The acute effects of aerobic exercise on Leukocyte Telomere biology
- Authors: Chilton, Warrick
- Date: 2018
- Type: Text , Thesis , PhD
- Full Text:
- Description: Doctor of Philosophy
- Description: Habitual exercise is unequivocally associated with decreased all-cause mortality and morbidity. Despite the strength of the association, a large part of the decreased risk is physiologically unaccounted for. Accumulating evidence indicates that leukocyte telomere length (LTL) may be one such explanatory mechanism. Telomeres are specialized deoxyribonucleic acid (DNA) sequences located at chromosomal ends where they protect the genomic DNA from enzymatic degradation. Excessive and/or premature telomere shortening in leukocytes is associated with a host of chronic diseases and impaired immune function. Observational associations exist between LTL and habitual physical activity/exercise in multiple cohorts. However, correlation does not imply causal story and the underpinning mechanisms behind the association are unclear. The current consensus is that long-term exercise-induced reductions in oxidative stress and inflammation mediate the association. The acute dynamics of telomere biology are poorly understood; however, a growing body of evidence suggests that telomeres may be amenable to acute modulation via expression of telomereassociated genes and microRNAs. Accordingly, the overarching aim of this thesis was to characterize the acute effects of aerobic exercise on leukocyte telomere biology.
- Authors: Chilton, Warrick
- Date: 2018
- Type: Text , Thesis , PhD
- Full Text:
- Description: Doctor of Philosophy
- Description: Habitual exercise is unequivocally associated with decreased all-cause mortality and morbidity. Despite the strength of the association, a large part of the decreased risk is physiologically unaccounted for. Accumulating evidence indicates that leukocyte telomere length (LTL) may be one such explanatory mechanism. Telomeres are specialized deoxyribonucleic acid (DNA) sequences located at chromosomal ends where they protect the genomic DNA from enzymatic degradation. Excessive and/or premature telomere shortening in leukocytes is associated with a host of chronic diseases and impaired immune function. Observational associations exist between LTL and habitual physical activity/exercise in multiple cohorts. However, correlation does not imply causal story and the underpinning mechanisms behind the association are unclear. The current consensus is that long-term exercise-induced reductions in oxidative stress and inflammation mediate the association. The acute dynamics of telomere biology are poorly understood; however, a growing body of evidence suggests that telomeres may be amenable to acute modulation via expression of telomereassociated genes and microRNAs. Accordingly, the overarching aim of this thesis was to characterize the acute effects of aerobic exercise on leukocyte telomere biology.
Enhancing service quality and reliability in intelligent traffic system
- Authors: Chowdhury, Abdullahi
- Date: 2020
- Type: Text , Thesis , PhD
- Full Text:
- Description: Intelligent Traffic Systems (ITS) can manage on-road traffic efficiently based on real-time traffic conditions, reduce delay at the intersections, and maintain the safety of the road users. However, emergency vehicles still struggle to meet their targeted response time, and an ITS is vulnerable to various types of attacks, including cyberattacks. To address these issues, in this dissertation, we introduce three techniques that enhance the service quality and reliability of an ITS. First, an innovative Emergency Vehicle Priority System (EVPS) is presented to assist an Emergency Vehicle (EV) in attending the incident place faster. Our proposed EVPS determines the proper priority codes of EV based on the type of incidents. After priority code generation, EVPS selects the number of traffic signals needed to be turned green considering the impact on other vehicles gathered in the relevant adjacent cells. Second, for improving reliability, an Intrusion Detection System for traffic signals is proposed for the first time, which leverages traffic and signal characteristics such as the flow rate, vehicle speed, and signal phase time. Shannon’s entropy is used to calculate the uncertainty associated with the likelihood of particular evidence and Dempster-Shafer (DS) decision theory is used to fuse the evidential information. Finally, to improve the reliability of a future ITS, we introduce a model that assesses the trust level of four major On-Board Units (OBU) of a self-driving car along with Global Positioning System (GPS) data and safety messages. Both subjective logic (DS theory) and CertainLogic are used to develop the theoretical underpinning for estimating the trust value of a self-driving car by fusing the trust value of four OBU components, GPS data and safety messages. For evaluation and validation purposes, a popular and widely used traffic simulation package, namely Simulation of Urban Mobility (SUMO), is used to develop the simulation platform using a real map of Melbourne CBD. The relevant historical real data taken from the VicRoads website were used to inject the traffic flow and density in the simulation model. We evaluated the performance of our proposed techniques considering different traffic and signal characteristics such as occupancy rate, flow rate, phase time, and vehicle speed under many realistic scenarios. The simulation result shows the potential efficacy of our proposed techniques for all selected scenarios.
- Description: Doctor of Philosophy
- Authors: Chowdhury, Abdullahi
- Date: 2020
- Type: Text , Thesis , PhD
- Full Text:
- Description: Intelligent Traffic Systems (ITS) can manage on-road traffic efficiently based on real-time traffic conditions, reduce delay at the intersections, and maintain the safety of the road users. However, emergency vehicles still struggle to meet their targeted response time, and an ITS is vulnerable to various types of attacks, including cyberattacks. To address these issues, in this dissertation, we introduce three techniques that enhance the service quality and reliability of an ITS. First, an innovative Emergency Vehicle Priority System (EVPS) is presented to assist an Emergency Vehicle (EV) in attending the incident place faster. Our proposed EVPS determines the proper priority codes of EV based on the type of incidents. After priority code generation, EVPS selects the number of traffic signals needed to be turned green considering the impact on other vehicles gathered in the relevant adjacent cells. Second, for improving reliability, an Intrusion Detection System for traffic signals is proposed for the first time, which leverages traffic and signal characteristics such as the flow rate, vehicle speed, and signal phase time. Shannon’s entropy is used to calculate the uncertainty associated with the likelihood of particular evidence and Dempster-Shafer (DS) decision theory is used to fuse the evidential information. Finally, to improve the reliability of a future ITS, we introduce a model that assesses the trust level of four major On-Board Units (OBU) of a self-driving car along with Global Positioning System (GPS) data and safety messages. Both subjective logic (DS theory) and CertainLogic are used to develop the theoretical underpinning for estimating the trust value of a self-driving car by fusing the trust value of four OBU components, GPS data and safety messages. For evaluation and validation purposes, a popular and widely used traffic simulation package, namely Simulation of Urban Mobility (SUMO), is used to develop the simulation platform using a real map of Melbourne CBD. The relevant historical real data taken from the VicRoads website were used to inject the traffic flow and density in the simulation model. We evaluated the performance of our proposed techniques considering different traffic and signal characteristics such as occupancy rate, flow rate, phase time, and vehicle speed under many realistic scenarios. The simulation result shows the potential efficacy of our proposed techniques for all selected scenarios.
- Description: Doctor of Philosophy
Effects of brown coal fly ash on 30% monoethanolamine CO₂ capture systems
- Authors: Chowdhury, Mohammad
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Accumulation of fly ash during post-combustion capture (PCC) of CO2 is an emerging concern. This work assesses concerns that soluble ash components (e.g. Na, Ca, Mg) increase conductivity of amine systems increasing corrosion rates, and decreasing CO2 capture e ciency; slightly soluble metals ions (e.g. Fe) may catalyse amine oxidation; and insoluble ash components cause erosion and blockages in the PCC plants as well as providing catalytic surfaces. Loy Yang brown-coal y ashes (using XRD, SEM, EDS and ICP-MS) are rst characterised and separated into soluble, insoluble and char fractions. The e ect of each fraction on MEA oxidation (measured by UV-vis and organic acid formation) and corrosion is determined using lab-scale experiments in static and stirred pressurised reactors at simulated PCC stripper conditions. Fly ash was three times more soluble in severely oxidising conditions compared to mild 30% MEA extractions. Vantho te represents 10-20% of the y ash and was the main source of sodium, calcium and magnesium ions while Szmolnockite was a source of iron. Iron solubility was dependent on conditions, with 5% soluble in aqueous MEA and 10% in simulated desorber conditions. The soluble fraction was the only ash fraction to signi cantly promote MEA oxidation. Aged pall rings from a PCC pilot plant had severe grain boundary corrosion and chromiumoxide depletion. Grain boundary corrosion was less severe in pall rings under severely oxidising conditions. The e ects of soluble ash were unclear while organic acids promoted pitting. Fly ash is an important source of soluble sodium, calcium and iron into 30% MEA. The insoluble fraction had minimal impact on MEA oxidation and corrosion, suggesting that it was inert. Soluble ash fractions increased corrosion severity and promoted MEA oxidation. This work shows that deep y ash removal prior to PCC is particularly important for ashes with high solubility in the CO2 absorption system.
- Description: Doctor of Philosophy
- Authors: Chowdhury, Mohammad
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Accumulation of fly ash during post-combustion capture (PCC) of CO2 is an emerging concern. This work assesses concerns that soluble ash components (e.g. Na, Ca, Mg) increase conductivity of amine systems increasing corrosion rates, and decreasing CO2 capture e ciency; slightly soluble metals ions (e.g. Fe) may catalyse amine oxidation; and insoluble ash components cause erosion and blockages in the PCC plants as well as providing catalytic surfaces. Loy Yang brown-coal y ashes (using XRD, SEM, EDS and ICP-MS) are rst characterised and separated into soluble, insoluble and char fractions. The e ect of each fraction on MEA oxidation (measured by UV-vis and organic acid formation) and corrosion is determined using lab-scale experiments in static and stirred pressurised reactors at simulated PCC stripper conditions. Fly ash was three times more soluble in severely oxidising conditions compared to mild 30% MEA extractions. Vantho te represents 10-20% of the y ash and was the main source of sodium, calcium and magnesium ions while Szmolnockite was a source of iron. Iron solubility was dependent on conditions, with 5% soluble in aqueous MEA and 10% in simulated desorber conditions. The soluble fraction was the only ash fraction to signi cantly promote MEA oxidation. Aged pall rings from a PCC pilot plant had severe grain boundary corrosion and chromiumoxide depletion. Grain boundary corrosion was less severe in pall rings under severely oxidising conditions. The e ects of soluble ash were unclear while organic acids promoted pitting. Fly ash is an important source of soluble sodium, calcium and iron into 30% MEA. The insoluble fraction had minimal impact on MEA oxidation and corrosion, suggesting that it was inert. Soluble ash fractions increased corrosion severity and promoted MEA oxidation. This work shows that deep y ash removal prior to PCC is particularly important for ashes with high solubility in the CO2 absorption system.
- Description: Doctor of Philosophy
Challenges faced by early-career researchers in the sciences in Australia and the consequent effect of those challenges on their careers : a mixed methods project
- Authors: Christian, Katherine
- Date: 2021
- Type: Text , Thesis , PhD
- Full Text:
- Description: The purpose of the study was to explore the challenges faced by early-career researchers (ECRs) in the sciences in Australia and the consequent effect of those challenges on their careers. Using a realist/postpositivist paradigm, an evaluative approach, and a framework of job satisfaction, this project has explored and compared the views of ECRs to evaluate the factors which shape the ECR experience and contribute to job satisfaction or dissatisfaction and intention to leave, and to define the features which are necessary to keep an ECR in research. Data collection for this mixed methods study entailed a national survey of researchers working in universities and research institutes (n=658), a focus group discussion and semistructured in-depth interviews with eight women from a variety of scientific disciplines who had recently left academic research workplaces. I focussed particularly on the difficulties consequent to job insecurity: the constant need to attracting funding and a permanent position, lack of work-life balance and associated stress; and evidence of workplace difficulties such as bullying, harassment or inequity and support – or lack of it – offered by the research institutions. I examined the factors which contribute to and barriers which prevent job satisfaction of this population, and the consequent intention (if any) for ECRs to leave research or change their career path. I found an interesting situation whereby the satisfaction derived from a “love of science” was counterbalanced by stress and poor working conditions which are a consequence of lack of job security, typified by poor supervision, bullying or harassment, inequitable hiring practices, a concerning rate of impact from “questionable research practices” (impacting 34%-41% of respondents) and evidence of very high (80%) intention of ECRs to leave their position. The most significant predictor of intention to leave is time as a postdoctoral scientist: eventually the job insecurity and its associated stresses become too much and the ECRs leave their chosen career for work elsewhere. This decision, too, provides interesting findings as many of the ECRs have difficulty planning what to do next. They feel ill-prepared for an alternate career and suffer from a sense of failure as a result of having to leave academia. While addressing the shortage of funding is outside the scope of this study, in addition to offering my findings I put forward a range of recommendations which could lead to ar change of culture and benefit the wellbeing of ECRs in STEMM without incurring significant cost. The Australian Government, higher education institutions and the research community need to improve job security and workplace conditions and take better care of our people in STEMM disciplines or we will not have the scientists we need to deliver the “innovative Australia” planned for 2030 (Department of Industry Innovation and Science, 2018)
- Description: Doctor of Philosophy
- Authors: Christian, Katherine
- Date: 2021
- Type: Text , Thesis , PhD
- Full Text:
- Description: The purpose of the study was to explore the challenges faced by early-career researchers (ECRs) in the sciences in Australia and the consequent effect of those challenges on their careers. Using a realist/postpositivist paradigm, an evaluative approach, and a framework of job satisfaction, this project has explored and compared the views of ECRs to evaluate the factors which shape the ECR experience and contribute to job satisfaction or dissatisfaction and intention to leave, and to define the features which are necessary to keep an ECR in research. Data collection for this mixed methods study entailed a national survey of researchers working in universities and research institutes (n=658), a focus group discussion and semistructured in-depth interviews with eight women from a variety of scientific disciplines who had recently left academic research workplaces. I focussed particularly on the difficulties consequent to job insecurity: the constant need to attracting funding and a permanent position, lack of work-life balance and associated stress; and evidence of workplace difficulties such as bullying, harassment or inequity and support – or lack of it – offered by the research institutions. I examined the factors which contribute to and barriers which prevent job satisfaction of this population, and the consequent intention (if any) for ECRs to leave research or change their career path. I found an interesting situation whereby the satisfaction derived from a “love of science” was counterbalanced by stress and poor working conditions which are a consequence of lack of job security, typified by poor supervision, bullying or harassment, inequitable hiring practices, a concerning rate of impact from “questionable research practices” (impacting 34%-41% of respondents) and evidence of very high (80%) intention of ECRs to leave their position. The most significant predictor of intention to leave is time as a postdoctoral scientist: eventually the job insecurity and its associated stresses become too much and the ECRs leave their chosen career for work elsewhere. This decision, too, provides interesting findings as many of the ECRs have difficulty planning what to do next. They feel ill-prepared for an alternate career and suffer from a sense of failure as a result of having to leave academia. While addressing the shortage of funding is outside the scope of this study, in addition to offering my findings I put forward a range of recommendations which could lead to ar change of culture and benefit the wellbeing of ECRs in STEMM without incurring significant cost. The Australian Government, higher education institutions and the research community need to improve job security and workplace conditions and take better care of our people in STEMM disciplines or we will not have the scientists we need to deliver the “innovative Australia” planned for 2030 (Department of Industry Innovation and Science, 2018)
- Description: Doctor of Philosophy
Patients’ experiences of acute deterioration and Medical Emergency Team (MET) encounter : a grounded theory study
- Authors: Chung, Catherine
- Date: 2021
- Type: Text , Thesis , PhD
- Full Text:
- Description: Globally, considerable effort has been made to ensure hospital patients whose clinical condition deteriorates receive timely and appropriate care. Research suggests that hospitals have increasing numbers of patients who are more likely to become seriously ill during their admission due to complex problems. Recently, patient experience has been recognised as a means of assessing healthcare delivery with healthcare services across the world gathering patient experience or satisfaction data. Acute deterioration is unique and complex for all involved. However, little is known about this experience from the patient’s perspective. The purpose of this study was to generate theory about processes patients engage in when experiencing acute deterioration and MET encounter. Also, the research aimed to recognise and explain the factors that mediate patients’ experiences. The findings of this study contribute to a growing body of knowledge that will improve patient care and practice guidelines for healthcare professionals. Underpinned by the theoretical framework of symbolic interactionism, grounded theory was employed for this study. From it ontological, epistemological, and methodological underpinnings, constructivist grounded theory was considered the most suitable approach. Using purposive sampling, in-depth semi-structured interviews were conducted with 27 patients across three Australian healthcare services. Data were collected over a 12-month period, between May 2018 – May 2019 and analysed using constant comparative analysis. The theoretical model ‘Unravelling a complex experience: contextualising patients’ experiences of acute clinical deterioration and Medical Emergency Team (MET) encounter’ emerged, offering a possible explanation of patients’ actions and processes. Most patients began their journeys feeling something was wrong which triggered emotional changes (experiencing changes-before the encounter). Patient experience was influenced by a combination of physical and psychological changes and a MET response (perceiving the reality - the encounter). After the MET encounter, some patients searched for deeper understandings about their illnesses and the events that occurred, whereas others managed without further reflection (reflecting on the event-after the encounter). Contextual conditions emerged influencing patients’ experiences with three broad mediating factors identified. Some participants identified that their acute deterioration and subsequent MET encounter was unexpected, and they perceived the nature of their illness (before their acute deterioration) as stable, based on what they had been told by medical staff (expectations and illness perception). Many participants acknowledged that their experience was dependent on the health care professionals who were caring for them at the time (relationship with the MET). Past experiences of illness and hospitalisation played an important role in participants’ abilities to conceptualise their experiences of acute deterioration and MET encounter (past experiences). These factors exerted a significant influence on participants’ experiences and helps to explain the differences between them. Unravelling a complex experience: Conceptualising patients’ experiences of acute deterioration and MET encounter offers a possible explanation of patients’ meanings, actions and processes when experiencing acute deterioration and MET encounter. The theory leads to recommendations that healthcare organisations gather data about patients’ experiences of acute deterioration and MET encounters, as these provide insights and opportunity to identify challenges that can be addressed.. Findings provide an explanatory framework for similar phenomena and increase awareness of patients’ experiences to ultimately inform health policy and improve patient care. The findings highlight the need for healthcare services to instigate strategies that support patients who have experienced acute deterioration. Further research could evaluate the effectiveness of implemented strategies.
- Description: Doctor of Philosophy
- Authors: Chung, Catherine
- Date: 2021
- Type: Text , Thesis , PhD
- Full Text:
- Description: Globally, considerable effort has been made to ensure hospital patients whose clinical condition deteriorates receive timely and appropriate care. Research suggests that hospitals have increasing numbers of patients who are more likely to become seriously ill during their admission due to complex problems. Recently, patient experience has been recognised as a means of assessing healthcare delivery with healthcare services across the world gathering patient experience or satisfaction data. Acute deterioration is unique and complex for all involved. However, little is known about this experience from the patient’s perspective. The purpose of this study was to generate theory about processes patients engage in when experiencing acute deterioration and MET encounter. Also, the research aimed to recognise and explain the factors that mediate patients’ experiences. The findings of this study contribute to a growing body of knowledge that will improve patient care and practice guidelines for healthcare professionals. Underpinned by the theoretical framework of symbolic interactionism, grounded theory was employed for this study. From it ontological, epistemological, and methodological underpinnings, constructivist grounded theory was considered the most suitable approach. Using purposive sampling, in-depth semi-structured interviews were conducted with 27 patients across three Australian healthcare services. Data were collected over a 12-month period, between May 2018 – May 2019 and analysed using constant comparative analysis. The theoretical model ‘Unravelling a complex experience: contextualising patients’ experiences of acute clinical deterioration and Medical Emergency Team (MET) encounter’ emerged, offering a possible explanation of patients’ actions and processes. Most patients began their journeys feeling something was wrong which triggered emotional changes (experiencing changes-before the encounter). Patient experience was influenced by a combination of physical and psychological changes and a MET response (perceiving the reality - the encounter). After the MET encounter, some patients searched for deeper understandings about their illnesses and the events that occurred, whereas others managed without further reflection (reflecting on the event-after the encounter). Contextual conditions emerged influencing patients’ experiences with three broad mediating factors identified. Some participants identified that their acute deterioration and subsequent MET encounter was unexpected, and they perceived the nature of their illness (before their acute deterioration) as stable, based on what they had been told by medical staff (expectations and illness perception). Many participants acknowledged that their experience was dependent on the health care professionals who were caring for them at the time (relationship with the MET). Past experiences of illness and hospitalisation played an important role in participants’ abilities to conceptualise their experiences of acute deterioration and MET encounter (past experiences). These factors exerted a significant influence on participants’ experiences and helps to explain the differences between them. Unravelling a complex experience: Conceptualising patients’ experiences of acute deterioration and MET encounter offers a possible explanation of patients’ meanings, actions and processes when experiencing acute deterioration and MET encounter. The theory leads to recommendations that healthcare organisations gather data about patients’ experiences of acute deterioration and MET encounters, as these provide insights and opportunity to identify challenges that can be addressed.. Findings provide an explanatory framework for similar phenomena and increase awareness of patients’ experiences to ultimately inform health policy and improve patient care. The findings highlight the need for healthcare services to instigate strategies that support patients who have experienced acute deterioration. Further research could evaluate the effectiveness of implemented strategies.
- Description: Doctor of Philosophy
The physiology of road cycling : New testing and training methodologies for competitive cyclists
- Authors: Clark, Bradley
- Date: 2014
- Type: Text , Thesis , PhD
- Full Text:
- Description: Objective: The objective of this project is to describe and test the efficacy of new testing and training techniques for competitive cyclists. Methods: Physiological variables and cycling performance were measured during a graded exercise test (GXT) and a novel, computer-simulated, variable gradient 20-km cycling time-trial. Initially, data collected from the time-trial and GXT were used to establish the reliability of the time-trial, determine the laboratory correlates of hilly cycling performance and examine the pacing pattern during hilly cycling performance. Then, results from a series of GXT’s and time-trials were used to establish the effects of a brief period of overload training on the physiology and performance of competitive cyclists. Results: Power output and performance time measured during a computer simulated 20-km variable gradient cycling test were reliable, however reliability diminished with increasing time between trials. Performance in variable gradient time-trial correlated strongly with absolute measures of physiological variables; however the strength of correlations increased when variables were measured relative to body mass. Power output was highest during the first four and last two kilometres of a variable gradient time-trial. Additionally, there were large differences in power output between consecutive one kilometre segments throughout the trial, particularly when the difference in gradient between segments was greater. Performance in the variable gradient time-trial improved substantially following a brief period of overload training. Performance improvement corresponded with adaptation in important physiological determinants of cycling performance, namely maximal oxygen uptake, lactate threshold and gross efficiency. Conclusions: Variable gradient, cycling time-trial tests can be used to detect meaningful changes in performance, evoke dynamic distribution of power output and are best suited to cyclists who produce high power outputs relative to body mass. The current project also determined that a brief period of overload training induces physiological adaptation and substantial improvement in cycling performance in competitive cyclists. Sport scientists, coaches and cyclists can use this information to determine the testing and training techniques used in preparation for competition.
- Description: Doctor of Philosophy
- Authors: Clark, Bradley
- Date: 2014
- Type: Text , Thesis , PhD
- Full Text:
- Description: Objective: The objective of this project is to describe and test the efficacy of new testing and training techniques for competitive cyclists. Methods: Physiological variables and cycling performance were measured during a graded exercise test (GXT) and a novel, computer-simulated, variable gradient 20-km cycling time-trial. Initially, data collected from the time-trial and GXT were used to establish the reliability of the time-trial, determine the laboratory correlates of hilly cycling performance and examine the pacing pattern during hilly cycling performance. Then, results from a series of GXT’s and time-trials were used to establish the effects of a brief period of overload training on the physiology and performance of competitive cyclists. Results: Power output and performance time measured during a computer simulated 20-km variable gradient cycling test were reliable, however reliability diminished with increasing time between trials. Performance in variable gradient time-trial correlated strongly with absolute measures of physiological variables; however the strength of correlations increased when variables were measured relative to body mass. Power output was highest during the first four and last two kilometres of a variable gradient time-trial. Additionally, there were large differences in power output between consecutive one kilometre segments throughout the trial, particularly when the difference in gradient between segments was greater. Performance in the variable gradient time-trial improved substantially following a brief period of overload training. Performance improvement corresponded with adaptation in important physiological determinants of cycling performance, namely maximal oxygen uptake, lactate threshold and gross efficiency. Conclusions: Variable gradient, cycling time-trial tests can be used to detect meaningful changes in performance, evoke dynamic distribution of power output and are best suited to cyclists who produce high power outputs relative to body mass. The current project also determined that a brief period of overload training induces physiological adaptation and substantial improvement in cycling performance in competitive cyclists. Sport scientists, coaches and cyclists can use this information to determine the testing and training techniques used in preparation for competition.
- Description: Doctor of Philosophy
Special needs, special play? Examining the agency of children with impairments in play-based learning in a special school
- Authors: Claughton, Amy
- Date: 2020
- Type: Text , Thesis , PhD
- Full Text:
- Description: Play is an inherent part of childhood, often cast as an innate behaviour of children. Over the years, play has been scrutinised by theorists, researchers and educators alike in their attempts to understand how children engage in play, the role of play in development and how to identify, define and measure play. For children with impairments, play is frequently subjected to surveillance and compared to that of children whose development is considered typical. This thesis interrogates the play-based learning experiences of five children who attended a special educational school in rural Victoria, Australia. It examines the experiences that these children had in play and how teacher actions and responses enabled and supported their engagement in play-based learning. The theoretical framework for this study draws on critical ethnography underpinned by disability studies. Disability studies recognises the social model of disability, in which disability is a social construction. Using this model, impairment is distinct and separate from disability. In this study, socially constructed barriers that confront children in their play are identified as being created by attitudes, structures and environments (Bishop et al., 1999). These barriers are overlaid by the psycho-emotional dimensions of disability (C. Thomas, 1999) in an effort to represent the experiences of children as shaped by the actions and responses of others. This thesis introduces a new analytic tool in the learning portal framework. The learning portal framework aims to provide a platform through which teacher actions and responses can be analysed to understand how children are enabled to access play-based learning. The findings of this study indicate that children with impairments play in complex and nuanced ways. They show purpose in their play, are able to self-initiate, and independently investigate play-based learning experiences. Adult actions and responses often enable children with impairments to engage in play by offering opportunities and pathways for exploration. Indirect adult facilitation in play supports children’s ability to act in play with individuality and determination.
- Description: Doctor of Philosophy
- Authors: Claughton, Amy
- Date: 2020
- Type: Text , Thesis , PhD
- Full Text:
- Description: Play is an inherent part of childhood, often cast as an innate behaviour of children. Over the years, play has been scrutinised by theorists, researchers and educators alike in their attempts to understand how children engage in play, the role of play in development and how to identify, define and measure play. For children with impairments, play is frequently subjected to surveillance and compared to that of children whose development is considered typical. This thesis interrogates the play-based learning experiences of five children who attended a special educational school in rural Victoria, Australia. It examines the experiences that these children had in play and how teacher actions and responses enabled and supported their engagement in play-based learning. The theoretical framework for this study draws on critical ethnography underpinned by disability studies. Disability studies recognises the social model of disability, in which disability is a social construction. Using this model, impairment is distinct and separate from disability. In this study, socially constructed barriers that confront children in their play are identified as being created by attitudes, structures and environments (Bishop et al., 1999). These barriers are overlaid by the psycho-emotional dimensions of disability (C. Thomas, 1999) in an effort to represent the experiences of children as shaped by the actions and responses of others. This thesis introduces a new analytic tool in the learning portal framework. The learning portal framework aims to provide a platform through which teacher actions and responses can be analysed to understand how children are enabled to access play-based learning. The findings of this study indicate that children with impairments play in complex and nuanced ways. They show purpose in their play, are able to self-initiate, and independently investigate play-based learning experiences. Adult actions and responses often enable children with impairments to engage in play by offering opportunities and pathways for exploration. Indirect adult facilitation in play supports children’s ability to act in play with individuality and determination.
- Description: Doctor of Philosophy
Optimising the management of invasive aquatic plants targeted for extirpation from catchments and waterways : Utilising alligator weed (Alternanthera philoxeroides (Mart.) Griseb.) as a target species
- Authors: Clements, Daniel
- Date: 2017
- Type: Text , Thesis , PhD
- Full Text:
- Description: Aquatic plants are integral components of freshwater ecosystems and provide essential ecosystem services. However, when invasive species establish in new aquatic environments, there are few natural checks and balances to inhibit their growth and spread. Overabundant aquatic vegetation can harm aquatic systems if left unchecked and negatively impact on agricultural productivity, social amenity and biodiversity values. Prevention and early intervention are recognised as the most cost effective means to manage invasive species that pose a biosecurity risk. This thesis contributes to the development of effective management strategies for one of the world’s most invasive aquatic plant species, known as alligator weed (Alternanthera philoxeroides (Mart.) Griseb.). It focusses on developing management strategies in an early stage of invasion, in order to achieve extirpation of this species from catchments and waterways. Developing effective detection and surveillance strategies are required for invasive aquatic plants, as a key impediment to achieving extirpation is the ability to detect infestations, so that control strategies can be enacted. This thesis investigates the effectiveness of aerial surveillance for detection of alligator weed at different spatial scales, using high altitude aerial imagery (orthophotos) and unmanned aerial vehicle (UAV) technology. An examination of the growth rate of alligator weed in Victoria, Australia, over a five year period, demonstrates the effective use of orthophotos to detect and monitor large infestations of aquatic alligator weed. The efficacy of unmanned aerial vehicle technology, including the use of automated algorithms, to detect patches of alligator weed growing in waterways is evaluated against current detection techniques. Effective management of invasive aquatic plants targeted for extirpation requires the coupling of effective detection and control efforts to prevent reproduction. To date, development of control strategies for aquatic alligator weed has been limited to evaluating the efficacy of short-term control at a local scale without regard to the effects of management strategies on dispersal of propagules throughout catchments. This thesis determines that viable alligator weed stem fragments are produced following herbicide application, which comprises extirpation efforts. This thesis has gone further than current practice in that it has evaluated the efficacy of current and novel control techniques, in both laboratory and field trials and has developed methods to manage viable fragment production post-herbicide application, to limit dispersal throughout catchments. In this respect, the application of the herbicides glyphosate, metsulfuron-methyl and imazapyr, and their effectiveness when incorporating surfactant systems and plant growth regulators, have been evaluated in field and laboratory studies to optimise control techniques for aquatic alligator weed. Results have shown that our approaches, when used in an early stage of invasion, are capable of eliminating patches of alligator weed in two to three years. Integral to the research is an experiment to determine the effect of herbicide treatments on the production of alligator weed stem fragments and their subsequent viability. Further investigation to determine the usefulness of commercially available plant growth regulators (PGRs) to reduce the number of viable propagules produced by alligator weed post-herbicide application was found to be ineffective. This thesis also evaluates the impact of herbicides and surfactant systems, on all key alligator weed response metrics in aquatic environments including; above ground biomass, below ground biomass and viable stem fragmentation. No previous studies have looked simultaneously at these three important measures for determining the efficacy of a particular control regime, and we have determined that this is essential for effective management of aquatic alligator weed in an early stage of invasion. The thesis has underscored the notion that development of more effective management strategies, based upon experimental trials, will result in an increased likelihood of eradicating invasive aquatic plants that pose a biosecurity risk, and thus move toward the mitigation of the threat that high-risk species pose to aquatic ecosystems. PLEASE NOTE: Portions of the full text have been removed due to copyright restrictions.
- Description: Doctor of Philosophy
- Authors: Clements, Daniel
- Date: 2017
- Type: Text , Thesis , PhD
- Full Text:
- Description: Aquatic plants are integral components of freshwater ecosystems and provide essential ecosystem services. However, when invasive species establish in new aquatic environments, there are few natural checks and balances to inhibit their growth and spread. Overabundant aquatic vegetation can harm aquatic systems if left unchecked and negatively impact on agricultural productivity, social amenity and biodiversity values. Prevention and early intervention are recognised as the most cost effective means to manage invasive species that pose a biosecurity risk. This thesis contributes to the development of effective management strategies for one of the world’s most invasive aquatic plant species, known as alligator weed (Alternanthera philoxeroides (Mart.) Griseb.). It focusses on developing management strategies in an early stage of invasion, in order to achieve extirpation of this species from catchments and waterways. Developing effective detection and surveillance strategies are required for invasive aquatic plants, as a key impediment to achieving extirpation is the ability to detect infestations, so that control strategies can be enacted. This thesis investigates the effectiveness of aerial surveillance for detection of alligator weed at different spatial scales, using high altitude aerial imagery (orthophotos) and unmanned aerial vehicle (UAV) technology. An examination of the growth rate of alligator weed in Victoria, Australia, over a five year period, demonstrates the effective use of orthophotos to detect and monitor large infestations of aquatic alligator weed. The efficacy of unmanned aerial vehicle technology, including the use of automated algorithms, to detect patches of alligator weed growing in waterways is evaluated against current detection techniques. Effective management of invasive aquatic plants targeted for extirpation requires the coupling of effective detection and control efforts to prevent reproduction. To date, development of control strategies for aquatic alligator weed has been limited to evaluating the efficacy of short-term control at a local scale without regard to the effects of management strategies on dispersal of propagules throughout catchments. This thesis determines that viable alligator weed stem fragments are produced following herbicide application, which comprises extirpation efforts. This thesis has gone further than current practice in that it has evaluated the efficacy of current and novel control techniques, in both laboratory and field trials and has developed methods to manage viable fragment production post-herbicide application, to limit dispersal throughout catchments. In this respect, the application of the herbicides glyphosate, metsulfuron-methyl and imazapyr, and their effectiveness when incorporating surfactant systems and plant growth regulators, have been evaluated in field and laboratory studies to optimise control techniques for aquatic alligator weed. Results have shown that our approaches, when used in an early stage of invasion, are capable of eliminating patches of alligator weed in two to three years. Integral to the research is an experiment to determine the effect of herbicide treatments on the production of alligator weed stem fragments and their subsequent viability. Further investigation to determine the usefulness of commercially available plant growth regulators (PGRs) to reduce the number of viable propagules produced by alligator weed post-herbicide application was found to be ineffective. This thesis also evaluates the impact of herbicides and surfactant systems, on all key alligator weed response metrics in aquatic environments including; above ground biomass, below ground biomass and viable stem fragmentation. No previous studies have looked simultaneously at these three important measures for determining the efficacy of a particular control regime, and we have determined that this is essential for effective management of aquatic alligator weed in an early stage of invasion. The thesis has underscored the notion that development of more effective management strategies, based upon experimental trials, will result in an increased likelihood of eradicating invasive aquatic plants that pose a biosecurity risk, and thus move toward the mitigation of the threat that high-risk species pose to aquatic ecosystems. PLEASE NOTE: Portions of the full text have been removed due to copyright restrictions.
- Description: Doctor of Philosophy
Re(dis)covering the creative power of eros : finding liberation from neoliberalism through the feminist awakening of aphrodite-demeter consciousness
- Authors: Clements. Eileen
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: There is a problem with western patriarchal capitalist narratives of love and connected models of subjectivity which some feminisms, in particular, neoliberal (post)feminism, continue rather than criticise. This is a problem, not only because these feminisms uphold existing patriarchal structures and values, but because models of patriarchal subjectivity are founded on a repression and devaluation of love that contributes to what I am naming a ‘crisis of love’ in neoliberal societies. While some solutions to this problem have been offered, including by feminist love studies scholars, none of the solutions address the whole issue – for example, feminisms that ignore issues of spirituality and the female subject’s relationship to the divine, and the impact of myth on the psyche. Until these aspects are included in a rethinking of both female subjectivity and narratives of love, the problem will not be solved. There are many kinds of love but Eros in particular, which is such a charged narrative in western patriarchal capitalist society, is the kind of love that most urgently needs to be rethought and re(dis)covered. Through examination of the major founding myth of female subjectivity for western patriarchy – the Madonna/whore binary – a pathway to addressing this problem of love becomes possible. Rethinking this binary according to reinterpretations of the myths of Aphrodite and Demeter offers a rethinking of Eros as a creative, life-affirming power. This renewed narrative of Eros creates new models of female subjectivity – and the potentiality for new models of ethics – that challenge the contemporary neoliberal paradigm.
- Description: Doctor of Philosophy
- Authors: Clements. Eileen
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: There is a problem with western patriarchal capitalist narratives of love and connected models of subjectivity which some feminisms, in particular, neoliberal (post)feminism, continue rather than criticise. This is a problem, not only because these feminisms uphold existing patriarchal structures and values, but because models of patriarchal subjectivity are founded on a repression and devaluation of love that contributes to what I am naming a ‘crisis of love’ in neoliberal societies. While some solutions to this problem have been offered, including by feminist love studies scholars, none of the solutions address the whole issue – for example, feminisms that ignore issues of spirituality and the female subject’s relationship to the divine, and the impact of myth on the psyche. Until these aspects are included in a rethinking of both female subjectivity and narratives of love, the problem will not be solved. There are many kinds of love but Eros in particular, which is such a charged narrative in western patriarchal capitalist society, is the kind of love that most urgently needs to be rethought and re(dis)covered. Through examination of the major founding myth of female subjectivity for western patriarchy – the Madonna/whore binary – a pathway to addressing this problem of love becomes possible. Rethinking this binary according to reinterpretations of the myths of Aphrodite and Demeter offers a rethinking of Eros as a creative, life-affirming power. This renewed narrative of Eros creates new models of female subjectivity – and the potentiality for new models of ethics – that challenge the contemporary neoliberal paradigm.
- Description: Doctor of Philosophy
Stella’s story : writing a fictional representation of historic poland set during the Second World War
- Authors: Clinnick, Andrew
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: For my Ph.D. Literature thesis, I have produced a historical novel titled Stella’s Story, supported by an exegesis, which explores the Polish experience of WWII. Both novel and exegesis will challenge common misconceptions as perpetuated by the popular mainstream Western media—as expressed in such works as The German New Order in Poland (1943) and God’s Playground (1981), and novels such as Sophie’s Choice (1979) and The Polish Officer (2005)—that, during WWII, Poland was a predominant white-Catholic nation, bullied by the Nazis. Instead, I demonstrate that, rather than being homogenous or a caricature of a passive victim, Poland was a diverse and multi-cultural nation, where eclectic sectors of society resisted Nazi-German rule, despite the complexities wrought by Poland’s own history of antisemitism and the threat posed by those Poles who collaborated with the Nazis. This exegesis will also examine the outsider experience and the contribution to Poland’s wartime effort by women; as well as the relationship between oral history, myth and the historical records. Finally, this exegesis will explore the methods I have used to create a historical fiction about Nazi-occupied Poland.
- Description: Doctor of Philosophy
- Authors: Clinnick, Andrew
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: For my Ph.D. Literature thesis, I have produced a historical novel titled Stella’s Story, supported by an exegesis, which explores the Polish experience of WWII. Both novel and exegesis will challenge common misconceptions as perpetuated by the popular mainstream Western media—as expressed in such works as The German New Order in Poland (1943) and God’s Playground (1981), and novels such as Sophie’s Choice (1979) and The Polish Officer (2005)—that, during WWII, Poland was a predominant white-Catholic nation, bullied by the Nazis. Instead, I demonstrate that, rather than being homogenous or a caricature of a passive victim, Poland was a diverse and multi-cultural nation, where eclectic sectors of society resisted Nazi-German rule, despite the complexities wrought by Poland’s own history of antisemitism and the threat posed by those Poles who collaborated with the Nazis. This exegesis will also examine the outsider experience and the contribution to Poland’s wartime effort by women; as well as the relationship between oral history, myth and the historical records. Finally, this exegesis will explore the methods I have used to create a historical fiction about Nazi-occupied Poland.
- Description: Doctor of Philosophy
Superannuation in Australia : a mixed methods study into engagement of superannuants
- Authors: Clinton, Teresa
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: Compulsory superannuation is a significant component of the Australian Government’s strategy to encourage citizens to take responsibility for funding their retirement. This project extends current knowledge regarding superannuants financial literacy and their preparedness to engage in the decision process that is embodied in the main communication document received from superannuation funds: the benefit statement. The purpose of this study involved two research questions. The first asked: What are the characteristics and determinants of a benefit statement as a form of financial communication to superannuants? The study aimed to determine if the benefit statement is fit for purpose and involved an examination of industry benefit statements. Institutional Theory was used to explain why benefit statements take their current form. The second research question considers to what extent superannuants understand and engage with the benefit statement? A survey of academics working at Australian public universities was undertaken to explore their financial literacy, understanding and extent of engagement they have with their superannuation via the benefit statement. The OECD/NIFE (2018, p. 4) definition of financial literacy was used for this research study as it incorporates “a combination of awareness, knowledge, skill, attitude and behaviour necessary to make sound financial decisions and ultimately achieve individual financial wellbeing”. The Theory of Planned Behaviour provides an explanation and a greater understanding of attitude and behaviour between demographics for example, age, gender, and education level that contribute to engagement with superannuation. A content analysis was used for research question 1, and found that due to legalisation requirements, a similar format has been adopted by most funds. There was however a lack of information which would allow superannuants the ability to track their preparedness for the amount required to fund retirement. With regard to the second research question, the results from the high socioeconomic group revealed that engagement with superannuation is not reflected by gender or education but rather age approaching retirement. As retirement approaches engagement increases. The attitude of participants towards superannuation was positive with most displaying high levels of self-efficacy however, a pre- and post-survey self-evaluation of financial literacy questions revealed a statistically significant decrease in scores indicating survey respondents were not actually aware of their lack of understanding of superannuation. The combined results from the survey and the content analysis indicate that the quality of disclosure is not sufficient to influence superannuants’ active engagement with their superannuation. This study highlights that engagement with superannuation is driven by personal circumstances and individual differences and the benefit statement needs to be more personally relevant to a broader range of individuals to encourage engagement with retirement planning. The findings help to understand heterogeneity in individuals’ propensity to engage with superannuation and provide an insight into their attitudes and behaviour. The research offers a contribution to the literature on superannuation fund benefit statement disclosure practices and provides an insight for policymakers on the effect these statements they have on superannuants.
- Description: Doctor of Philosophy
- Authors: Clinton, Teresa
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: Compulsory superannuation is a significant component of the Australian Government’s strategy to encourage citizens to take responsibility for funding their retirement. This project extends current knowledge regarding superannuants financial literacy and their preparedness to engage in the decision process that is embodied in the main communication document received from superannuation funds: the benefit statement. The purpose of this study involved two research questions. The first asked: What are the characteristics and determinants of a benefit statement as a form of financial communication to superannuants? The study aimed to determine if the benefit statement is fit for purpose and involved an examination of industry benefit statements. Institutional Theory was used to explain why benefit statements take their current form. The second research question considers to what extent superannuants understand and engage with the benefit statement? A survey of academics working at Australian public universities was undertaken to explore their financial literacy, understanding and extent of engagement they have with their superannuation via the benefit statement. The OECD/NIFE (2018, p. 4) definition of financial literacy was used for this research study as it incorporates “a combination of awareness, knowledge, skill, attitude and behaviour necessary to make sound financial decisions and ultimately achieve individual financial wellbeing”. The Theory of Planned Behaviour provides an explanation and a greater understanding of attitude and behaviour between demographics for example, age, gender, and education level that contribute to engagement with superannuation. A content analysis was used for research question 1, and found that due to legalisation requirements, a similar format has been adopted by most funds. There was however a lack of information which would allow superannuants the ability to track their preparedness for the amount required to fund retirement. With regard to the second research question, the results from the high socioeconomic group revealed that engagement with superannuation is not reflected by gender or education but rather age approaching retirement. As retirement approaches engagement increases. The attitude of participants towards superannuation was positive with most displaying high levels of self-efficacy however, a pre- and post-survey self-evaluation of financial literacy questions revealed a statistically significant decrease in scores indicating survey respondents were not actually aware of their lack of understanding of superannuation. The combined results from the survey and the content analysis indicate that the quality of disclosure is not sufficient to influence superannuants’ active engagement with their superannuation. This study highlights that engagement with superannuation is driven by personal circumstances and individual differences and the benefit statement needs to be more personally relevant to a broader range of individuals to encourage engagement with retirement planning. The findings help to understand heterogeneity in individuals’ propensity to engage with superannuation and provide an insight into their attitudes and behaviour. The research offers a contribution to the literature on superannuation fund benefit statement disclosure practices and provides an insight for policymakers on the effect these statements they have on superannuants.
- Description: Doctor of Philosophy
Underwater kicking following the freestyle tumble-turn
- Authors: Clothier, Peter
- Date: 2004
- Type: Text , Thesis , PhD
- Full Text:
- Description: Swim turns are a component of competitive swimming where considerable advantage can be gained or lost. This thesis investigates underwater dolphin and flutter kicking techniques and their application to exits following the turn in freestyle swimming. Five separate investigations were conducted to examine the kinetics and kinematics of each underwater kicking technique and are presented in expanded journal manuscript form. Studies one, two and three involved the comparison of freestyle turns when using flutter and dolphin kicking wall exit techniques. The results obtained indicated that freestyle turns using flutter kicking were faster than dolphin kicking in age-group swimmers. For this group, significant and equal improvements were made to flutter and dolphin kick turn performances following six weeks of dolphin kick and dolphin kick turn training. However, no difference in turn times were observed between kicking conditions by older and more highly skilled swimmers. Study four involved a kinematical comparison of maximal underwater free-swimming dolphin and flutter kicking. Results showed dolphin kick to be a superior underwater free-swimming technique. Greater foot width, increased ankle range of movement and greater vertical displacement of the ankle and foot during kicking were shown to be highly predictive of faster underwater dolphin kicking. Investigation five compared the drag forces and kinematics between the dolphin and flutter kicking techniques while subjects were towed at velocities representing those experienced following wall turn push-off. Results favour the dolphin kick as a superior underwater technique at these higher velocities. Increased underwater dolphin kicking efficiency, as measured by decreased net towing force, was found to be associated with larger kick amplitude – rate ratios, and higher kick amplitude – streamline length ratios.
- Description: Doctor of Philosophy
- Authors: Clothier, Peter
- Date: 2004
- Type: Text , Thesis , PhD
- Full Text:
- Description: Swim turns are a component of competitive swimming where considerable advantage can be gained or lost. This thesis investigates underwater dolphin and flutter kicking techniques and their application to exits following the turn in freestyle swimming. Five separate investigations were conducted to examine the kinetics and kinematics of each underwater kicking technique and are presented in expanded journal manuscript form. Studies one, two and three involved the comparison of freestyle turns when using flutter and dolphin kicking wall exit techniques. The results obtained indicated that freestyle turns using flutter kicking were faster than dolphin kicking in age-group swimmers. For this group, significant and equal improvements were made to flutter and dolphin kick turn performances following six weeks of dolphin kick and dolphin kick turn training. However, no difference in turn times were observed between kicking conditions by older and more highly skilled swimmers. Study four involved a kinematical comparison of maximal underwater free-swimming dolphin and flutter kicking. Results showed dolphin kick to be a superior underwater free-swimming technique. Greater foot width, increased ankle range of movement and greater vertical displacement of the ankle and foot during kicking were shown to be highly predictive of faster underwater dolphin kicking. Investigation five compared the drag forces and kinematics between the dolphin and flutter kicking techniques while subjects were towed at velocities representing those experienced following wall turn push-off. Results favour the dolphin kick as a superior underwater technique at these higher velocities. Increased underwater dolphin kicking efficiency, as measured by decreased net towing force, was found to be associated with larger kick amplitude – rate ratios, and higher kick amplitude – streamline length ratios.
- Description: Doctor of Philosophy
Advocates or corporates : constructions of clinical nursing practice in Australia with regards to the idealisation of advocacy and autonomy
- Authors: Cole, Clare
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Although the idealisation of nurses as advocates is popularised in nursing literature and supported within nursing frameworks, codes and standards, there has been little critical examination of these ideas within contemporary Australian healthcare settings and nursing practice. The Australian Healthcare system is a complicated system of interacting service providers and consumers. Institutions that regulate healthcare professionals and organisations normalise understandings of nursing and nursing practice, including conceptualisations of the importance of autonomy and advocacy and how each is to be supported and/or practised. This study used the perceptions of practising Registered Nurses (RNs) to examine the actualities of advocacy and support for autonomy as they are carried out within clinical practice, and to highlight, problematise and then analyse differences between the rhetoric and realities of practice. Firstly, a phenomenological lens, including an ethnographic model of observation, was used to thematically map and examine the RNs’ lived experience of their practice, paying particular attention to their conceptions of and responsibilities toward advocacy and autonomy. This thematic analysis brought to the fore a range of assumptions that, although clearly normative within nursing practice, are in evident tension with one other. These were then re-examined using a range of Michel Foucault’s concepts concerning the construction and maintenance of regimes of truth. Designed to unpack the operations of power and knowledge, and to make visible the techniques of disciplinarity and governmentality that inform and support them, an engagement of these concepts has allowed this thesis to critically examine the normative constructions and enactments of nursing practice with regards to ideas and practices concerning advocacy and autonomy. What this thesis provides is a detailed examination of the contrasting constructions of power and knowledge within nursing practice in relation to advocacy and autonomy, how and why these concepts have been operationalised within nursing practice, and how they could be re-visioned into the future.
- Description: Doctor of Philosophy
- Authors: Cole, Clare
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Although the idealisation of nurses as advocates is popularised in nursing literature and supported within nursing frameworks, codes and standards, there has been little critical examination of these ideas within contemporary Australian healthcare settings and nursing practice. The Australian Healthcare system is a complicated system of interacting service providers and consumers. Institutions that regulate healthcare professionals and organisations normalise understandings of nursing and nursing practice, including conceptualisations of the importance of autonomy and advocacy and how each is to be supported and/or practised. This study used the perceptions of practising Registered Nurses (RNs) to examine the actualities of advocacy and support for autonomy as they are carried out within clinical practice, and to highlight, problematise and then analyse differences between the rhetoric and realities of practice. Firstly, a phenomenological lens, including an ethnographic model of observation, was used to thematically map and examine the RNs’ lived experience of their practice, paying particular attention to their conceptions of and responsibilities toward advocacy and autonomy. This thematic analysis brought to the fore a range of assumptions that, although clearly normative within nursing practice, are in evident tension with one other. These were then re-examined using a range of Michel Foucault’s concepts concerning the construction and maintenance of regimes of truth. Designed to unpack the operations of power and knowledge, and to make visible the techniques of disciplinarity and governmentality that inform and support them, an engagement of these concepts has allowed this thesis to critically examine the normative constructions and enactments of nursing practice with regards to ideas and practices concerning advocacy and autonomy. What this thesis provides is a detailed examination of the contrasting constructions of power and knowledge within nursing practice in relation to advocacy and autonomy, how and why these concepts have been operationalised within nursing practice, and how they could be re-visioned into the future.
- Description: Doctor of Philosophy
Mapping Australia felix : maps, myths and mitchell
- Authors: Coleridge, Edward
- Date: 2021
- Type: Text , Thesis , PhD
- Full Text:
- Description: This investigation into the oeuvre of Thomas Mitchell, the Surveyor-General of New South Wales from 1827 to 1855, intends to reveal the remarkable opus of work he produced and enquire how he achieved it. The feat that won him fame was his discovery of the rich pasturelands and picturesque landscapes in an area that is now western Victoria, which he called Australia Felix. He matched this enthusiastic name with a finely illustrated and densely detailed two-volume journal of his three exploratory journeys - ostensibly to find where the River Darling met the Murray River. Mitchell learnt his trade as a surveyor and mapmaker in Wellington’s army fighting the French in Spain and Portugal, that theatre of the Napoleonic Wars termed the Peninsular War. The objective of this thesis is twofold. The first is the exposition of a rare and remarkable atlas of battlefield plans he was commissioned to survey at the conclusion of the war, a task which took him five years in the field, but was only completed and published 25 years later. There are only two known copies of this immense tome in Australian public libraries. The parallel plan is to relate it to the wealth of imagery with which he illustrated the journal of his expedition in 1836 that discovered Australia Felix. By the artifice of fusing the magnificent maps and landscapes in the atlas with the illustrations in the journals, together with his unpublished artwork, and commissioned structures, a metaphorical map of the new Promised Land can be attempted. Set in a period of revolution and European expansion, it is a study encompassing histories of nationalism, exploration, cartography, colonisation, indigenous relations, warfare, art, and theories of landscape art, architecture, neoclassicism and romanticism, and the aesthetics of the sublime, the beautiful and the picturesque.
- Description: Doctor of Philosophy
- Authors: Coleridge, Edward
- Date: 2021
- Type: Text , Thesis , PhD
- Full Text:
- Description: This investigation into the oeuvre of Thomas Mitchell, the Surveyor-General of New South Wales from 1827 to 1855, intends to reveal the remarkable opus of work he produced and enquire how he achieved it. The feat that won him fame was his discovery of the rich pasturelands and picturesque landscapes in an area that is now western Victoria, which he called Australia Felix. He matched this enthusiastic name with a finely illustrated and densely detailed two-volume journal of his three exploratory journeys - ostensibly to find where the River Darling met the Murray River. Mitchell learnt his trade as a surveyor and mapmaker in Wellington’s army fighting the French in Spain and Portugal, that theatre of the Napoleonic Wars termed the Peninsular War. The objective of this thesis is twofold. The first is the exposition of a rare and remarkable atlas of battlefield plans he was commissioned to survey at the conclusion of the war, a task which took him five years in the field, but was only completed and published 25 years later. There are only two known copies of this immense tome in Australian public libraries. The parallel plan is to relate it to the wealth of imagery with which he illustrated the journal of his expedition in 1836 that discovered Australia Felix. By the artifice of fusing the magnificent maps and landscapes in the atlas with the illustrations in the journals, together with his unpublished artwork, and commissioned structures, a metaphorical map of the new Promised Land can be attempted. Set in a period of revolution and European expansion, it is a study encompassing histories of nationalism, exploration, cartography, colonisation, indigenous relations, warfare, art, and theories of landscape art, architecture, neoclassicism and romanticism, and the aesthetics of the sublime, the beautiful and the picturesque.
- Description: Doctor of Philosophy
Community response to shading a Phragmites australis reedbed
- Authors: Colville, Sonia
- Date: 2005
- Type: Text , Thesis , PhD
- Full Text:
- Description: The consequences of introducing riparian shade on in-stream community structure has not been well explored in south-eastern Australia. With catchment managers focusing on revegetation of riparian zones, there is a need to understand, monitor, and predict changes in ecological patters and processes that may take place as a system shifts from an open to a shaded stream community. Presented in this thesis is a conceptual model portraying possible responses of a macrophyte community to light reduction as a result of the introduction of riparian vegetation. This model was tested in the field by artificially shading sites (three shade treatments) to observe the direct effects of light reduction on Phragmites australis growth and structure and flow-on effects to associated in-stream biota."
- Description: Doctor of Philosphy
- Authors: Colville, Sonia
- Date: 2005
- Type: Text , Thesis , PhD
- Full Text:
- Description: The consequences of introducing riparian shade on in-stream community structure has not been well explored in south-eastern Australia. With catchment managers focusing on revegetation of riparian zones, there is a need to understand, monitor, and predict changes in ecological patters and processes that may take place as a system shifts from an open to a shaded stream community. Presented in this thesis is a conceptual model portraying possible responses of a macrophyte community to light reduction as a result of the introduction of riparian vegetation. This model was tested in the field by artificially shading sites (three shade treatments) to observe the direct effects of light reduction on Phragmites australis growth and structure and flow-on effects to associated in-stream biota."
- Description: Doctor of Philosphy
- Authors: Cooper, Andrew
- Date: 2006
- Type: Text , Thesis , PhD
- Full Text: false
- Description: Doctor of Psychology
Being a parent, but not : the role of foster and kinship carers in supporting children and young people
- Authors: Cooper, Kimberlea
- Date: 2020
- Type: Text , Thesis , PhD
- Full Text:
- Description: Home-based carers play an important role in the lives of children and young people. In Victoria, Australia, home-based care is now the most common form of alternative care, reflecting national and international trends. However, home-based care does currently face some challenges, such as shortages of carers. Therefore, strengthening this form of care through the training and support of foster and kinship carers is a key priority of Victoria’s reforms of child and family services. In the context of a university-industry collaboration, the current research drew upon the expertise of sixteen foster and kinship carers in the Central Highlands region of Victoria. Using constructivist grounded theory, the research sought to understand how carers support children and young people and how they see their role. In addition, the research sought carers’ perspectives on their interactions with the Out-of-Home Care (OOHC) system, including what they find supportive and challenging. The research revealed that home-based carers see some elements of their role as parenting, and others as going beyond parenting. The carers utilise principles of trauma-informed care to support children and young people, but do not experience trauma-informed support from the OOHC system. This discrepancy suggests that the implementation of trauma-informed care has the potential to increase pressure on home-based carers if it is only encouraged at the interpersonal level between carers and children and does not incorporate associated systems-level change. Therefore, this research proposes that whilst micro-level support and training for carers is necessary and useful, it is crucial to move beyond such initiatives to make macro-level reform. This research also raises doubts regarding the capacity of home-based care to become fully trauma-informed due to potential incompatibilities with the current risk-averse and deficit-oriented paradigm of the child protection system.
- Description: Doctor of Philosophy
- Authors: Cooper, Kimberlea
- Date: 2020
- Type: Text , Thesis , PhD
- Full Text:
- Description: Home-based carers play an important role in the lives of children and young people. In Victoria, Australia, home-based care is now the most common form of alternative care, reflecting national and international trends. However, home-based care does currently face some challenges, such as shortages of carers. Therefore, strengthening this form of care through the training and support of foster and kinship carers is a key priority of Victoria’s reforms of child and family services. In the context of a university-industry collaboration, the current research drew upon the expertise of sixteen foster and kinship carers in the Central Highlands region of Victoria. Using constructivist grounded theory, the research sought to understand how carers support children and young people and how they see their role. In addition, the research sought carers’ perspectives on their interactions with the Out-of-Home Care (OOHC) system, including what they find supportive and challenging. The research revealed that home-based carers see some elements of their role as parenting, and others as going beyond parenting. The carers utilise principles of trauma-informed care to support children and young people, but do not experience trauma-informed support from the OOHC system. This discrepancy suggests that the implementation of trauma-informed care has the potential to increase pressure on home-based carers if it is only encouraged at the interpersonal level between carers and children and does not incorporate associated systems-level change. Therefore, this research proposes that whilst micro-level support and training for carers is necessary and useful, it is crucial to move beyond such initiatives to make macro-level reform. This research also raises doubts regarding the capacity of home-based care to become fully trauma-informed due to potential incompatibilities with the current risk-averse and deficit-oriented paradigm of the child protection system.
- Description: Doctor of Philosophy
Dr James Stewart : Irish doctor and philanthropist on the Ballarat goldfields
- Authors: Cousen, Nicola
- Date: 2017
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis is the first in-depth biography of Dr James Stewart (1829-1906), an Ulster Presbyterian doctor who spent his prime years in Victoria between 1852 and 1869. It answers the question of who James Stewart was and why such an important actor in the history of Ballarat and colonial Victoria has been almost completely ignored by the historical record. The thesis explores the themes of identity and class by revealing the elements that shaped who Stewart was as well as his contributions to Ballarat and the colony through his medical work, civic duty, philanthropy and capitalist investment. Beginning with his early life in rural Ulster and medical education in Dublin, insight is provided into his emigration as a ship’s surgeon to the Ballarat goldfields in the context of the Irish diaspora. New light is thrown on the formative experience of ships’ surgeons and their role in the development of colonial medicine and civic duty; medical care available on the goldfields and during the events of the Eureka Stockade; and the professionalisation of medicine in colonial Victoria. In pursuing the biographical method advocated by Robert Rotberg, in the absence of personal records, it makes extensive use of newspapers and the archives of the institutions to which he contributed significantly. Interpretative and speculative methods are employed to carefully analyse his detailed will and obituaries. This study finds that Stewart’s flexible identity facilitated his involvement with a variety of community, class and social groups. Examination of his religious influences provides new understanding of Ulster Presbyterians and the Anglo-Irish in Victoria and challenges Patrick O’Farrell’s claim that the Anglo-Irish in Australia were right-wing conservatives. A major contributor to the development of Ballarat, a visionary and generous benefactor, James Stewart’s legacy continues to have an impact more than a century after his death.
- Description: Doctor of Philosophy
- Authors: Cousen, Nicola
- Date: 2017
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis is the first in-depth biography of Dr James Stewart (1829-1906), an Ulster Presbyterian doctor who spent his prime years in Victoria between 1852 and 1869. It answers the question of who James Stewart was and why such an important actor in the history of Ballarat and colonial Victoria has been almost completely ignored by the historical record. The thesis explores the themes of identity and class by revealing the elements that shaped who Stewart was as well as his contributions to Ballarat and the colony through his medical work, civic duty, philanthropy and capitalist investment. Beginning with his early life in rural Ulster and medical education in Dublin, insight is provided into his emigration as a ship’s surgeon to the Ballarat goldfields in the context of the Irish diaspora. New light is thrown on the formative experience of ships’ surgeons and their role in the development of colonial medicine and civic duty; medical care available on the goldfields and during the events of the Eureka Stockade; and the professionalisation of medicine in colonial Victoria. In pursuing the biographical method advocated by Robert Rotberg, in the absence of personal records, it makes extensive use of newspapers and the archives of the institutions to which he contributed significantly. Interpretative and speculative methods are employed to carefully analyse his detailed will and obituaries. This study finds that Stewart’s flexible identity facilitated his involvement with a variety of community, class and social groups. Examination of his religious influences provides new understanding of Ulster Presbyterians and the Anglo-Irish in Victoria and challenges Patrick O’Farrell’s claim that the Anglo-Irish in Australia were right-wing conservatives. A major contributor to the development of Ballarat, a visionary and generous benefactor, James Stewart’s legacy continues to have an impact more than a century after his death.
- Description: Doctor of Philosophy
Using narrative strategies in contemporary figurative painting
- Authors: Coutts, Maryanne
- Date: 1999
- Type: Text , Thesis , PhD
- Full Text: false
- Description: "This project applies an analysis of narrative, its elements, strategies and devices to figurative painting within the practical project of producing visual narrative fiction."
- Description: Doctor of Philosophy
Keynes from below : a social history of Second World War Keynesian economics
- Authors: Coventry, Cameron
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: The macroeconomic agenda known as Keynesianism was highly contentious when it was introduced to Australia during the Second World War. Using a ‘history from below’ approach – correctly understood as a society-wide analysis – this thesis reveals the debates and the participants in the social nexus that considered the work of the British economist John Maynard Keynes (1883-1946). It shows that the populous willed a break from the status quo, ranging in favour of socialism to a non-capitalist third way. Support for Keynesianism was isolated to capital and the political right wing, with labour, centrists, the left and far-left strongly opposed. As the war progressed, apathy set in and Keynesianism came to be seen by opponents as either a non-capitalist third way or as the triumph of the possible over the desirable socialist “new order”. From 1936, Keynes had popularised a new economics based on full employment planning that quickly displaced ‘laissez faire capitalism’ in the minds of economists and policymakers. As war broke out, Keynes submitted a war finance plan for public consideration in the United Kingdom. Essentially, the plan addressed the practical aspects of managing an economy experiencing full employment. It contained measures to reduce wage growth to counter rising inflation, welfare for mothers and children to protect their well-being – but also the population growth essential to future economic growth – and the partial repayment of seized wages at the end of the war that would form the basis of post-war “reconstruction”. The Keynes plan generated interest in Australia which rapidly turned to speculation about its applicability. A fierce debate raged, divided on broad political lines, for two years that would shift public opinion and contribute significantly to the rise of the Curtin government (1941-45). However, once enthusiasm for reconstruction waned, it was this government that brought about post-war Keynesianism.
- Description: Doctor of Philosophy
- Authors: Coventry, Cameron
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: The macroeconomic agenda known as Keynesianism was highly contentious when it was introduced to Australia during the Second World War. Using a ‘history from below’ approach – correctly understood as a society-wide analysis – this thesis reveals the debates and the participants in the social nexus that considered the work of the British economist John Maynard Keynes (1883-1946). It shows that the populous willed a break from the status quo, ranging in favour of socialism to a non-capitalist third way. Support for Keynesianism was isolated to capital and the political right wing, with labour, centrists, the left and far-left strongly opposed. As the war progressed, apathy set in and Keynesianism came to be seen by opponents as either a non-capitalist third way or as the triumph of the possible over the desirable socialist “new order”. From 1936, Keynes had popularised a new economics based on full employment planning that quickly displaced ‘laissez faire capitalism’ in the minds of economists and policymakers. As war broke out, Keynes submitted a war finance plan for public consideration in the United Kingdom. Essentially, the plan addressed the practical aspects of managing an economy experiencing full employment. It contained measures to reduce wage growth to counter rising inflation, welfare for mothers and children to protect their well-being – but also the population growth essential to future economic growth – and the partial repayment of seized wages at the end of the war that would form the basis of post-war “reconstruction”. The Keynes plan generated interest in Australia which rapidly turned to speculation about its applicability. A fierce debate raged, divided on broad political lines, for two years that would shift public opinion and contribute significantly to the rise of the Curtin government (1941-45). However, once enthusiasm for reconstruction waned, it was this government that brought about post-war Keynesianism.
- Description: Doctor of Philosophy