Efficient HEVC scheme using motion type categorization
- Podder, Pallab, Paul, Manoranjan, Murshed, Manzur
- Authors: Podder, Pallab , Paul, Manoranjan , Murshed, Manzur
- Date: 2014
- Type: Text , Conference proceedings
- Relation: 10th International Conference on emerging Networking EXperiments and Technologies (CoNEXT); Sydney, Australia; 2nd-5th December 2014; published in Proceedings of the 2014 Workshop on Design, Quality and Deployment of Adaptive Video Streaming p. 41-42
- Relation: http://purl.org/au-research/grants/arc/DP130103670
- Full Text:
- Reviewed:
- Description: High Efficiency Video Coding (HEVC) standard introduces a number of innovative tools which can reduce approximately 50% bit-rate compared to its predecessor H.264/AVC at the same perceptual video quality whereas the computational time has increased multiple times. To reduce the encoding time while preserving the expected video quality has become a real challenge today for video transmission and streaming especially using low-powered devices. Motion estimation (ME) and motion compensation (MC) using variable-size blocks (i.e., intermodes) require 60-80% of total computational time. In this paper we propose a new efficient intermode selection technique based on phase correlation and incorporate into HEVC framework to predict ME and MC modes and perform faster intermode selection based on three dissimilar motion types in different videos. Instead of exploring all the modes exhaustively we select a subset of modes using motion type and the final mode is selected based on the Lagrangian cost function. The experimental results show that compared to HEVC the average computational time can be downscaled by 34% while providing the similar rate-distortion (RD) performance.
- Authors: Podder, Pallab , Paul, Manoranjan , Murshed, Manzur
- Date: 2014
- Type: Text , Conference proceedings
- Relation: 10th International Conference on emerging Networking EXperiments and Technologies (CoNEXT); Sydney, Australia; 2nd-5th December 2014; published in Proceedings of the 2014 Workshop on Design, Quality and Deployment of Adaptive Video Streaming p. 41-42
- Relation: http://purl.org/au-research/grants/arc/DP130103670
- Full Text:
- Reviewed:
- Description: High Efficiency Video Coding (HEVC) standard introduces a number of innovative tools which can reduce approximately 50% bit-rate compared to its predecessor H.264/AVC at the same perceptual video quality whereas the computational time has increased multiple times. To reduce the encoding time while preserving the expected video quality has become a real challenge today for video transmission and streaming especially using low-powered devices. Motion estimation (ME) and motion compensation (MC) using variable-size blocks (i.e., intermodes) require 60-80% of total computational time. In this paper we propose a new efficient intermode selection technique based on phase correlation and incorporate into HEVC framework to predict ME and MC modes and perform faster intermode selection based on three dissimilar motion types in different videos. Instead of exploring all the modes exhaustively we select a subset of modes using motion type and the final mode is selected based on the Lagrangian cost function. The experimental results show that compared to HEVC the average computational time can be downscaled by 34% while providing the similar rate-distortion (RD) performance.
Embedding professional skills in the ICT curriculum
- Konsky, Brian von, Jones, Ashley, Miller, Charlynn
- Authors: Konsky, Brian von , Jones, Ashley , Miller, Charlynn
- Date: 2014
- Type: Text , Conference paper
- Relation: Electric dreams 30th Ascilite conference 2013 p. 883-887
- Full Text:
- Reviewed:
- Description: This paper reports on a preliminary investigation into the technology and techniques for designing and managing higher education programs in Information and Communications Technology (ICT). The approach outlined is based on the Skills Framework for the Information Age (SFIA) and is informed by data arising from the Australian Computer Society (ACS) Computer Professional education Program (CPeP). It is intended that this work will inform subsequent research to improve dialogue between Industry Advisory Boards, Professional Societies, and their academic partners as they design, implement, and accredit higher education programs in ICT. It is further intended that this will contribute to the development of ICT curriculum that is aligned with industry expectations and prepares ICT graduates for professional practice. Future directions for improving SFIA based curriculum design and facilitating better stakeholder communication and collaboration are discussed
- Authors: Konsky, Brian von , Jones, Ashley , Miller, Charlynn
- Date: 2014
- Type: Text , Conference paper
- Relation: Electric dreams 30th Ascilite conference 2013 p. 883-887
- Full Text:
- Reviewed:
- Description: This paper reports on a preliminary investigation into the technology and techniques for designing and managing higher education programs in Information and Communications Technology (ICT). The approach outlined is based on the Skills Framework for the Information Age (SFIA) and is informed by data arising from the Australian Computer Society (ACS) Computer Professional education Program (CPeP). It is intended that this work will inform subsequent research to improve dialogue between Industry Advisory Boards, Professional Societies, and their academic partners as they design, implement, and accredit higher education programs in ICT. It is further intended that this will contribute to the development of ICT curriculum that is aligned with industry expectations and prepares ICT graduates for professional practice. Future directions for improving SFIA based curriculum design and facilitating better stakeholder communication and collaboration are discussed
Emergency resuscitation team roles: What constitutes a team and who's looking after the family
- Porter, Joanne, Cooper, Simon J., Taylor, Beverley
- Authors: Porter, Joanne , Cooper, Simon J. , Taylor, Beverley
- Date: 2014
- Type: Text , Journal article
- Relation: Journal of Nursing Education and Practice Vol. 4, no. 3 (2014), p. 124
- Full Text:
- Reviewed:
- Description: Aim of study: This study aimed to investigate the attitudes of personnel working in emergency departments on the constitution of a resuscitation team in particular the perceptions of the family liaison role. Methods: A paper base survey on family presence during resuscitation was distributed to emergency personnel working in 18 public departments in the state of Victoria, Australia. Results: A combination of nurses (n = 282) and doctors (n = 65) working in rural and metropolitan emergency departments, identified seven unique resuscitation team roles. Resuscitation teams were identified as comprising of three doctors, three nurses and one other which could be either. Respondents identified seven unique roles as consisting of a team leader, airway doctor, airway nurse, procedure doctor and procedure nurse, drugs nurse and a scribe. The respondents identified the following components as key to discussions with family members; emergency personnel, reassurance, diagnosis, regular updates, intervention, and prognosis (ER-DRIP). Conclusion: The acronym ER-DRIP can be used as a reminder to emergency staff when speaking with family members during resuscitation events ensuring they receive all the necessary information and support.
- Authors: Porter, Joanne , Cooper, Simon J. , Taylor, Beverley
- Date: 2014
- Type: Text , Journal article
- Relation: Journal of Nursing Education and Practice Vol. 4, no. 3 (2014), p. 124
- Full Text:
- Reviewed:
- Description: Aim of study: This study aimed to investigate the attitudes of personnel working in emergency departments on the constitution of a resuscitation team in particular the perceptions of the family liaison role. Methods: A paper base survey on family presence during resuscitation was distributed to emergency personnel working in 18 public departments in the state of Victoria, Australia. Results: A combination of nurses (n = 282) and doctors (n = 65) working in rural and metropolitan emergency departments, identified seven unique resuscitation team roles. Resuscitation teams were identified as comprising of three doctors, three nurses and one other which could be either. Respondents identified seven unique roles as consisting of a team leader, airway doctor, airway nurse, procedure doctor and procedure nurse, drugs nurse and a scribe. The respondents identified the following components as key to discussions with family members; emergency personnel, reassurance, diagnosis, regular updates, intervention, and prognosis (ER-DRIP). Conclusion: The acronym ER-DRIP can be used as a reminder to emergency staff when speaking with family members during resuscitation events ensuring they receive all the necessary information and support.
Enhanced multizone single-trip sand-control system successfully treats six zones in offshore Indonesia well
- Zhou, Leon, Gunawan, Indra, Jannise, Ricki, Suire, Casey, Eiman, Tyson
- Authors: Zhou, Leon , Gunawan, Indra , Jannise, Ricki , Suire, Casey , Eiman, Tyson
- Date: 2014
- Type: Text , Conference paper
- Relation: Offshore Technology Conference Asia: Meeting the Challenges for Asia's Growth, OTC ASIA 2014 p. 1799-1808
- Full Text:
- Reviewed:
- Description: Although multiple-zone, downhole sand-control tool systems have been in use since the early 1990s, these systems had been designed for jobs that only required low-pump-rates with low-pressure differentials. Multiple-zone systems capable of high fracturing pump rates and the associated differentials only recently have been introduced to the oilfield. Although these jobs are becoming more common, most of the completions have been limited to four or five treated zones. This paper presents a case history from Indonesia in which six discrete zones in an offshore deployment were treated successfully in a single trip. The challenges for this completion were numerous. Manufacturing lead time was very short, and the system would have to be adapted to the unique requirements of the completion design and the use of new components. Since the proppant and pump rating for these systems was based on five zones, rigorous analysis was necessary to ensure that a high pump rate, high differential pressure-rated single-trip, multiple-zone sand-control tool system was capable of treating six zones and that the crossover tool would survive the erosive effects of these extreme conditions. To provide assurance of the elastomeric seal integrity of the service tool, a testing program was executed for treatments to provide tracking and verification of conditions. Procedures were prepared, and equipment was retained on hand to replace the service tools, if any leaks were evident. Since system installation experience was limited in this area, gathering sufficient knowledge and experience for system deployment had to be addressed quickly. This would require sharing of lessons learned, use of experienced personnel from previous installations, and conducting of detailed training discussions between subject matter experts and service personnel. Deployment challenges and solutions, successes experienced at the well site, and the actual performance of the operations are discussed in this paper.
- Authors: Zhou, Leon , Gunawan, Indra , Jannise, Ricki , Suire, Casey , Eiman, Tyson
- Date: 2014
- Type: Text , Conference paper
- Relation: Offshore Technology Conference Asia: Meeting the Challenges for Asia's Growth, OTC ASIA 2014 p. 1799-1808
- Full Text:
- Reviewed:
- Description: Although multiple-zone, downhole sand-control tool systems have been in use since the early 1990s, these systems had been designed for jobs that only required low-pump-rates with low-pressure differentials. Multiple-zone systems capable of high fracturing pump rates and the associated differentials only recently have been introduced to the oilfield. Although these jobs are becoming more common, most of the completions have been limited to four or five treated zones. This paper presents a case history from Indonesia in which six discrete zones in an offshore deployment were treated successfully in a single trip. The challenges for this completion were numerous. Manufacturing lead time was very short, and the system would have to be adapted to the unique requirements of the completion design and the use of new components. Since the proppant and pump rating for these systems was based on five zones, rigorous analysis was necessary to ensure that a high pump rate, high differential pressure-rated single-trip, multiple-zone sand-control tool system was capable of treating six zones and that the crossover tool would survive the erosive effects of these extreme conditions. To provide assurance of the elastomeric seal integrity of the service tool, a testing program was executed for treatments to provide tracking and verification of conditions. Procedures were prepared, and equipment was retained on hand to replace the service tools, if any leaks were evident. Since system installation experience was limited in this area, gathering sufficient knowledge and experience for system deployment had to be addressed quickly. This would require sharing of lessons learned, use of experienced personnel from previous installations, and conducting of detailed training discussions between subject matter experts and service personnel. Deployment challenges and solutions, successes experienced at the well site, and the actual performance of the operations are discussed in this paper.
Ensuring implementation success: how should coach injury prevention education be improved if we want coaches to deliver safety programmes during training sessions?
- White, Peta, Otago, Leonie, Saunders, Natalie, Romiti, Maria, Donaldson, Alex, Ullah, Shahid, Finch, Caroline
- Authors: White, Peta , Otago, Leonie , Saunders, Natalie , Romiti, Maria , Donaldson, Alex , Ullah, Shahid , Finch, Caroline
- Date: 2014
- Type: Text , Journal article
- Relation: British Journal of Sports Medicine Vol. 48, no. 5 (2014), p. 402-403
- Relation: http://purl.org/au-research/grants/nhmrc/565900
- Full Text:
- Reviewed:
- Description: Coaches play a major role in encouraging and ensuring that participants of their teams adopt appropriate safety practices. However, the extent to which the coaches undertake this role will depend upon their attitudes about injury prevention, their perceptions of what the other coaches usually do and their own beliefs about how much control they have in delivering such programmes. Fifty-one junior netball coaches were surveyed about incorporating the teaching of correct (safe) landing technique during their delivery of training sessions to junior players. Overall, >94% of coaches had strongly positive attitudes towards teaching correct landing technique and >80% had strongly positive perceptions of their own control over delivering such programmes. Coaches’ ratings of social norms relating to what others think about teaching safe landing were more positive (>94%) than those relating to what others actually do (63–74%). In conclusion, the junior coaches were generally receptive towards delivering safe landing training programmes in the training sessions they led. Future coach education could include role modelling by prominent coaches so that more community-level coaches are aware that this is a behaviour that many coaches can, and do, engage in.
- Authors: White, Peta , Otago, Leonie , Saunders, Natalie , Romiti, Maria , Donaldson, Alex , Ullah, Shahid , Finch, Caroline
- Date: 2014
- Type: Text , Journal article
- Relation: British Journal of Sports Medicine Vol. 48, no. 5 (2014), p. 402-403
- Relation: http://purl.org/au-research/grants/nhmrc/565900
- Full Text:
- Reviewed:
- Description: Coaches play a major role in encouraging and ensuring that participants of their teams adopt appropriate safety practices. However, the extent to which the coaches undertake this role will depend upon their attitudes about injury prevention, their perceptions of what the other coaches usually do and their own beliefs about how much control they have in delivering such programmes. Fifty-one junior netball coaches were surveyed about incorporating the teaching of correct (safe) landing technique during their delivery of training sessions to junior players. Overall, >94% of coaches had strongly positive attitudes towards teaching correct landing technique and >80% had strongly positive perceptions of their own control over delivering such programmes. Coaches’ ratings of social norms relating to what others think about teaching safe landing were more positive (>94%) than those relating to what others actually do (63–74%). In conclusion, the junior coaches were generally receptive towards delivering safe landing training programmes in the training sessions they led. Future coach education could include role modelling by prominent coaches so that more community-level coaches are aware that this is a behaviour that many coaches can, and do, engage in.
Estimating visual quality, a component of culturally-associated ecosystem services in palaeo-lake environments
- Chhetri, Prem, Kattel, Giri, Dong, Xuhui, Yang, Xiangdong, Min, Xu
- Authors: Chhetri, Prem , Kattel, Giri , Dong, Xuhui , Yang, Xiangdong , Min, Xu
- Date: 2014
- Type: Text , Conference paper
- Relation: Symposium on Australia-China Wetland Network Research Partnership; Nanjing Institute of Geography and Limnology Chinese Academy of Sciences (NIGLAS) Nanjing, China; 23rd-28th December 2014 p. 23-26
- Full Text:
- Reviewed:
- Description: Evaluation of visual quality is essentially a multi-dimensional and multi-sensory experience of landscape assessment. Visual quality refers to the character, condition and quality of lakes/wetlands. It involves perceiving, preferring and valuing the visual quality by the public. Visual quality is an outcome of the perceptual, cognitive and emotional processes in response to visual stimuli of a lake environment. Visual quality therefore is dependent upon the perceptual and structural aspects of perceived scenes of wetlands. Visual assessment, an evaluating process of gaining non-material or intangible benefits by people from ecosystems, through spiritual enrichment, cognitive development, self-reflection, recreation, and aesthetic experiences, has now become one of significant research areas under cultural components of ecosystem services. Public perception in such studies is composed from both the objective and subjective elements of human–landscape interactions. However, it is still a matter of debate whether subjective–objective realities are dichotomous or supplementary to enhancing the quality of human experiences in natural settings. In fact, much research considers them as inseparable and integral parts of landscape perception, despite the tendency for disintegrating landscapes into their constituent components. There is a fundamental theoretical divergence of opinions over the question whether a landscape has an intrinsic or ‘objective’ beauty, which may be in some ways measurable or comparable, or whether beauty is a value that can be only attributed subjectively to an area or a specific landscape.
- Authors: Chhetri, Prem , Kattel, Giri , Dong, Xuhui , Yang, Xiangdong , Min, Xu
- Date: 2014
- Type: Text , Conference paper
- Relation: Symposium on Australia-China Wetland Network Research Partnership; Nanjing Institute of Geography and Limnology Chinese Academy of Sciences (NIGLAS) Nanjing, China; 23rd-28th December 2014 p. 23-26
- Full Text:
- Reviewed:
- Description: Evaluation of visual quality is essentially a multi-dimensional and multi-sensory experience of landscape assessment. Visual quality refers to the character, condition and quality of lakes/wetlands. It involves perceiving, preferring and valuing the visual quality by the public. Visual quality is an outcome of the perceptual, cognitive and emotional processes in response to visual stimuli of a lake environment. Visual quality therefore is dependent upon the perceptual and structural aspects of perceived scenes of wetlands. Visual assessment, an evaluating process of gaining non-material or intangible benefits by people from ecosystems, through spiritual enrichment, cognitive development, self-reflection, recreation, and aesthetic experiences, has now become one of significant research areas under cultural components of ecosystem services. Public perception in such studies is composed from both the objective and subjective elements of human–landscape interactions. However, it is still a matter of debate whether subjective–objective realities are dichotomous or supplementary to enhancing the quality of human experiences in natural settings. In fact, much research considers them as inseparable and integral parts of landscape perception, despite the tendency for disintegrating landscapes into their constituent components. There is a fundamental theoretical divergence of opinions over the question whether a landscape has an intrinsic or ‘objective’ beauty, which may be in some ways measurable or comparable, or whether beauty is a value that can be only attributed subjectively to an area or a specific landscape.
Experimental and numerical study of the dependency of interface fracture in concrete–rock specimens on mode mixity
- Zhong, Hong, Ooi, Ean Tat, Song, Chongmin, Ding, Tao, Lin, Gao, Li, Hongjun
- Authors: Zhong, Hong , Ooi, Ean Tat , Song, Chongmin , Ding, Tao , Lin, Gao , Li, Hongjun
- Date: 2014
- Type: Text , Journal article
- Relation: Engineering Fracture Mechanics Vol.124-125, no. (2014), p. 287-309
- Full Text:
- Reviewed:
- Authors: Zhong, Hong , Ooi, Ean Tat , Song, Chongmin , Ding, Tao , Lin, Gao , Li, Hongjun
- Date: 2014
- Type: Text , Journal article
- Relation: Engineering Fracture Mechanics Vol.124-125, no. (2014), p. 287-309
- Full Text:
- Reviewed:
Expressions of climate perturbations in western ugandan crater lake sediment records during the last 1000 years
- Mills, Keely, Ryves, David, Anderson, Nicholas, Bryant, Charlotte, Tyler, J.J.
- Authors: Mills, Keely , Ryves, David , Anderson, Nicholas , Bryant, Charlotte , Tyler, J.J.
- Date: 2014
- Type: Text , Journal article
- Relation: Climate of the Past Vol. 10, no. 4 (2014), p. 1581-1601
- Full Text:
- Reviewed:
- Description: Equatorial East Africa has a complex regional patchwork of climate regimes, sensitive to climate fluctuations over a variety of temporal and spatial scales during the late Holocene. Understanding how these changes are recorded in and interpreted from biological and geochemical proxies in lake sedimentary records remains a key challenge to answering fundamental questions regarding the nature, spatial extent and synchroneity of climatic changes seen in East African palaeo-records. Using a paired lake approach, where neighbouring lakes share the same geology, climate and landscape, it might be expected that the systems will respond similarly to external climate forcing. Sediment cores from two crater lakes in western Uganda spanning the last ∼1000 years were examined to assess diatom community responses to late Holocene climate and environmental changes, and to test responses to multiple drivers using redundancy analysis (RDA). These archives provide annual to sub-decadal records of environmental change
- Authors: Mills, Keely , Ryves, David , Anderson, Nicholas , Bryant, Charlotte , Tyler, J.J.
- Date: 2014
- Type: Text , Journal article
- Relation: Climate of the Past Vol. 10, no. 4 (2014), p. 1581-1601
- Full Text:
- Reviewed:
- Description: Equatorial East Africa has a complex regional patchwork of climate regimes, sensitive to climate fluctuations over a variety of temporal and spatial scales during the late Holocene. Understanding how these changes are recorded in and interpreted from biological and geochemical proxies in lake sedimentary records remains a key challenge to answering fundamental questions regarding the nature, spatial extent and synchroneity of climatic changes seen in East African palaeo-records. Using a paired lake approach, where neighbouring lakes share the same geology, climate and landscape, it might be expected that the systems will respond similarly to external climate forcing. Sediment cores from two crater lakes in western Uganda spanning the last ∼1000 years were examined to assess diatom community responses to late Holocene climate and environmental changes, and to test responses to multiple drivers using redundancy analysis (RDA). These archives provide annual to sub-decadal records of environmental change
Facially exposed cones are not always nice
- Authors: Roshchina, Vera
- Date: 2014
- Type: Text , Journal article
- Relation: SIAM Journal on Optimization Vol. 24, no. 1 (2014), p. 257-268
- Full Text:
- Reviewed:
- Description: We address the conjecture proposed by Gábor Pataki that every facially exposed cone is nice. We show that the conjecture is true in the three-dimensional case; however, there exists a four-dimensional counterexample of a cone that is facially exposed but is not nice.
- Authors: Roshchina, Vera
- Date: 2014
- Type: Text , Journal article
- Relation: SIAM Journal on Optimization Vol. 24, no. 1 (2014), p. 257-268
- Full Text:
- Reviewed:
- Description: We address the conjecture proposed by Gábor Pataki that every facially exposed cone is nice. We show that the conjecture is true in the three-dimensional case; however, there exists a four-dimensional counterexample of a cone that is facially exposed but is not nice.
Financial view and profitability evaluation on multistate weighted k-out-of-n:F system reliability
- Khorshidi, Hadi, Gunawan, Indra, Ibrahim, Yousef
- Authors: Khorshidi, Hadi , Gunawan, Indra , Ibrahim, Yousef
- Date: 2014
- Type: Text , Journal article
- Relation: International Journal of Reliability and Safety Vol. 8, no. 2-4 (2014), p. 284-298
- Full Text:
- Reviewed:
- Description: A financial view is proposed for reliability evaluation of multi-state weighted k-out-of-n:F systems. Failure cost as the cost which is imposed on the components by failures is used to denote the importance weight of each component. The deterioration process of components over time is modelled by Markov chain. System failure behaviour is formulated by Universal Generating Function (UGF). Furthermore, the present value of system failure is calculated by considering time value of money. As a result, the system reliability is demonstrated as cost which is more sensible for managers. A numerical example is presented to illustrate the proposed approach. After that, a way is suggested to transform the system cost present value into system reliability value. MATLAB programming is developed to make a sensitivity analysis on example results. Therefore, the impact of maintenance activities is investigated to show how they can reduce system cost through improving the system reliability. Copyright © 2014 Inderscience Enterprises Ltd.
- Authors: Khorshidi, Hadi , Gunawan, Indra , Ibrahim, Yousef
- Date: 2014
- Type: Text , Journal article
- Relation: International Journal of Reliability and Safety Vol. 8, no. 2-4 (2014), p. 284-298
- Full Text:
- Reviewed:
- Description: A financial view is proposed for reliability evaluation of multi-state weighted k-out-of-n:F systems. Failure cost as the cost which is imposed on the components by failures is used to denote the importance weight of each component. The deterioration process of components over time is modelled by Markov chain. System failure behaviour is formulated by Universal Generating Function (UGF). Furthermore, the present value of system failure is calculated by considering time value of money. As a result, the system reliability is demonstrated as cost which is more sensible for managers. A numerical example is presented to illustrate the proposed approach. After that, a way is suggested to transform the system cost present value into system reliability value. MATLAB programming is developed to make a sensitivity analysis on example results. Therefore, the impact of maintenance activities is investigated to show how they can reduce system cost through improving the system reliability. Copyright © 2014 Inderscience Enterprises Ltd.
Finding Indigenous history in the RHSV collections
- Authors: Cahir, David (Fred)
- Date: 2014
- Type: Text , Journal article
- Relation: Victorian Historical Journal Vol. 85, no. 1 (2014), p. 12-30
- Full Text:
- Reviewed:
- Description: This paper is a fuller version of a lecture delivered at the RHSV for the Annual Melbourne Day Lecture in 2011, which focused on locating Aboriginal history in the Royal Historical Society of Victoria (RHSV) collections. This paper highlights some of my finds within the RHSV archives over the years - sometimes just a rakish sentence, and other times a major peeling back of the historical onion. In addition, the strengths and challenges of researching Aboriginal history, and specifically at the RHSV, are discussed, providing a greater indication of the enormous worth of the RHSV manuscript collection in adding to our knowledge of the impact of Aboriginal Victorians on the development of the colony.
- Authors: Cahir, David (Fred)
- Date: 2014
- Type: Text , Journal article
- Relation: Victorian Historical Journal Vol. 85, no. 1 (2014), p. 12-30
- Full Text:
- Reviewed:
- Description: This paper is a fuller version of a lecture delivered at the RHSV for the Annual Melbourne Day Lecture in 2011, which focused on locating Aboriginal history in the Royal Historical Society of Victoria (RHSV) collections. This paper highlights some of my finds within the RHSV archives over the years - sometimes just a rakish sentence, and other times a major peeling back of the historical onion. In addition, the strengths and challenges of researching Aboriginal history, and specifically at the RHSV, are discussed, providing a greater indication of the enormous worth of the RHSV manuscript collection in adding to our knowledge of the impact of Aboriginal Victorians on the development of the colony.
FOMO : The fear of missing out
- Authors: Ives, Bryce
- Date: 2014
- Type: Text , Visual art work
- Full Text:
- Authors: Ives, Bryce
- Date: 2014
- Type: Text , Visual art work
- Full Text:
Food security in a regional area of Australia : a socio-economic perspective
- Le, Quynh, Auckland, Stuart, Nguyen, Hoang, Murray, Sandra, Long, Gretchen, Terry, Daniel
- Authors: Le, Quynh , Auckland, Stuart , Nguyen, Hoang , Murray, Sandra , Long, Gretchen , Terry, Daniel
- Date: 2014
- Type: Text , Journal article
- Relation: Universal Journal of Food and Nutrition Science Vol. 2, no. 4 (2014), p. 50-59
- Full Text:
- Reviewed:
- Authors: Le, Quynh , Auckland, Stuart , Nguyen, Hoang , Murray, Sandra , Long, Gretchen , Terry, Daniel
- Date: 2014
- Type: Text , Journal article
- Relation: Universal Journal of Food and Nutrition Science Vol. 2, no. 4 (2014), p. 50-59
- Full Text:
- Reviewed:
From the Farkas lemma to the Hahn-Banach theorem
- Dinh, Nguyen, Goberna, Miguel, López, Marco, Mo, T. H.
- Authors: Dinh, Nguyen , Goberna, Miguel , López, Marco , Mo, T. H.
- Date: 2014
- Type: Text , Journal article
- Relation: SIAM Journal on Optimization Vol. 24, no. 2 (2014), p. 678-701
- Full Text:
- Reviewed:
- Description: This paper provides new versions of the Farkas lemma characterizing those inequalities of the form f(x) ≥ 0 which are consequences of a composite convex inequality (S ° g)(x) ≤ 0 on a closed convex subset of a given locally convex topological vector space X, where f is a proper lower semicontinuous convex function defined on X, S is an extended sublinear function, and g is a vector-valued S-convex function. In parallel, associated versions of a stable Farkas lemma, considering arbitrary linear perturbations of f, are also given. These new versions of the Farkas lemma, and their corresponding stable forms, are established under the weakest constraint qualification conditions (the so-called closedness conditions), and they are actually equivalent to each other, as well as quivalent to an extended version of the so-called Hahn-Banach-Lagrange theorem, and its stable version, correspondingly. It is shown that any of them implies analytic and algebraic versions of the Hahn-Banach theorem and the Mazur-Orlicz theorem for extended sublinear functions.
- Authors: Dinh, Nguyen , Goberna, Miguel , López, Marco , Mo, T. H.
- Date: 2014
- Type: Text , Journal article
- Relation: SIAM Journal on Optimization Vol. 24, no. 2 (2014), p. 678-701
- Full Text:
- Reviewed:
- Description: This paper provides new versions of the Farkas lemma characterizing those inequalities of the form f(x) ≥ 0 which are consequences of a composite convex inequality (S ° g)(x) ≤ 0 on a closed convex subset of a given locally convex topological vector space X, where f is a proper lower semicontinuous convex function defined on X, S is an extended sublinear function, and g is a vector-valued S-convex function. In parallel, associated versions of a stable Farkas lemma, considering arbitrary linear perturbations of f, are also given. These new versions of the Farkas lemma, and their corresponding stable forms, are established under the weakest constraint qualification conditions (the so-called closedness conditions), and they are actually equivalent to each other, as well as quivalent to an extended version of the so-called Hahn-Banach-Lagrange theorem, and its stable version, correspondingly. It is shown that any of them implies analytic and algebraic versions of the Hahn-Banach theorem and the Mazur-Orlicz theorem for extended sublinear functions.
Full stability of locally optimal solutions in second-order cone programs
- Mordukhovich, Boris, Outrata, Jiri, Sarabi, Ebrahim
- Authors: Mordukhovich, Boris , Outrata, Jiri , Sarabi, Ebrahim
- Date: 2014
- Type: Text , Journal article
- Relation: SIAM Journal on Optimization Vol. 24, no. 4 (2014), p. 1581-1613
- Full Text:
- Reviewed:
- Description: The paper presents complete characterizations of Lipschitzian full stability of locally optimal solutions to second-order cone programs (SOCPs) expressed entirely in terms of their initial data. These characterizations are obtained via appropriate versions of the quadratic growth and strong second-order sufficient conditions under the corresponding constraint qualifications. We also establish close relationships between full stability of local minimizers for SOCPs and strong regularity of the associated generalized equations at nondegenerate points. Our approach is mainly based on advanced tools of second-order variational analysis and generalized differentiation.
- Authors: Mordukhovich, Boris , Outrata, Jiri , Sarabi, Ebrahim
- Date: 2014
- Type: Text , Journal article
- Relation: SIAM Journal on Optimization Vol. 24, no. 4 (2014), p. 1581-1613
- Full Text:
- Reviewed:
- Description: The paper presents complete characterizations of Lipschitzian full stability of locally optimal solutions to second-order cone programs (SOCPs) expressed entirely in terms of their initial data. These characterizations are obtained via appropriate versions of the quadratic growth and strong second-order sufficient conditions under the corresponding constraint qualifications. We also establish close relationships between full stability of local minimizers for SOCPs and strong regularity of the associated generalized equations at nondegenerate points. Our approach is mainly based on advanced tools of second-order variational analysis and generalized differentiation.
Genomic and flow cytometric studies of Clostridium sporogenes, a non-toxigenic surrogate for Clostridium botulinum
- Authors: Bradbury, Mark
- Date: 2014
- Type: Text , Thesis , PhD
- Full Text:
- Description: Clostridium sporogenes and Group I Clostridium botulinum are two bacterial species belonging to the same phylogenetic group, primarily differentiated by the expression of botulinum neurotoxin. Both organisms are of significant commercial importance in regards to the spoilage of and/or disease in thermally processed food products due to their ability to form heat resistant spores. As such, these species are often used as the target organism for the design of thermal inactivation processes, particularly in regards to thermal sterilisation. Two specific aspects pertaining to these organisms were investigated to further enhance knowledge with respect to their use in thermal processing studies: the genetic relationship between C. sporogenes and Group I C. botulinum; and the mechanism of heat resistance in spores of C. sporogenes. The first part of this thesis describes the assembly, annotation and analysis of the draft genome of C. sporogenes PA 3679 (the most widely used surrogate for Group I C. botulinum). These data allowed identification of unique variants genes related to spore germination, analogous toxin regions and mobile elements between species. MLST analysis revealed that phylogeny was an ineffective indicator of toxigenicity in this group and thus prompted a pan-genomic analysis. The pan-genome of C. sporogenes/Group I C. botulinum was found to consist of 8799 coding sequences (CDS’s) and a core genome consisting of 1590 CDS’s. Analysis of this pan-genome revealed the significant role that mobile genetic elements have played in genetic diversity within this group of organisms. The second part of this thesis investigated the heat inactivation of C. sporogenes PA 3679 spores in regards to structural variation and population heterogeneity. A novel flow cytometric approach was developed and utilised to investigate isothermal spore inactivation; and implications of the impact of NaCl on the intrinsic variability throughout this process and during a subsequent recovery period. Based on these approaches a possible mechanistic description for the thermal inactivation of spores was developed. Together, these studies present significant evidence supporting the continued suitability of C. sporogenes as a surrogate for Group I C. botulinum, whilst also enhancing the understanding of clostridial spore inactivation during a moist heat process.
- Description: Doctor of Philosophy
- Authors: Bradbury, Mark
- Date: 2014
- Type: Text , Thesis , PhD
- Full Text:
- Description: Clostridium sporogenes and Group I Clostridium botulinum are two bacterial species belonging to the same phylogenetic group, primarily differentiated by the expression of botulinum neurotoxin. Both organisms are of significant commercial importance in regards to the spoilage of and/or disease in thermally processed food products due to their ability to form heat resistant spores. As such, these species are often used as the target organism for the design of thermal inactivation processes, particularly in regards to thermal sterilisation. Two specific aspects pertaining to these organisms were investigated to further enhance knowledge with respect to their use in thermal processing studies: the genetic relationship between C. sporogenes and Group I C. botulinum; and the mechanism of heat resistance in spores of C. sporogenes. The first part of this thesis describes the assembly, annotation and analysis of the draft genome of C. sporogenes PA 3679 (the most widely used surrogate for Group I C. botulinum). These data allowed identification of unique variants genes related to spore germination, analogous toxin regions and mobile elements between species. MLST analysis revealed that phylogeny was an ineffective indicator of toxigenicity in this group and thus prompted a pan-genomic analysis. The pan-genome of C. sporogenes/Group I C. botulinum was found to consist of 8799 coding sequences (CDS’s) and a core genome consisting of 1590 CDS’s. Analysis of this pan-genome revealed the significant role that mobile genetic elements have played in genetic diversity within this group of organisms. The second part of this thesis investigated the heat inactivation of C. sporogenes PA 3679 spores in regards to structural variation and population heterogeneity. A novel flow cytometric approach was developed and utilised to investigate isothermal spore inactivation; and implications of the impact of NaCl on the intrinsic variability throughout this process and during a subsequent recovery period. Based on these approaches a possible mechanistic description for the thermal inactivation of spores was developed. Together, these studies present significant evidence supporting the continued suitability of C. sporogenes as a surrogate for Group I C. botulinum, whilst also enhancing the understanding of clostridial spore inactivation during a moist heat process.
- Description: Doctor of Philosophy
Geoelectrical prospecting of glauberite deposits in the Ebro basin (Spain)
- Guinea, Ander, Playà, Elisabet, Rivero, Lluís, Salvany, Josep
- Authors: Guinea, Ander , Playà, Elisabet , Rivero, Lluís , Salvany, Josep
- Date: 2014
- Type: Text , Journal article
- Relation: Engineering Geology Vol. 174, no. (2014), p. 73-86
- Full Text:
- Reviewed:
- Description: Glauberite (Na2Ca[SO4]2) is an evaporitic mineral which is used in the industries of detergents, paper, glass, pharmacy, etc. Glauberite rocks are seldom found cropping out because they are very sensitive to weathering processes; for this reason their prospection is conducted by means of boreholes. Nowadays, geophysical techniques are not used to support the characterization of glauberite deposits due to the lack of knowledge of their physical properties.In this study geoelectrical methods are proposed as alternative techniques in the early stages of glauberite prospecting. Several glauberite units have been studied in different parts of the Ebro basin (Spain) by means of electrical resistivity tomography sections. The electrical resistivity range showed by glauberite deposits has been found to be low (10–100Ω·m) when the matrix component (clay and microcrystalline carbonates) is above 45% of the bulk composition of the rock. This type of rocks has been studied in Montes de Torrero (Zaragoza) and is the most common glauberite deposit case. Besides matrix-rich glauberite rocks, an exceptional case of a pure glauberite layer has been studied in Alcanadre (La Rioja). From this site, it has been estimated that deposits with glauberite crystal fraction close to 100% show a resistivity range of at least 3×103Ω·m.Using this extreme value as reference, the Hashin–Shtrikman bounds have been calculated for glauberite rocks considering that they are constituted of four phases (glauberite, gypsum, anhydrite and matrix). When the matrix fraction represents 45% or more of the bulk rock, the resistivity range will be that of the lower Hashin–Shtrikman bound, which is similar for any combination of sulfate (glauberite, gypsum and/or anhydrite) composition; hence, it can be considered as a two-phase system (matrix and sulfate). For rocks with less than 30% of matrix fraction, the upper Hashin–Shtrikman bound trend must be considered; however, the resistivity values overlap, making it impossible to establish a classification. Between 30 and 45% of matrix fraction, there is a transitional domain.Additionally, some theoretical models representing the most common structures in sulfate rocks have been elaborated in order to help in the interpretation of the inverted resistivity images obtained from the field data. Some artifacts generated by the complexity of the resistivity distribution of the terrain have been identified in both data sets. •Glauberite deposits are studied by means of electrical resistivity tomography.•The results of electrical imaging are compared with borehole cores.•Models representing typical structures in sulfates are compared with field results.•The electrical response of glauberite rocks for different compositions is defined.
- Authors: Guinea, Ander , Playà, Elisabet , Rivero, Lluís , Salvany, Josep
- Date: 2014
- Type: Text , Journal article
- Relation: Engineering Geology Vol. 174, no. (2014), p. 73-86
- Full Text:
- Reviewed:
- Description: Glauberite (Na2Ca[SO4]2) is an evaporitic mineral which is used in the industries of detergents, paper, glass, pharmacy, etc. Glauberite rocks are seldom found cropping out because they are very sensitive to weathering processes; for this reason their prospection is conducted by means of boreholes. Nowadays, geophysical techniques are not used to support the characterization of glauberite deposits due to the lack of knowledge of their physical properties.In this study geoelectrical methods are proposed as alternative techniques in the early stages of glauberite prospecting. Several glauberite units have been studied in different parts of the Ebro basin (Spain) by means of electrical resistivity tomography sections. The electrical resistivity range showed by glauberite deposits has been found to be low (10–100Ω·m) when the matrix component (clay and microcrystalline carbonates) is above 45% of the bulk composition of the rock. This type of rocks has been studied in Montes de Torrero (Zaragoza) and is the most common glauberite deposit case. Besides matrix-rich glauberite rocks, an exceptional case of a pure glauberite layer has been studied in Alcanadre (La Rioja). From this site, it has been estimated that deposits with glauberite crystal fraction close to 100% show a resistivity range of at least 3×103Ω·m.Using this extreme value as reference, the Hashin–Shtrikman bounds have been calculated for glauberite rocks considering that they are constituted of four phases (glauberite, gypsum, anhydrite and matrix). When the matrix fraction represents 45% or more of the bulk rock, the resistivity range will be that of the lower Hashin–Shtrikman bound, which is similar for any combination of sulfate (glauberite, gypsum and/or anhydrite) composition; hence, it can be considered as a two-phase system (matrix and sulfate). For rocks with less than 30% of matrix fraction, the upper Hashin–Shtrikman bound trend must be considered; however, the resistivity values overlap, making it impossible to establish a classification. Between 30 and 45% of matrix fraction, there is a transitional domain.Additionally, some theoretical models representing the most common structures in sulfate rocks have been elaborated in order to help in the interpretation of the inverted resistivity images obtained from the field data. Some artifacts generated by the complexity of the resistivity distribution of the terrain have been identified in both data sets. •Glauberite deposits are studied by means of electrical resistivity tomography.•The results of electrical imaging are compared with borehole cores.•Models representing typical structures in sulfates are compared with field results.•The electrical response of glauberite rocks for different compositions is defined.
Get the picture without a sermon : Enhancing a congreation's work and worship through (re)visioning the church - art relationship
- Authors: Rigby, John
- Date: 2014
- Type: Text , Thesis
- Full Text:
- Description: The church, throughout its history and motivated by the teachings of the Bible, has sought to assist people in finding meaning and direction in life. To this end it has used visual art to help people understand its message and increase people’s openness to the Bible’s redemptive story. After the Reformation, the emergent Protestant church had a more tenuous relationship with visual art, giving priority to oral forms of communication. Many small protestant congregations in current multi-faith Australia have little relationship with visual art and struggle to convey their message to the Australian society. A renewal of the church’s relationship with visual art is needed. This thesis including the exhibition employs a theology of creativity, hermeneutical skills and artistic reflection to illustrate how a (re)visioning of the church-art relationship can help the church in its work and worship.
- Description: Master of Arts (Visual Arts) by Research
- Authors: Rigby, John
- Date: 2014
- Type: Text , Thesis
- Full Text:
- Description: The church, throughout its history and motivated by the teachings of the Bible, has sought to assist people in finding meaning and direction in life. To this end it has used visual art to help people understand its message and increase people’s openness to the Bible’s redemptive story. After the Reformation, the emergent Protestant church had a more tenuous relationship with visual art, giving priority to oral forms of communication. Many small protestant congregations in current multi-faith Australia have little relationship with visual art and struggle to convey their message to the Australian society. A renewal of the church’s relationship with visual art is needed. This thesis including the exhibition employs a theology of creativity, hermeneutical skills and artistic reflection to illustrate how a (re)visioning of the church-art relationship can help the church in its work and worship.
- Description: Master of Arts (Visual Arts) by Research
Global optimality conditions and optimization methods for polynomial programming problems and their applications
- Authors: Tian, Jing
- Date: 2014
- Type: Text , Thesis , PhD
- Full Text:
- Description: The polynomial programming problem which has a polynomial objective function, either with no constraints or with polynomial constraints occurs frequently in engineering design, investment science, control theory, network distribution, signal processing and locationallocation contexts. Moreover, the polynomial programming problem is known to be Nondeterministic Polynomial-time hard (NP-hard). The polynomial programming problem has attracted a lot of attention, including quadratic, cubic, homogenous or normal quartic programming problems as special cases. Existing methods for solving polynomial programming problems include algebraic methods and various convex relaxation methods. Especially, among these methods, semidefinite programming (SDP) and sum of squares (SOS) relaxations are very popular. Theoretically, SDP and SOS relaxation methods are very powerful and successful in solving the general polynomial programming problem with a compact feasible region. However, the solvability in practice depends on the size or the degree of the polynomial programming problem and the required accuracy. Hence, solving large scale SDP problems still remains a computational challenge. It is well-known that traditional local optimization methods are designed based on necessary local optimality conditions, i.e., Karush-Kuhn-Tucker (KKT) conditions. Motivated by this, some researchers proposed a necessary global optimality condition for a quadratic programming problem and designed a new local optimization method according to the necessary global optimality condition. In this thesis, we try to apply this idea to cubic and quatic programming problems, and further to general unconstrained and constrained polynomial programming problems. For these polynomial programming problems, we will investigate necessary global optimality conditions and design new local optimization methods according to these conditions. These necessary global optimality conditions are generally stronger than KKT conditions. Hence, the obtained new local minimizers by using the new local optimization methods may improve some KKT points. Our ultimate aim is to design global optimization methods for these polynomial programming problems. We notice that the filled function method is one of the well-known and practical auxiliary function methods used to achieve a global minimizer. In this thesis, we design global optimization methods by combining the new proposed local optimization methods and some auxiliary functions. The numerical examples illustrate the efficiency and stability of the optimization methods. Finally, we discuss some applications for solving some sensor network localization problems and systems of polynomial equations. It is worth mentioning that we apply the idea and the results for polynomial programming problems to nonlinear programming problems (NLP). We provide an optimality condition and design new local optimization methods according to the optimality condition and design global optimization methods for the problem (NLP) by combining the new local optimization methods and an auxiliary function. In order to test the performance of the global optimization methods, we compare them with two other heuristic methods. The results demonstrate our methods outperform the two other algorithms.
- Description: Doctor of Philosophy
- Authors: Tian, Jing
- Date: 2014
- Type: Text , Thesis , PhD
- Full Text:
- Description: The polynomial programming problem which has a polynomial objective function, either with no constraints or with polynomial constraints occurs frequently in engineering design, investment science, control theory, network distribution, signal processing and locationallocation contexts. Moreover, the polynomial programming problem is known to be Nondeterministic Polynomial-time hard (NP-hard). The polynomial programming problem has attracted a lot of attention, including quadratic, cubic, homogenous or normal quartic programming problems as special cases. Existing methods for solving polynomial programming problems include algebraic methods and various convex relaxation methods. Especially, among these methods, semidefinite programming (SDP) and sum of squares (SOS) relaxations are very popular. Theoretically, SDP and SOS relaxation methods are very powerful and successful in solving the general polynomial programming problem with a compact feasible region. However, the solvability in practice depends on the size or the degree of the polynomial programming problem and the required accuracy. Hence, solving large scale SDP problems still remains a computational challenge. It is well-known that traditional local optimization methods are designed based on necessary local optimality conditions, i.e., Karush-Kuhn-Tucker (KKT) conditions. Motivated by this, some researchers proposed a necessary global optimality condition for a quadratic programming problem and designed a new local optimization method according to the necessary global optimality condition. In this thesis, we try to apply this idea to cubic and quatic programming problems, and further to general unconstrained and constrained polynomial programming problems. For these polynomial programming problems, we will investigate necessary global optimality conditions and design new local optimization methods according to these conditions. These necessary global optimality conditions are generally stronger than KKT conditions. Hence, the obtained new local minimizers by using the new local optimization methods may improve some KKT points. Our ultimate aim is to design global optimization methods for these polynomial programming problems. We notice that the filled function method is one of the well-known and practical auxiliary function methods used to achieve a global minimizer. In this thesis, we design global optimization methods by combining the new proposed local optimization methods and some auxiliary functions. The numerical examples illustrate the efficiency and stability of the optimization methods. Finally, we discuss some applications for solving some sensor network localization problems and systems of polynomial equations. It is worth mentioning that we apply the idea and the results for polynomial programming problems to nonlinear programming problems (NLP). We provide an optimality condition and design new local optimization methods according to the optimality condition and design global optimization methods for the problem (NLP) by combining the new local optimization methods and an auxiliary function. In order to test the performance of the global optimization methods, we compare them with two other heuristic methods. The results demonstrate our methods outperform the two other algorithms.
- Description: Doctor of Philosophy
Gradient-free method for nonsmooth distributed optimization
- Li, Jueyou, Wu, Changzhi, Wu, Zhiyou, Long, Qiang
- Authors: Li, Jueyou , Wu, Changzhi , Wu, Zhiyou , Long, Qiang
- Date: 2014
- Type: Text , Journal article
- Relation: Journal of Global Optimization Vol.61, no.2 (March 2014), p.325-340
- Full Text:
- Reviewed:
- Description: In this paper, we consider a distributed nonsmooth optimization problem over a computational multi-agent network. We first extend the (centralized) Nesterov’s random gradient-free algorithm and Gaussian smoothing technique to the distributed case. Then, the convergence of the algorithm is proved. Furthermore, an explicit convergence rate is given in terms of the network size and topology. Our proposed method is free of gradient, which may be preferred by practical engineers. Since only the cost function value is required, our method may suffer a factor up to d (the dimension of the agent) in convergence rate over that of the distributed subgradient-based methods in theory. However, our numerical simulations show that for some nonsmooth problems, our method can even achieve better performance than that of subgradient-based methods, which may be caused by the slow convergence in the presence of subgradient.
- Authors: Li, Jueyou , Wu, Changzhi , Wu, Zhiyou , Long, Qiang
- Date: 2014
- Type: Text , Journal article
- Relation: Journal of Global Optimization Vol.61, no.2 (March 2014), p.325-340
- Full Text:
- Reviewed:
- Description: In this paper, we consider a distributed nonsmooth optimization problem over a computational multi-agent network. We first extend the (centralized) Nesterov’s random gradient-free algorithm and Gaussian smoothing technique to the distributed case. Then, the convergence of the algorithm is proved. Furthermore, an explicit convergence rate is given in terms of the network size and topology. Our proposed method is free of gradient, which may be preferred by practical engineers. Since only the cost function value is required, our method may suffer a factor up to d (the dimension of the agent) in convergence rate over that of the distributed subgradient-based methods in theory. However, our numerical simulations show that for some nonsmooth problems, our method can even achieve better performance than that of subgradient-based methods, which may be caused by the slow convergence in the presence of subgradient.