarian cancer ascites-derived tumor cells
- Ahmed, Nuzhat, Greening, David, Samardzija, Chantel, Escalona, Ruth, Chen, Maoshan, Findlay, Jock, Kannourakis, George
- Authors: Ahmed, Nuzhat , Greening, David , Samardzija, Chantel , Escalona, Ruth , Chen, Maoshan , Findlay, Jock , Kannourakis, George
- Date: 2016
- Type: Text , Journal article
- Relation: Scientific Reports Vol. 6, no. (2016), p. 1-13
- Full Text:
- Reviewed:
- Description: Eighty % of ovarian cancer patients diagnosed at an advanced-stage have complete remission after initial surgery and chemotherapy. However, most patients die within <5 years due to episodes of recurrences resulting from the growth of residual chemoresistant cells. In an effort to identify mechanisms associated with chemoresistance and recurrence, we compared the expression of proteins in ascites-derived tumor cells isolated from advanced-stage ovarian cancer patients obtained at diagnosis (chemonaive, CN) and after chemotherapy treatments (chemoresistant/at recurrence, CR) by using in-depth, high-resolution label-free quantitative proteomic profiling. A total of 2,999 proteins were identified. Using a stringent selection criterion to define only significantly differentially expressed proteins, we report identification of 353 proteins. There were significant differences in proteins encoding for immune surveillance, DNA repair mechanisms, cytoskeleton rearrangement, cell-cell adhesion, cell cycle pathways, cellular transport, and proteins involved with glycine/proline/arginine synthesis in tumor cells isolated from CR relative to CN patients. Pathway analyses revealed enrichment of metabolic pathways, DNA repair mechanisms and energy metabolism pathways in CR tumor cells. In conclusion, this is the first proteomics study to comprehensively analyze ascites-derived tumor cells from CN and CR ovarian cancer patients.
- Authors: Ahmed, Nuzhat , Greening, David , Samardzija, Chantel , Escalona, Ruth , Chen, Maoshan , Findlay, Jock , Kannourakis, George
- Date: 2016
- Type: Text , Journal article
- Relation: Scientific Reports Vol. 6, no. (2016), p. 1-13
- Full Text:
- Reviewed:
- Description: Eighty % of ovarian cancer patients diagnosed at an advanced-stage have complete remission after initial surgery and chemotherapy. However, most patients die within <5 years due to episodes of recurrences resulting from the growth of residual chemoresistant cells. In an effort to identify mechanisms associated with chemoresistance and recurrence, we compared the expression of proteins in ascites-derived tumor cells isolated from advanced-stage ovarian cancer patients obtained at diagnosis (chemonaive, CN) and after chemotherapy treatments (chemoresistant/at recurrence, CR) by using in-depth, high-resolution label-free quantitative proteomic profiling. A total of 2,999 proteins were identified. Using a stringent selection criterion to define only significantly differentially expressed proteins, we report identification of 353 proteins. There were significant differences in proteins encoding for immune surveillance, DNA repair mechanisms, cytoskeleton rearrangement, cell-cell adhesion, cell cycle pathways, cellular transport, and proteins involved with glycine/proline/arginine synthesis in tumor cells isolated from CR relative to CN patients. Pathway analyses revealed enrichment of metabolic pathways, DNA repair mechanisms and energy metabolism pathways in CR tumor cells. In conclusion, this is the first proteomics study to comprehensively analyze ascites-derived tumor cells from CN and CR ovarian cancer patients.
Using point cloud data to identify, trace, and regularize the outlines of buildings
- Authors: Awrangjeb, Mohammad
- Date: 2016
- Type: Text , Journal article
- Relation: International Journal of Remote Sensing Vol. 37, no. 3 (2016), p. 551-579
- Full Text:
- Reviewed:
- Description: Rectilinear building outline generation from the point set of a building usually works in three steps. Boundary edges that constitute the building outline are first identified. A sequence of points is then traced from the edges to define the building boundary. Finally, lines are generated from the sequence of points and adjusted to form a regular building outline. Existing solutions have shortcomings in one or more of the following cases: identifying details along a concave shape, separate identification of a 'hole' inside the shape, proper boundary tracing, and preservation of detailed information along a regularized building outline. This article proposes new solutions to all three steps. By using the maximum point-to-point distance in the input data, the solution to the identification step properly detects the boundary edges for any type of shape and separately recognizes holes, if any, inside the shape. The proposed tracing algorithm divides boundary edges into segments, accurately obtains the sequence of points for each segment and then merges them, if necessary, to produce a single boundary for each shape. The regularization step proposes an improved corner and line extraction algorithm and adjusts the extracted lines with respect to the automatically determined principal directions of buildings. In order to evaluate the performance, an evaluation system that makes corner correspondences between an extracted building outline and its reference outline is also proposed. Experimental results show that the proposed solutions can preserve detail along the building boundary and offer high pixel-based completeness and geometric accuracy, even in low-density input data. © 2016 The Author(s). Published by Taylor & Francis.
- Description: Rectilinear building outline generation from the point set of a building usually works in three steps. Boundary edges that constitute the building outline are first identified. A sequence of points is then traced from the edges to define the building boundary. Finally, lines are generated from the sequence of points and adjusted to form a regular building outline. Existing solutions have shortcomings in one or more of the following cases: identifying details along a concave shape, separate identification of a ‘hole’ inside the shape, proper boundary tracing, and preservation of detailed information along a regularized building outline. This article proposes new solutions to all three steps. By using the maximum point-to-point distance in the input data, the solution to the identification step properly detects the boundary edges for any type of shape and separately recognizes holes, if any, inside the shape. The proposed tracing algorithm divides boundary edges into segments, accurately obtains the sequence of points for each segment and then merges them, if necessary, to produce a single boundary for each shape. The regularization step proposes an improved corner and line extraction algorithm and adjusts the extracted lines with respect to the automatically determined principal directions of buildings. In order to evaluate the performance, an evaluation system that makes corner correspondences between an extracted building outline and its reference outline is also proposed. Experimental results show that the proposed solutions can preserve detail along the building boundary and offer high pixel-based completeness and geometric accuracy, even in low-density input data. © 2016 The Author(s). Published by Taylor & Francis.
- Authors: Awrangjeb, Mohammad
- Date: 2016
- Type: Text , Journal article
- Relation: International Journal of Remote Sensing Vol. 37, no. 3 (2016), p. 551-579
- Full Text:
- Reviewed:
- Description: Rectilinear building outline generation from the point set of a building usually works in three steps. Boundary edges that constitute the building outline are first identified. A sequence of points is then traced from the edges to define the building boundary. Finally, lines are generated from the sequence of points and adjusted to form a regular building outline. Existing solutions have shortcomings in one or more of the following cases: identifying details along a concave shape, separate identification of a 'hole' inside the shape, proper boundary tracing, and preservation of detailed information along a regularized building outline. This article proposes new solutions to all three steps. By using the maximum point-to-point distance in the input data, the solution to the identification step properly detects the boundary edges for any type of shape and separately recognizes holes, if any, inside the shape. The proposed tracing algorithm divides boundary edges into segments, accurately obtains the sequence of points for each segment and then merges them, if necessary, to produce a single boundary for each shape. The regularization step proposes an improved corner and line extraction algorithm and adjusts the extracted lines with respect to the automatically determined principal directions of buildings. In order to evaluate the performance, an evaluation system that makes corner correspondences between an extracted building outline and its reference outline is also proposed. Experimental results show that the proposed solutions can preserve detail along the building boundary and offer high pixel-based completeness and geometric accuracy, even in low-density input data. © 2016 The Author(s). Published by Taylor & Francis.
- Description: Rectilinear building outline generation from the point set of a building usually works in three steps. Boundary edges that constitute the building outline are first identified. A sequence of points is then traced from the edges to define the building boundary. Finally, lines are generated from the sequence of points and adjusted to form a regular building outline. Existing solutions have shortcomings in one or more of the following cases: identifying details along a concave shape, separate identification of a ‘hole’ inside the shape, proper boundary tracing, and preservation of detailed information along a regularized building outline. This article proposes new solutions to all three steps. By using the maximum point-to-point distance in the input data, the solution to the identification step properly detects the boundary edges for any type of shape and separately recognizes holes, if any, inside the shape. The proposed tracing algorithm divides boundary edges into segments, accurately obtains the sequence of points for each segment and then merges them, if necessary, to produce a single boundary for each shape. The regularization step proposes an improved corner and line extraction algorithm and adjusts the extracted lines with respect to the automatically determined principal directions of buildings. In order to evaluate the performance, an evaluation system that makes corner correspondences between an extracted building outline and its reference outline is also proposed. Experimental results show that the proposed solutions can preserve detail along the building boundary and offer high pixel-based completeness and geometric accuracy, even in low-density input data. © 2016 The Author(s). Published by Taylor & Francis.
Using the ferret as an animal model for investigating influenza antiviral effectiveness
- Authors: Oh, Ding , Hurt, Aeron
- Date: 2016
- Type: Text , Journal article
- Relation: Frontiers in Microbiology Vol. 7, no. (2016), p. 1-12
- Full Text:
- Reviewed:
- Description: The concern of the emergence of a pandemic influenza virus has sparked an increased effort toward the development and testing of novel influenza antivirals. Central to this is the animal model of influenza infection, which has played an important role in understanding treatment effectiveness and the effect of antivirals on host immune responses. Among the different animal models of influenza, ferrets can be considered the most suitable for antiviral studies as they display most of the human-like symptoms following influenza infections, they can be infected with human influenza virus without prior viral adaptation and have the ability to transmit influenza virus efficiently between one another. However, an accurate assessment of the effectiveness of an antiviral treatment in ferrets is dependent on three major experimental considerations encompassing firstly, the volume and titer of virus, and the route of viral inoculation. Secondly, the route and dose of drug administration, and lastly, the different methods used to assess clinical symptoms, viral shedding kinetics and host immune responses in the ferrets. A good understanding of these areas is necessary to achieve data that can accurately inform the human use of influenza antivirals. In this review, we discuss the current progress and the challenges faced in these three major areas when using the ferret model to measure influenza antiviral effectiveness.
- Authors: Oh, Ding , Hurt, Aeron
- Date: 2016
- Type: Text , Journal article
- Relation: Frontiers in Microbiology Vol. 7, no. (2016), p. 1-12
- Full Text:
- Reviewed:
- Description: The concern of the emergence of a pandemic influenza virus has sparked an increased effort toward the development and testing of novel influenza antivirals. Central to this is the animal model of influenza infection, which has played an important role in understanding treatment effectiveness and the effect of antivirals on host immune responses. Among the different animal models of influenza, ferrets can be considered the most suitable for antiviral studies as they display most of the human-like symptoms following influenza infections, they can be infected with human influenza virus without prior viral adaptation and have the ability to transmit influenza virus efficiently between one another. However, an accurate assessment of the effectiveness of an antiviral treatment in ferrets is dependent on three major experimental considerations encompassing firstly, the volume and titer of virus, and the route of viral inoculation. Secondly, the route and dose of drug administration, and lastly, the different methods used to assess clinical symptoms, viral shedding kinetics and host immune responses in the ferrets. A good understanding of these areas is necessary to achieve data that can accurately inform the human use of influenza antivirals. In this review, we discuss the current progress and the challenges faced in these three major areas when using the ferret model to measure influenza antiviral effectiveness.
Venous access : The patient experience
- Robinson-Reilly, Melissa, Paliadelis, Penny, Cruickshank, Mary
- Authors: Robinson-Reilly, Melissa , Paliadelis, Penny , Cruickshank, Mary
- Date: 2016
- Type: Text , Journal article
- Relation: Supportive Care in Cancer Vol. 24, no. 3 (2016), p. 1181-1187
- Full Text:
- Reviewed:
- Description: The evolution of venous access via peripheral cannulation, particularly in relation to the risks and the benefits of this procedure, is reported widely in the literature. However, there is limited research specific to the patient experience of undergoing venous access. The intent of this qualitative study was to understand patients' experience of venous access, with the aim of bringing forth their voices about the experiences of repeated venous access/cannulation attempts. This qualitative study used a hermeneutic phenomenological approach to explore the experiences of 15 participants in two rural oncology units in Australia. The participants had experienced repeated peripheral cannulation in order to receive chemotherapy. Study participants were asked to describe what it was like for them to be repeatedly cannulated. Data were collected via audiotaped individual interviews, the participants' stories were transcribed and analysed thematically. Themes emerged from the participants' stories that provided insights into their perceptions of the experience of being cannulated and the decision-making processes regarding how and where the procedure occurred. The findings suggest that a holistic approach to care was often missing causing the participants to feel vulnerable. Gaining insight into their experiences led to a greater understanding of the impact of this procedure on patients and the need to improve care through encouraging more collaborative decision-making processes between clinicians and patients. The implications for policy and practice focus on improving patient outcomes via procedural governance and education, with the intent of translating the findings from this research into evidence-based practice.
- Authors: Robinson-Reilly, Melissa , Paliadelis, Penny , Cruickshank, Mary
- Date: 2016
- Type: Text , Journal article
- Relation: Supportive Care in Cancer Vol. 24, no. 3 (2016), p. 1181-1187
- Full Text:
- Reviewed:
- Description: The evolution of venous access via peripheral cannulation, particularly in relation to the risks and the benefits of this procedure, is reported widely in the literature. However, there is limited research specific to the patient experience of undergoing venous access. The intent of this qualitative study was to understand patients' experience of venous access, with the aim of bringing forth their voices about the experiences of repeated venous access/cannulation attempts. This qualitative study used a hermeneutic phenomenological approach to explore the experiences of 15 participants in two rural oncology units in Australia. The participants had experienced repeated peripheral cannulation in order to receive chemotherapy. Study participants were asked to describe what it was like for them to be repeatedly cannulated. Data were collected via audiotaped individual interviews, the participants' stories were transcribed and analysed thematically. Themes emerged from the participants' stories that provided insights into their perceptions of the experience of being cannulated and the decision-making processes regarding how and where the procedure occurred. The findings suggest that a holistic approach to care was often missing causing the participants to feel vulnerable. Gaining insight into their experiences led to a greater understanding of the impact of this procedure on patients and the need to improve care through encouraging more collaborative decision-making processes between clinicians and patients. The implications for policy and practice focus on improving patient outcomes via procedural governance and education, with the intent of translating the findings from this research into evidence-based practice.
Video game classification in Australia : Does it enable parents to make informed game choices for their children
- Authors: Ross, Julie
- Date: 2016
- Type: Text , Thesis , PhD
- Full Text:
- Description: If Australian video game classification does not warn of all classifiable elements, parents may be making game choices that inadvertently expose their child to content that may be deemed inappropriate. Research shows that classification in the United States of America (USA) does not always warn of all elements, and to date there has been no comparable research in Australia. This research explored issues surrounding video game classification in Australia, and whether parents feel that provides enough information for them to make informed game choices, by asking the following questions: 1. Does video game classification in Australia provide enough information for parents to make informed decisions about what games their children play? 2. What are the factors that may prevent parents from protecting children from inappropriate content in video games? To answer the first question, a content analysis compared the classification given to video games classified ‘MA15+’ in Australia during the years 2009 - 2010 with their overseas counterparts. Results showed that a substantial number of video games in Australia carry different classification information than those overseas. To answer the second question, a mixed-methods questionnaire surveyed parents of children who played video games to explore issues surrounding video game classification, and the role it plays when making game choices for children. A quasi-longitudinal process within the questionnaire explored the effect that more detailed information has on game choices. Results showed that some parents use classification to assist them with choosing games for their child, but when presented with more information some parents will make different choices. Factors which may prevent parents from protecting their child from inappropriate content in video games were also identified. The Protection Motivation Theory underpinning this research was modified to produce the Vigilant Protection Motivation Theory. Overall, this research suggests that parents in Australia may not have enough information to make appropriate game choices.
- Description: Doctor of Philosophy
- Authors: Ross, Julie
- Date: 2016
- Type: Text , Thesis , PhD
- Full Text:
- Description: If Australian video game classification does not warn of all classifiable elements, parents may be making game choices that inadvertently expose their child to content that may be deemed inappropriate. Research shows that classification in the United States of America (USA) does not always warn of all elements, and to date there has been no comparable research in Australia. This research explored issues surrounding video game classification in Australia, and whether parents feel that provides enough information for them to make informed game choices, by asking the following questions: 1. Does video game classification in Australia provide enough information for parents to make informed decisions about what games their children play? 2. What are the factors that may prevent parents from protecting children from inappropriate content in video games? To answer the first question, a content analysis compared the classification given to video games classified ‘MA15+’ in Australia during the years 2009 - 2010 with their overseas counterparts. Results showed that a substantial number of video games in Australia carry different classification information than those overseas. To answer the second question, a mixed-methods questionnaire surveyed parents of children who played video games to explore issues surrounding video game classification, and the role it plays when making game choices for children. A quasi-longitudinal process within the questionnaire explored the effect that more detailed information has on game choices. Results showed that some parents use classification to assist them with choosing games for their child, but when presented with more information some parents will make different choices. Factors which may prevent parents from protecting their child from inappropriate content in video games were also identified. The Protection Motivation Theory underpinning this research was modified to produce the Vigilant Protection Motivation Theory. Overall, this research suggests that parents in Australia may not have enough information to make appropriate game choices.
- Description: Doctor of Philosophy
Views of VET teachers, managers and students about VET teacher qualifications
- Smith, Erica, Yasukawa, Keiko
- Authors: Smith, Erica , Yasukawa, Keiko
- Date: 2016
- Type: Text , Conference proceedings
- Relation: Putting VET Research To Work, AVETRA conference; Sydney; 2016
- Full Text:
- Reviewed:
- Description: This paper reports on some initial research into what students, teachers and managers in training providers think about qualifications for vocational education and training (VET) teachers and trainers. In 2011, a Productivity Commission research report on the VET workforce identified 'some clear deficiencies [that] should be addressed', but rejected a change to required qualifications because of lack of research evidence, at that time, that higher-level qualifications would make a difference. This paper reports on preliminary observations from a major Australian Research Council funded project that set out to investigate this matter. The project has several stages, and this paper, by two of the projects' four researchers, examines early data from four of eight case studies. The case study sites were based in two states and comprised two TAFE institutes, a not-for-profit college, and a for-profit private VET provider. In the case studies, senior managers, teachers and trainers in different discipline areas, and learners, were interviewed to elicit their views on whether or how teachers' pedagogical and industry qualifications mattered in the quality of teaching and in teachers' contributions to the institution. The paper explains the different participants' views and the reasons they gave for their views. The project as a whole includes several other data sources.
- Authors: Smith, Erica , Yasukawa, Keiko
- Date: 2016
- Type: Text , Conference proceedings
- Relation: Putting VET Research To Work, AVETRA conference; Sydney; 2016
- Full Text:
- Reviewed:
- Description: This paper reports on some initial research into what students, teachers and managers in training providers think about qualifications for vocational education and training (VET) teachers and trainers. In 2011, a Productivity Commission research report on the VET workforce identified 'some clear deficiencies [that] should be addressed', but rejected a change to required qualifications because of lack of research evidence, at that time, that higher-level qualifications would make a difference. This paper reports on preliminary observations from a major Australian Research Council funded project that set out to investigate this matter. The project has several stages, and this paper, by two of the projects' four researchers, examines early data from four of eight case studies. The case study sites were based in two states and comprised two TAFE institutes, a not-for-profit college, and a for-profit private VET provider. In the case studies, senior managers, teachers and trainers in different discipline areas, and learners, were interviewed to elicit their views on whether or how teachers' pedagogical and industry qualifications mattered in the quality of teaching and in teachers' contributions to the institution. The paper explains the different participants' views and the reasons they gave for their views. The project as a whole includes several other data sources.
Vin Ryan : Signs of Struggle
- Authors: Ryan, Vin
- Date: 2016
- Type: Text , Visual art work
- Full Text:
- Description: 31st August - 24th September 2016 Vin Ryan's work has been described as an attempt at 'charting his neighbourhood surrounds and airing some of our dirty laundry’. He does this by methodically documenting the raw materials and minor details of everyday, urban existence. This exhibition is a very personal response to the artist’s own environment in Melbourne’s western suburbs. It is a record of setting but also situation. It considers the breadth of experience within a suburban setting by observing the nature strips, car parks and footpaths contained there. At the same time it also examines interior domestic spaces, inviting us to look with fresh eyes at the places that we call home within a suburban environment. Vin Ryan’s exhibition and recent work constitute the visual outcomes emerging from a practice-led research project for a Doctoral Award at the Arts Academy, Faculty of Education and Arts, Federation University Australia. Image: Vin Ryan, 21.10.15, 2015 35 x 45cm digital print Courtesy the artist
- Authors: Ryan, Vin
- Date: 2016
- Type: Text , Visual art work
- Full Text:
- Description: 31st August - 24th September 2016 Vin Ryan's work has been described as an attempt at 'charting his neighbourhood surrounds and airing some of our dirty laundry’. He does this by methodically documenting the raw materials and minor details of everyday, urban existence. This exhibition is a very personal response to the artist’s own environment in Melbourne’s western suburbs. It is a record of setting but also situation. It considers the breadth of experience within a suburban setting by observing the nature strips, car parks and footpaths contained there. At the same time it also examines interior domestic spaces, inviting us to look with fresh eyes at the places that we call home within a suburban environment. Vin Ryan’s exhibition and recent work constitute the visual outcomes emerging from a practice-led research project for a Doctoral Award at the Arts Academy, Faculty of Education and Arts, Federation University Australia. Image: Vin Ryan, 21.10.15, 2015 35 x 45cm digital print Courtesy the artist
Visual perceptual and handwriting skills in children with developmental coordination disorder
- Prunty, Mellissa, Barnett, Anna, Wilmut, Kate, Plumb, Mandy
- Authors: Prunty, Mellissa , Barnett, Anna , Wilmut, Kate , Plumb, Mandy
- Date: 2016
- Type: Text , Journal article
- Relation: Human Movement Science Vol. 49, no. (2016), p. 54-65
- Full Text:
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- Description: Objective: Children with Developmental Coordination Disorder demonstrate a lack of automaticity in handwriting as measured by pauses during writing. Deficits in visual perception have been proposed in the literature as underlying mechanisms of handwriting difficulties in children with DCD. The aim of this study was to examine whether correlations exist between measures of visual perception and visual motor integration with measures of the handwriting product and process in children with DCD. Method: The performance of twenty-eight 8-14 year-old children who met the DSM-5 criteria for DCD was compared with 28 typically developing (TD) age and gender-matched controls. The children completed the Developmental Test of Visual Motor Integration (VMI) and the Test of Visual Perceptual Skills (TVPS). Group comparisons were made, correlations were conducted between the visual perceptual measures and handwriting measures and the sensitivity and specificity examined. Results: The DCD group performed below the TD group on the VMI and TVPS. There were no significant correlations between the VMI or TVPS and any of the handwriting measures in the DCD group. In addition, both tests demonstrated low sensitivity. Conclusion: Clinicians should execute caution in using visual perceptual measures to inform them about handwriting skill in children with DCD. © 2016 The Authors.
- Authors: Prunty, Mellissa , Barnett, Anna , Wilmut, Kate , Plumb, Mandy
- Date: 2016
- Type: Text , Journal article
- Relation: Human Movement Science Vol. 49, no. (2016), p. 54-65
- Full Text:
- Reviewed:
- Description: Objective: Children with Developmental Coordination Disorder demonstrate a lack of automaticity in handwriting as measured by pauses during writing. Deficits in visual perception have been proposed in the literature as underlying mechanisms of handwriting difficulties in children with DCD. The aim of this study was to examine whether correlations exist between measures of visual perception and visual motor integration with measures of the handwriting product and process in children with DCD. Method: The performance of twenty-eight 8-14 year-old children who met the DSM-5 criteria for DCD was compared with 28 typically developing (TD) age and gender-matched controls. The children completed the Developmental Test of Visual Motor Integration (VMI) and the Test of Visual Perceptual Skills (TVPS). Group comparisons were made, correlations were conducted between the visual perceptual measures and handwriting measures and the sensitivity and specificity examined. Results: The DCD group performed below the TD group on the VMI and TVPS. There were no significant correlations between the VMI or TVPS and any of the handwriting measures in the DCD group. In addition, both tests demonstrated low sensitivity. Conclusion: Clinicians should execute caution in using visual perceptual measures to inform them about handwriting skill in children with DCD. © 2016 The Authors.
Wake-up timer and binary exponential backoff for ZigBee-based wireless sensor network for flexible movement control system of a self-lifting scaffold
- Liang, Hua, Yang, Guangxiang, Xu, Ye, Gondal, Iqbal, Wu, Chao
- Authors: Liang, Hua , Yang, Guangxiang , Xu, Ye , Gondal, Iqbal , Wu, Chao
- Date: 2016
- Type: Text , Journal article
- Relation: International Journal of Distributed Sensor Networks Vol. 12, no. 9 (2016), p. 1-12
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- Description: Synchronous movement of attached self-lifting scaffolds is traditionally monitored with wired sensors in high-rise building construction, which limits their flexibility of movements. A ZigBee-based wireless sensor system has been suggested in this article to prove the effectiveness of wireless sensor networks in actual implementation. Two optoelectronic sensors are integrated into a ZigBee node for measuring the displacement of attached self-lifting scaffolds. The proposed wireless sensor network combines an end device and a coordinator to allow easy replacement of sensors as compared to a wired network. A wake-up timer algorithm is proposed to reduce the transmitting power during continuous wireless data communication in the wireless sensor network. Furthermore, a variant binary exponential backoff transmission algorithm for data loss avoidance is proposed. The variant binary exponential backoff algorithm reduces packet collisions during simultaneous access by increasing the randomizing moments at nodes attempting to access the wireless channels. The performance of three of the proposed modules - a cable sensor, a 315-MHz sensor, and a ZigBee sensor - is evaluated in terms of packet delivery ratio and the end-to-end delay of a ZigBee-based wireless sensor network. The experimental results show that the proposed variant binary exponential backoff transmission algorithm achieves a higher packet delivery ratio at the cost of higher delays. The average cost of the developed ZigBee-based wireless sensor network decreased by 24% compared with the cable sensor. The power consumption of ZigBee is approximately 53.75% of the 315-MHz sensor. The average current consumption is reduced by approximately 1.5 mA with the wake-up timer algorithm at the same sampling rate. © The Author(s) 2016.
- Authors: Liang, Hua , Yang, Guangxiang , Xu, Ye , Gondal, Iqbal , Wu, Chao
- Date: 2016
- Type: Text , Journal article
- Relation: International Journal of Distributed Sensor Networks Vol. 12, no. 9 (2016), p. 1-12
- Full Text:
- Reviewed:
- Description: Synchronous movement of attached self-lifting scaffolds is traditionally monitored with wired sensors in high-rise building construction, which limits their flexibility of movements. A ZigBee-based wireless sensor system has been suggested in this article to prove the effectiveness of wireless sensor networks in actual implementation. Two optoelectronic sensors are integrated into a ZigBee node for measuring the displacement of attached self-lifting scaffolds. The proposed wireless sensor network combines an end device and a coordinator to allow easy replacement of sensors as compared to a wired network. A wake-up timer algorithm is proposed to reduce the transmitting power during continuous wireless data communication in the wireless sensor network. Furthermore, a variant binary exponential backoff transmission algorithm for data loss avoidance is proposed. The variant binary exponential backoff algorithm reduces packet collisions during simultaneous access by increasing the randomizing moments at nodes attempting to access the wireless channels. The performance of three of the proposed modules - a cable sensor, a 315-MHz sensor, and a ZigBee sensor - is evaluated in terms of packet delivery ratio and the end-to-end delay of a ZigBee-based wireless sensor network. The experimental results show that the proposed variant binary exponential backoff transmission algorithm achieves a higher packet delivery ratio at the cost of higher delays. The average cost of the developed ZigBee-based wireless sensor network decreased by 24% compared with the cable sensor. The power consumption of ZigBee is approximately 53.75% of the 315-MHz sensor. The average current consumption is reduced by approximately 1.5 mA with the wake-up timer algorithm at the same sampling rate. © The Author(s) 2016.
We have the programme, what next? Planning the implementation of an injury prevention programme
- Donaldson, Alex, Lloyd, David, Gabbe, Belinda, Cook, Jill, Finch, Caroline
- Authors: Donaldson, Alex , Lloyd, David , Gabbe, Belinda , Cook, Jill , Finch, Caroline
- Date: 2016
- Type: Text , Journal article
- Relation: Injury Prevention Vol. 23, no. 4 (2016), p. 273-280
- Relation: http://purl.org/au-research/grants/nhmrc/565907
- Relation: http://purl.org/au-research/grants/nhmrc/1058737
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- Description: BACKGROUND AND AIM: The impact of any injury prevention programme is a function of the programme and its implementation. However, real world implementation of injury prevention programmes is challenging. Lower limb injuries (LLIs) are common in community Australian football (community-AF) and it is likely that many could be prevented by implementing exercise-based warm-up programmes for players. This paper describes a systematic, evidence-informed approach used to develop the implementation plan for a LLI prevention programme in community-AF in Victoria, Australia. METHODS: An ecological approach, using Step 5 of the Intervention Mapping health promotion programme planning protocol, was taken. RESULTS: An implementation advisory group was established to ensure the implementation plan and associated strategies were relevant to the local context. Coaches were identified as the primary programme adopters and implementers within an ecological system including players, other coaches, first-aid providers, and club and league administrators. Social Cognitive Theory was used to identify likely determinants of programme reach, adoption and implementation among coaches (eg, knowledge, beliefs, skills and environment). Diffusion of Innovations theory, the Implementation Drivers framework and available research evidence were used to identify potential implementation strategies including the use of multiple communication channels, programme resources, coach education and mentoring. CONCLUSIONS: A strategic evidence-informed approach to implementing interventions will help maximise their population impact. The approach to implementation planning described in this study relied on an effective researcher-practitioner partnership and active engagement of stakeholders. The identified implementation strategies were informed by theory, evidence and an in-depth understanding of the implementation context.
- Authors: Donaldson, Alex , Lloyd, David , Gabbe, Belinda , Cook, Jill , Finch, Caroline
- Date: 2016
- Type: Text , Journal article
- Relation: Injury Prevention Vol. 23, no. 4 (2016), p. 273-280
- Relation: http://purl.org/au-research/grants/nhmrc/565907
- Relation: http://purl.org/au-research/grants/nhmrc/1058737
- Full Text:
- Reviewed:
- Description: BACKGROUND AND AIM: The impact of any injury prevention programme is a function of the programme and its implementation. However, real world implementation of injury prevention programmes is challenging. Lower limb injuries (LLIs) are common in community Australian football (community-AF) and it is likely that many could be prevented by implementing exercise-based warm-up programmes for players. This paper describes a systematic, evidence-informed approach used to develop the implementation plan for a LLI prevention programme in community-AF in Victoria, Australia. METHODS: An ecological approach, using Step 5 of the Intervention Mapping health promotion programme planning protocol, was taken. RESULTS: An implementation advisory group was established to ensure the implementation plan and associated strategies were relevant to the local context. Coaches were identified as the primary programme adopters and implementers within an ecological system including players, other coaches, first-aid providers, and club and league administrators. Social Cognitive Theory was used to identify likely determinants of programme reach, adoption and implementation among coaches (eg, knowledge, beliefs, skills and environment). Diffusion of Innovations theory, the Implementation Drivers framework and available research evidence were used to identify potential implementation strategies including the use of multiple communication channels, programme resources, coach education and mentoring. CONCLUSIONS: A strategic evidence-informed approach to implementing interventions will help maximise their population impact. The approach to implementation planning described in this study relied on an effective researcher-practitioner partnership and active engagement of stakeholders. The identified implementation strategies were informed by theory, evidence and an in-depth understanding of the implementation context.
What is the value of meaning created through social learning in informal virtual communities?
- Authors: Wilmott, Deirdre
- Date: 2016
- Type: Text , Thesis , PhD
- Full Text:
- Description: This study asks the question ‘What is the value of meaning created through social learning in informal virtual communities?’. By researching how people learn in two virtual communities of practice, based around forums, it endeavours to explore learning in online environments that are unconnected to workplace or educational institutions. Both communities studied in this project are meeting places for peers who pursue a domain of personal interest, hence neither community defines itself as a learning environment but as a social meeting place for people to share similar pursuits. The rationale of this study was to explore in-depth the plethora of resources that forum-based communities offer researchers of learning outside the academy, in order to understand the intricacies of un-facilitated social learning. A research strategy for this study was developed from Crotty's (1998) platform which defines: research methods; a methodology; a theoretical perspective; and an epistemology. Triangulated research methods of interview, observation, and personal participation form the basis of data collection. Ethnography, which incorporates auto-ethnography, was the chosen methodology, and the study is centred on a constructivist epistemology. This study employs an interpretivist theoretical perspective, relying on the approaches of two theorists to analyse the data. Both communities were explored by developing four specific propositions from an in-depth analysis of the available literature on informal learning, virtual environments and communities, together with the theoretical understandings of Wenger (1998) regarding Communities of Practice, and Candy (1991) relating to autodidactic and constructed learning. Two viewpoints were chosen because whilst there are a number of theoretical perspectives that can be applied to informal learning in a virtual environment, there is no one agreed theory which comprehensively explains the complexities of individual and social learning in virtual communities. Despite recognition of the Internet as a major source of many people’s informal learning, there is still comparatively limited research undertaken on how this happens. This study is intended to assist in the reduction of this gap by examining aspects of learning including: the connection between autonomous learners and virtual communities; the effect of the written format of the communities observed on dispersing meaning; and the impact of the virtuality of the community on the process of learning and creation of meaning. By undertaking an ethnographical examination of the nature of learning in two informal virtual communities based around written asynchronous forums, this study is intended to contribute to understanding the worth of informal learning in virtual communities where learning occurs between peers. This study contributes to knowledge through its exploration of the way learning occurs in un-facilitated environments and the legitimacy of the outcomes of that learning. Through this exploration, it fosters an appreciation of the value of meaning created in these social environments, as well as their role in validation of communal and individual meaning. It is able to do this by circumnavigating the difficulties earlier researchers have had in developing in-depth studies of the topic because it does not rely implicitly on the perspectives of those participating, or limited-time observations. The study concludes that for both communities their virtuality greatly influences the way their practice develops, as well as how this practice shapes the way in which their members learn in informal environments. It also concludes that learning in these environments is a very complex, often sophisticated, and sometimes contradictory process that is governed by many different, and occasionally competing, aims of individuals and communities. This study also resolved that because of the very complexity of this learning, these two communities produce some very deep and meaningful contributions to their respective domains. As individuals connected within these communities in order to explore their interest in their respective domains, the communities became: repositories of ideas and resources; places to engage in negotiating and renegotiating meaning; and places to validate personal meaning through testing against established community understandings and peer views. Thus after extensive ethnographical research on both communities of this study, it is considered that this work advances the knowledge of learning outside the academy by providing evidence that people do learn effectively in informal virtual communities
- Description: Doctor of Philosophy
- Authors: Wilmott, Deirdre
- Date: 2016
- Type: Text , Thesis , PhD
- Full Text:
- Description: This study asks the question ‘What is the value of meaning created through social learning in informal virtual communities?’. By researching how people learn in two virtual communities of practice, based around forums, it endeavours to explore learning in online environments that are unconnected to workplace or educational institutions. Both communities studied in this project are meeting places for peers who pursue a domain of personal interest, hence neither community defines itself as a learning environment but as a social meeting place for people to share similar pursuits. The rationale of this study was to explore in-depth the plethora of resources that forum-based communities offer researchers of learning outside the academy, in order to understand the intricacies of un-facilitated social learning. A research strategy for this study was developed from Crotty's (1998) platform which defines: research methods; a methodology; a theoretical perspective; and an epistemology. Triangulated research methods of interview, observation, and personal participation form the basis of data collection. Ethnography, which incorporates auto-ethnography, was the chosen methodology, and the study is centred on a constructivist epistemology. This study employs an interpretivist theoretical perspective, relying on the approaches of two theorists to analyse the data. Both communities were explored by developing four specific propositions from an in-depth analysis of the available literature on informal learning, virtual environments and communities, together with the theoretical understandings of Wenger (1998) regarding Communities of Practice, and Candy (1991) relating to autodidactic and constructed learning. Two viewpoints were chosen because whilst there are a number of theoretical perspectives that can be applied to informal learning in a virtual environment, there is no one agreed theory which comprehensively explains the complexities of individual and social learning in virtual communities. Despite recognition of the Internet as a major source of many people’s informal learning, there is still comparatively limited research undertaken on how this happens. This study is intended to assist in the reduction of this gap by examining aspects of learning including: the connection between autonomous learners and virtual communities; the effect of the written format of the communities observed on dispersing meaning; and the impact of the virtuality of the community on the process of learning and creation of meaning. By undertaking an ethnographical examination of the nature of learning in two informal virtual communities based around written asynchronous forums, this study is intended to contribute to understanding the worth of informal learning in virtual communities where learning occurs between peers. This study contributes to knowledge through its exploration of the way learning occurs in un-facilitated environments and the legitimacy of the outcomes of that learning. Through this exploration, it fosters an appreciation of the value of meaning created in these social environments, as well as their role in validation of communal and individual meaning. It is able to do this by circumnavigating the difficulties earlier researchers have had in developing in-depth studies of the topic because it does not rely implicitly on the perspectives of those participating, or limited-time observations. The study concludes that for both communities their virtuality greatly influences the way their practice develops, as well as how this practice shapes the way in which their members learn in informal environments. It also concludes that learning in these environments is a very complex, often sophisticated, and sometimes contradictory process that is governed by many different, and occasionally competing, aims of individuals and communities. This study also resolved that because of the very complexity of this learning, these two communities produce some very deep and meaningful contributions to their respective domains. As individuals connected within these communities in order to explore their interest in their respective domains, the communities became: repositories of ideas and resources; places to engage in negotiating and renegotiating meaning; and places to validate personal meaning through testing against established community understandings and peer views. Thus after extensive ethnographical research on both communities of this study, it is considered that this work advances the knowledge of learning outside the academy by providing evidence that people do learn effectively in informal virtual communities
- Description: Doctor of Philosophy
What's in a name?: Exploring the implications of eurocentric (re)naming practices of aboriginal and torres strait islander nomenclature in australian education practices
- Weuffen, Sara, Cahir, David (Fred), Zeegers, Margaret
- Authors: Weuffen, Sara , Cahir, David (Fred) , Zeegers, Margaret
- Date: 2016
- Type: Text , Journal article
- Relation: The Australian Journal of Indigenous Education Vol. 45, no. 2 (2016), p. 181-190
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- Description: The aim of this article is to provide teachers with knowledge of ways in which Eurocentric (re)naming practices inform contemporary pedagogical approaches, while providing understandings pertinent to the mandatory inclusion of the cross-curriculum priority area: Aboriginal and Torres Strait Islander histories and cultures (Australian Curriculum Assessment and Reporting Authority, 2015). While we have focused on Eurocentric naming practices, we have also been conscious of names used by Aboriginal peoples and Torres Strait Islanders to name themselves and others and as non-Indigenous Australians we acknowledge that it is not our place to explore these in detail, or offer alternatives. In this article, we have explored the history of nomenclature as it relates to original inhabitants, the connotations of contemporary (re)naming practices in Australian education and discussed the importance of drawing on cultural protocols and engaging local communities for teaching and learning of Aboriginal and Torres Strait Islander histories and cultures. It is anticipated that discussions arising from this article may open up spaces where teachers may think about ways in which they approach Aboriginal and Torres Strait Islander histories and cultures.
- Authors: Weuffen, Sara , Cahir, David (Fred) , Zeegers, Margaret
- Date: 2016
- Type: Text , Journal article
- Relation: The Australian Journal of Indigenous Education Vol. 45, no. 2 (2016), p. 181-190
- Full Text:
- Reviewed:
- Description: The aim of this article is to provide teachers with knowledge of ways in which Eurocentric (re)naming practices inform contemporary pedagogical approaches, while providing understandings pertinent to the mandatory inclusion of the cross-curriculum priority area: Aboriginal and Torres Strait Islander histories and cultures (Australian Curriculum Assessment and Reporting Authority, 2015). While we have focused on Eurocentric naming practices, we have also been conscious of names used by Aboriginal peoples and Torres Strait Islanders to name themselves and others and as non-Indigenous Australians we acknowledge that it is not our place to explore these in detail, or offer alternatives. In this article, we have explored the history of nomenclature as it relates to original inhabitants, the connotations of contemporary (re)naming practices in Australian education and discussed the importance of drawing on cultural protocols and engaging local communities for teaching and learning of Aboriginal and Torres Strait Islander histories and cultures. It is anticipated that discussions arising from this article may open up spaces where teachers may think about ways in which they approach Aboriginal and Torres Strait Islander histories and cultures.
Who consults chiropractors in Victoria, Australia? : Reasons for attending, general health and lifestyle habits of chiropractic patients
- Charity, Melanie, Britt, Helena, Walker, Bruce, Gunn, Jane, Forsdike, Kirsty, Polus, Barbara, French, Simon
- Authors: Charity, Melanie , Britt, Helena , Walker, Bruce , Gunn, Jane , Forsdike, Kirsty , Polus, Barbara , French, Simon
- Date: 2016
- Type: Text , Journal article
- Relation: Chiropractic and Manual Therapies Vol. 24, no. 1 (2016), p. 1-9
- Full Text:
- Reviewed:
- Description: Background: COAST (Chiropractic Observational and Analysis STudy) reported the clinical practices of chiropractors. The aims of this study were to: 1) describe the chiropractic patient demographic and health characteristics; 2) describe patient-stated reasons for visiting a chiropractor; 3) describe chiropractic patient lifestyle characteristics; 4) compare, where possible, chiropractic patient characteristics to the general Australian population. Methods: Fifty-two chiropractors in Victoria, Australia, provided information for up to 100 consecutive encounters. If patients attended more than once during the 100 encounters, only data from their first encounter were included in this study. Where possible patient characteristics were compared with the general Australian population. Results: Data were collected from December 2010 to September 2012. Data were provided for 4464 encounters, representing 3287 unique individuals. The majority of chiropractic encounters were for musculoskeletal conditions or for wellness/maintenance. The majority of patient comorbidities were musculoskeletal, circulatory or endocrine/metabolic in nature. Eight hundred chiropractic patients (57 %, 95 % CI: 53-61) described their self-reported health as excellent or very good and 138 patients (10 %, 95 % CI: 8-12) as fair or poor. Seventy-one percent of adult male patients (18 years and older), and 53 % of adult female patients, were overweight or obese. Fourteen percent (n = 188, 95 % CI: 12-16) were current smokers and 27 % (n = 359, 95 % CI: 24-31) did not meet Australian alcohol consumption guidelines. Less than half of the chiropractic patients participated in vigorous exercise at least twice per week. Approximately 20 % ate one serving of vegetables or less each day, and approximately 50 % ate one serve of fruit or less each day. Compared to the general Australian population, chiropractic patients were less likely to smoke, less likely to be obese and more likely to describe their health in positive terms. However, many patients were less likely to meet alcohol consumption guidelines, drinking more than is recommended. Conclusions: In general, chiropractic patients had more positive health and lifestyle characteristics than the Australian population. However, there were a significant proportion of chiropractic patients who did not meet guideline recommendations about lifestyle habits and there is an opportunity for chiropractors to reinforce public health messages with their patients. © 2016 The Author(s).
- Authors: Charity, Melanie , Britt, Helena , Walker, Bruce , Gunn, Jane , Forsdike, Kirsty , Polus, Barbara , French, Simon
- Date: 2016
- Type: Text , Journal article
- Relation: Chiropractic and Manual Therapies Vol. 24, no. 1 (2016), p. 1-9
- Full Text:
- Reviewed:
- Description: Background: COAST (Chiropractic Observational and Analysis STudy) reported the clinical practices of chiropractors. The aims of this study were to: 1) describe the chiropractic patient demographic and health characteristics; 2) describe patient-stated reasons for visiting a chiropractor; 3) describe chiropractic patient lifestyle characteristics; 4) compare, where possible, chiropractic patient characteristics to the general Australian population. Methods: Fifty-two chiropractors in Victoria, Australia, provided information for up to 100 consecutive encounters. If patients attended more than once during the 100 encounters, only data from their first encounter were included in this study. Where possible patient characteristics were compared with the general Australian population. Results: Data were collected from December 2010 to September 2012. Data were provided for 4464 encounters, representing 3287 unique individuals. The majority of chiropractic encounters were for musculoskeletal conditions or for wellness/maintenance. The majority of patient comorbidities were musculoskeletal, circulatory or endocrine/metabolic in nature. Eight hundred chiropractic patients (57 %, 95 % CI: 53-61) described their self-reported health as excellent or very good and 138 patients (10 %, 95 % CI: 8-12) as fair or poor. Seventy-one percent of adult male patients (18 years and older), and 53 % of adult female patients, were overweight or obese. Fourteen percent (n = 188, 95 % CI: 12-16) were current smokers and 27 % (n = 359, 95 % CI: 24-31) did not meet Australian alcohol consumption guidelines. Less than half of the chiropractic patients participated in vigorous exercise at least twice per week. Approximately 20 % ate one serving of vegetables or less each day, and approximately 50 % ate one serve of fruit or less each day. Compared to the general Australian population, chiropractic patients were less likely to smoke, less likely to be obese and more likely to describe their health in positive terms. However, many patients were less likely to meet alcohol consumption guidelines, drinking more than is recommended. Conclusions: In general, chiropractic patients had more positive health and lifestyle characteristics than the Australian population. However, there were a significant proportion of chiropractic patients who did not meet guideline recommendations about lifestyle habits and there is an opportunity for chiropractors to reinforce public health messages with their patients. © 2016 The Author(s).
Xenopus LAP2β protein knockdown affects location of lamin B and nucleoporins and has effect on assembly of cell nucleus and cell viability
- Dubińska-Magiera, M., Chmielewska, M., Kozioł, K., Machowska, M., Hutchison, C. J., Goldberg, M. W., Rzepecki, R.
- Authors: Dubińska-Magiera, M. , Chmielewska, M. , Kozioł, K. , Machowska, M. , Hutchison, C. J. , Goldberg, M. W. , Rzepecki, R.
- Date: 2016
- Type: Text , Journal article
- Relation: Protoplasma Vol. 253, no. 3 (2016), p. 943-956
- Full Text:
- Reviewed:
- Description: Xenopus LAP2β protein is the single isoform expressed in XTC cells. The protein localizes on heterochromatin clusters both at the nuclear envelope and inside a cell nucleus. The majority of XLAP2β fraction neither colocalizes with TPX2 protein during interphase nor can be immunoprecipitated with XLAP2β antibody. Knockdown of the XLAP2β protein expression in XTC cells by synthetic siRNA and plasmid encoded siRNA resulted in nuclear abnormalities including changes in shape of nuclei, abnormal chromatin structure, loss of nuclear envelope, mislocalization of integral membrane proteins of INM such as lamin B2, mislocalization of nucleoporins, and cell death. Based on timing of cell death, we suggest mechanism associated with nucleus reassembly or with entry into mitosis. This confirms that Xenopus LAP2 protein is essential for the maintenance of cell nucleus integrity and the process of its reassembly after mitosis. © 2015, The Author(s).
- Authors: Dubińska-Magiera, M. , Chmielewska, M. , Kozioł, K. , Machowska, M. , Hutchison, C. J. , Goldberg, M. W. , Rzepecki, R.
- Date: 2016
- Type: Text , Journal article
- Relation: Protoplasma Vol. 253, no. 3 (2016), p. 943-956
- Full Text:
- Reviewed:
- Description: Xenopus LAP2β protein is the single isoform expressed in XTC cells. The protein localizes on heterochromatin clusters both at the nuclear envelope and inside a cell nucleus. The majority of XLAP2β fraction neither colocalizes with TPX2 protein during interphase nor can be immunoprecipitated with XLAP2β antibody. Knockdown of the XLAP2β protein expression in XTC cells by synthetic siRNA and plasmid encoded siRNA resulted in nuclear abnormalities including changes in shape of nuclei, abnormal chromatin structure, loss of nuclear envelope, mislocalization of integral membrane proteins of INM such as lamin B2, mislocalization of nucleoporins, and cell death. Based on timing of cell death, we suggest mechanism associated with nucleus reassembly or with entry into mitosis. This confirms that Xenopus LAP2 protein is essential for the maintenance of cell nucleus integrity and the process of its reassembly after mitosis. © 2015, The Author(s).
‘Making change: Digital activism and public pressure on livestock welfare’
- Mummery, Jane, Rodan, Debbie, Nolton, Marnie
- Authors: Mummery, Jane , Rodan, Debbie , Nolton, Marnie
- Date: 2016
- Type: Text , Journal article
- Relation: New Media Philosophy Vol. 6, no. (2016), p.
- Full Text:
- Reviewed:
- Description: Legal protection of animal welfare in Australia is problematic with livestock (defined here as all animals farmed for use and profit, including poultry and aquatic animals) being effectively excluded from the majority of animal protection statutes. Such legal exclusions, joined with the inherent challenges of legal reform in this field—significant issues to do with standing, costs bearing and jurisdiction—have increased the difficulties of successful litigation. Despite explicit recognition of the necessity for reform in Australian animal law—in 2008 the Australian Law Reform Commission journal, Reform, described animal welfare and animal rights as the ‘next great social justice movement’—a number of legal strategies for reform have been summed up by the Principal Solicitor for the Pro Bono Animal Law Service (PALS), the national legal referral service for animal law operating between 2009 and 2013, as having been exhausted. Specifically, the challenges of standing and costs bearing have meant that many meritorious animal welfare matters have not been able to be pursued within the legal domain
- Authors: Mummery, Jane , Rodan, Debbie , Nolton, Marnie
- Date: 2016
- Type: Text , Journal article
- Relation: New Media Philosophy Vol. 6, no. (2016), p.
- Full Text:
- Reviewed:
- Description: Legal protection of animal welfare in Australia is problematic with livestock (defined here as all animals farmed for use and profit, including poultry and aquatic animals) being effectively excluded from the majority of animal protection statutes. Such legal exclusions, joined with the inherent challenges of legal reform in this field—significant issues to do with standing, costs bearing and jurisdiction—have increased the difficulties of successful litigation. Despite explicit recognition of the necessity for reform in Australian animal law—in 2008 the Australian Law Reform Commission journal, Reform, described animal welfare and animal rights as the ‘next great social justice movement’—a number of legal strategies for reform have been summed up by the Principal Solicitor for the Pro Bono Animal Law Service (PALS), the national legal referral service for animal law operating between 2009 and 2013, as having been exhausted. Specifically, the challenges of standing and costs bearing have meant that many meritorious animal welfare matters have not been able to be pursued within the legal domain
"So what I do is bang in the search term and see how I go" The information-seeking approaches of Arts Academy students
- Authors: Claridge, Cheryl
- Date: 2015
- Type: Text , Thesis , Masters
- Full Text:
- Description: In this qualitative research project I investigated the use of library systems by a cohort of students from the University of Ballarat Arts Academy. The purpose of the study was to build a clearer picture of how these students use the library resources for their information-seeking, with a view to improving the provision of library services, resources and training. In particular I aimed to identify whether this cohort had a common approach to information-seeking. In this study I thematically analysed the data from eight think-aloud protocols and semi- structured interviews. Participants were Arts Academy students studying Performing Arts, Visual Arts or a Visual Arts/Education dual-degree who were searching for information to complete an assessment task. With the exception of two second year dual-degree students all participants were first year students. The steps taken by participants in information-seeking were identified and the successes and difficulties they experienced with the library’s systems highlighted. The participants in this cohort did not share one specific ‘information-seeking style’ however I identified some common factors across this group of students. All of the participants engaged in a staged process to source the information they required, although in some cases this process was non-linear. They did not however utilise the full capabilities of the search tools they used or access potentially useful tools and resources which the library provides. A number of participants were reticent about using eResources as they had been instructed not to use internet resources for assessment tasks. As a result of this inquiry I have made recommendations relating to the provision of library training and services, collection maintenance and library record standards. Collaboration between library and academic staff would be required to implement these recommendations to ensure optimum outcomes. Areas highlighted for future research include similar studies with student cohorts from different disciplines and an examination of students’ approaches to choosing a topic or focus for assessment tasks.
- Description: Master of Education (Research)
- Authors: Claridge, Cheryl
- Date: 2015
- Type: Text , Thesis , Masters
- Full Text:
- Description: In this qualitative research project I investigated the use of library systems by a cohort of students from the University of Ballarat Arts Academy. The purpose of the study was to build a clearer picture of how these students use the library resources for their information-seeking, with a view to improving the provision of library services, resources and training. In particular I aimed to identify whether this cohort had a common approach to information-seeking. In this study I thematically analysed the data from eight think-aloud protocols and semi- structured interviews. Participants were Arts Academy students studying Performing Arts, Visual Arts or a Visual Arts/Education dual-degree who were searching for information to complete an assessment task. With the exception of two second year dual-degree students all participants were first year students. The steps taken by participants in information-seeking were identified and the successes and difficulties they experienced with the library’s systems highlighted. The participants in this cohort did not share one specific ‘information-seeking style’ however I identified some common factors across this group of students. All of the participants engaged in a staged process to source the information they required, although in some cases this process was non-linear. They did not however utilise the full capabilities of the search tools they used or access potentially useful tools and resources which the library provides. A number of participants were reticent about using eResources as they had been instructed not to use internet resources for assessment tasks. As a result of this inquiry I have made recommendations relating to the provision of library training and services, collection maintenance and library record standards. Collaboration between library and academic staff would be required to implement these recommendations to ensure optimum outcomes. Areas highlighted for future research include similar studies with student cohorts from different disciplines and an examination of students’ approaches to choosing a topic or focus for assessment tasks.
- Description: Master of Education (Research)