How to raise a ghost : the haunted house as a metaphor for the haunted self
- Authors: Proposch, Melissa
- Date: 2023
- Type: Text , Thesis , Masters
- Full Text:
- Description: This investigation takes an artistic autoethnographic journey in search of the haunted self. As an entangled form of research, it weaves the narrative and analytical into reciprocal relationships. Its methodology and conclusions tell a ghost story. An investigation of one’s haunted self is by nature an examination of personal ghosts and family shadows. This research documents a process of discovery, of looking for and finding my interior haunted house and the psychic home of family trauma and secrets. An examination of this tender and volatile site calls for intuitive and caring exploration and reading. Confinement during Covid-19 pandemic lockdowns further brought into focus my actual home as a site of exhumed memories. There, I developed strategies for attunement to the signs and stories of family ghosts. This process led to newly imagined narrative approaches for artmaking. The story of the haunted house is dark and curious, offering a metaphor for the negative psychological space of the family home, and embracing dystopian aesthetics. Metaphors play with meaning and draw symbolic likenesses to make their language expansive. This research explores how a visual language made for ghost story telling can draw upon the symbolic and metaphorical to express the nebulous and unsettling. It also examines the inherent spectrality of some arts technologies and their capacity to cultivate space and give voice to our phantasmagoric other. This investigation has also been informed by the practice of two artists for whom invocations of the ghostly are conceptually fundamental. Through engagement with their haunted selves, Tracey Moffatt and Louise Bourgeois provide raw access to the personal, familial, and societal shadows which haunt us all. Autoethnographers prefer to reveal meaning through process rather than declarative statements. The journey into my imaginary shadowlands culminates in the retrieval of a haunted object as artwork. Invoking the smoke and mirrors of nineteenth century spiritualism, this work embodies the notion of the artist as medium, calling upon tacit experience to bring forth image, then dialogue, and therein, the communion to be found in shared meaning. Partial fulfilment of requirements for Master of Arts
- Description: Thesis
- Authors: Proposch, Melissa
- Date: 2023
- Type: Text , Thesis , Masters
- Full Text:
- Description: This investigation takes an artistic autoethnographic journey in search of the haunted self. As an entangled form of research, it weaves the narrative and analytical into reciprocal relationships. Its methodology and conclusions tell a ghost story. An investigation of one’s haunted self is by nature an examination of personal ghosts and family shadows. This research documents a process of discovery, of looking for and finding my interior haunted house and the psychic home of family trauma and secrets. An examination of this tender and volatile site calls for intuitive and caring exploration and reading. Confinement during Covid-19 pandemic lockdowns further brought into focus my actual home as a site of exhumed memories. There, I developed strategies for attunement to the signs and stories of family ghosts. This process led to newly imagined narrative approaches for artmaking. The story of the haunted house is dark and curious, offering a metaphor for the negative psychological space of the family home, and embracing dystopian aesthetics. Metaphors play with meaning and draw symbolic likenesses to make their language expansive. This research explores how a visual language made for ghost story telling can draw upon the symbolic and metaphorical to express the nebulous and unsettling. It also examines the inherent spectrality of some arts technologies and their capacity to cultivate space and give voice to our phantasmagoric other. This investigation has also been informed by the practice of two artists for whom invocations of the ghostly are conceptually fundamental. Through engagement with their haunted selves, Tracey Moffatt and Louise Bourgeois provide raw access to the personal, familial, and societal shadows which haunt us all. Autoethnographers prefer to reveal meaning through process rather than declarative statements. The journey into my imaginary shadowlands culminates in the retrieval of a haunted object as artwork. Invoking the smoke and mirrors of nineteenth century spiritualism, this work embodies the notion of the artist as medium, calling upon tacit experience to bring forth image, then dialogue, and therein, the communion to be found in shared meaning. Partial fulfilment of requirements for Master of Arts
- Description: Thesis
Optimising water quality outcomes for complex water resource systems and water grids
- Authors: Dey, Sayani
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: As the world progresses, water resources are likely to be subjected to much greater pressures than in the past. Even though the principal water problem revolves around inadequate and uncertain water supplies, water quality management plays an equally important role. Availability of good quality water is paramount to sustainability of human population as well as the environment. Achieving water quality and quantity objectives can be conflicting and becomes more complicated with challenges like, climate change, growing populations and changed land uses. Managing adequate water quality in a reservoir gets complicated by multiple inflows with different water quality levels often resulting in poor water quality. Hence, it is fundamental to approach this issue in a more systematic, comprehensive, and coordinated fashion. Most previous studies related to water resources management focused on water quantity and considered water quality separately. However, this research study focused on considering water quantity and quality objectives simultaneously in a single model to explore and understand the relationship between them in a reservoir system. A case study area was identified in Western Victoria, Australia with water quantity and quality challenges. Taylors Lake of Grampians System in Victoria, Australia receives water from multiple sources of differing quality and quantity and has the abovesaid problems. A combined simulation and optimisation approach was adopted to carry out the analysis. A multi-objective optimisation approach was applied to achieve optimal water availability and quality in the storage. The multi-objective optimisation model included three objective functions which were: water volume and two water quality parameters: salinity and turbidity. Results showed competing nature of water quantity and quality objectives and established the trade-offs. It further showed that it was possible to generate a range of optimal solutions to effectively manage those trade-offs. The trade-off analysis explored and informed that selective harvesting of inflows is effective to improve water quality in storage. However, with strict water quality restriction there is a considerable loss in water volume. The robustness of the optimisation approach used in this study was confirmed through sensitivity and uncertainty analysis. The research work also incorporated various spatio-temporal scenario analyses to systematically articulate long-term and short-term operational planning strategies. Operational decisions around possible harvesting regimes while achieving optimal water quantity and quality and meeting all water demands were established. The climate change analysis revealed that optimal management of water quantity and quality in storage became extremely challenging under future climate projections. The high reduction in storage volume in the future will lead to several challenges such as water supply shortfall and inability to undertake selective harvesting due to reduced water quality levels. In this context, selective harvesting of inflows based on water quality will no longer be an option to manage water quantity and quality optimally in storage. Some significant conclusions of this research work included the establishment of trade-offs between water quality and quantity objectives particular to this configuration of water supply system. The work demonstrated that selective harvesting of inflows will improve the stored water quality, and this finding along with the approach used is a significant contribution to decision makers working within the water sector. The simulation-optimisation approach is very effective in providing a range of optimal solutions, which can be used to make more informed decisions around achieving optimal water quality and quantity in storage. It was further demonstrated that there are range of planning periods, both long-term (>10 years) and short-term (<1 year), all of which offer distinct advantages and provides useful insights, making this an additional key contribution of the work. Importantly, climate change was also considered where it was found that diminishing water resources, particularly to this geographic location, makes it increasingly difficult to optimise both quality and quantity in storage providing further useful insights from this work.
- Description: Doctor of Philosophy
- Authors: Dey, Sayani
- Date: 2023
- Type: Text , Thesis , PhD
- Full Text:
- Description: As the world progresses, water resources are likely to be subjected to much greater pressures than in the past. Even though the principal water problem revolves around inadequate and uncertain water supplies, water quality management plays an equally important role. Availability of good quality water is paramount to sustainability of human population as well as the environment. Achieving water quality and quantity objectives can be conflicting and becomes more complicated with challenges like, climate change, growing populations and changed land uses. Managing adequate water quality in a reservoir gets complicated by multiple inflows with different water quality levels often resulting in poor water quality. Hence, it is fundamental to approach this issue in a more systematic, comprehensive, and coordinated fashion. Most previous studies related to water resources management focused on water quantity and considered water quality separately. However, this research study focused on considering water quantity and quality objectives simultaneously in a single model to explore and understand the relationship between them in a reservoir system. A case study area was identified in Western Victoria, Australia with water quantity and quality challenges. Taylors Lake of Grampians System in Victoria, Australia receives water from multiple sources of differing quality and quantity and has the abovesaid problems. A combined simulation and optimisation approach was adopted to carry out the analysis. A multi-objective optimisation approach was applied to achieve optimal water availability and quality in the storage. The multi-objective optimisation model included three objective functions which were: water volume and two water quality parameters: salinity and turbidity. Results showed competing nature of water quantity and quality objectives and established the trade-offs. It further showed that it was possible to generate a range of optimal solutions to effectively manage those trade-offs. The trade-off analysis explored and informed that selective harvesting of inflows is effective to improve water quality in storage. However, with strict water quality restriction there is a considerable loss in water volume. The robustness of the optimisation approach used in this study was confirmed through sensitivity and uncertainty analysis. The research work also incorporated various spatio-temporal scenario analyses to systematically articulate long-term and short-term operational planning strategies. Operational decisions around possible harvesting regimes while achieving optimal water quantity and quality and meeting all water demands were established. The climate change analysis revealed that optimal management of water quantity and quality in storage became extremely challenging under future climate projections. The high reduction in storage volume in the future will lead to several challenges such as water supply shortfall and inability to undertake selective harvesting due to reduced water quality levels. In this context, selective harvesting of inflows based on water quality will no longer be an option to manage water quantity and quality optimally in storage. Some significant conclusions of this research work included the establishment of trade-offs between water quality and quantity objectives particular to this configuration of water supply system. The work demonstrated that selective harvesting of inflows will improve the stored water quality, and this finding along with the approach used is a significant contribution to decision makers working within the water sector. The simulation-optimisation approach is very effective in providing a range of optimal solutions, which can be used to make more informed decisions around achieving optimal water quality and quantity in storage. It was further demonstrated that there are range of planning periods, both long-term (>10 years) and short-term (<1 year), all of which offer distinct advantages and provides useful insights, making this an additional key contribution of the work. Importantly, climate change was also considered where it was found that diminishing water resources, particularly to this geographic location, makes it increasingly difficult to optimise both quality and quantity in storage providing further useful insights from this work.
- Description: Doctor of Philosophy
An evaluation of the effectiveness of a consumer-led educational program about stigma in mental illness and recovery attitudes among Mental Health Nurses
- Authors: Sreeram, Anju
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Fear, frustration and myths about mental illness engenders negative attitudes towards mental illness. Such negative attitudes impede the recovery of people diagnosed with mental illness. Despite an increasing emphasis on stigma and recovery-focused practices, evidence shows prejudicial attitudes towards mental illness and the recovery of people with mental illness among mental health professionals still exist. Anti-stigma initiatives and recovery-oriented interventions can aid in enhancing the attitudes of mental health professionals. Contact-based interventions have the greatest impact on attitudes among the mental health professionals including nurses. However, research regarding initiatives targeting stigma of mental illness and recovery attitudes among Mental Health Nurses working in the acute inpatient psychiatric units is limited. Therefore, the aim of the current study was to evaluate the effectiveness of a consumer-led education package on stigma about mental illness and recovery attitudes of Mental Health Nurses. A sequential explanatory mixed-method, with a pre-test and post-test design was used to evaluate the effect of consumer-led education. This research involved three phases. In the first phase, the study explored Mental Health Nurses' attitudes towards mental illness and recovery using surveys and non-participant observation. The second phase focused on the co-development and co-implementation of a consumer-led education package. The effectiveness of the intervention was evaluated using immediate post-test assessment and again three months later. The final phase focused on exploring the results obtained in the first and second phases of the study through an in-depth interview.
- Description: Doctor of Philosophy
- Authors: Sreeram, Anju
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Fear, frustration and myths about mental illness engenders negative attitudes towards mental illness. Such negative attitudes impede the recovery of people diagnosed with mental illness. Despite an increasing emphasis on stigma and recovery-focused practices, evidence shows prejudicial attitudes towards mental illness and the recovery of people with mental illness among mental health professionals still exist. Anti-stigma initiatives and recovery-oriented interventions can aid in enhancing the attitudes of mental health professionals. Contact-based interventions have the greatest impact on attitudes among the mental health professionals including nurses. However, research regarding initiatives targeting stigma of mental illness and recovery attitudes among Mental Health Nurses working in the acute inpatient psychiatric units is limited. Therefore, the aim of the current study was to evaluate the effectiveness of a consumer-led education package on stigma about mental illness and recovery attitudes of Mental Health Nurses. A sequential explanatory mixed-method, with a pre-test and post-test design was used to evaluate the effect of consumer-led education. This research involved three phases. In the first phase, the study explored Mental Health Nurses' attitudes towards mental illness and recovery using surveys and non-participant observation. The second phase focused on the co-development and co-implementation of a consumer-led education package. The effectiveness of the intervention was evaluated using immediate post-test assessment and again three months later. The final phase focused on exploring the results obtained in the first and second phases of the study through an in-depth interview.
- Description: Doctor of Philosophy
An investigation of heat stress epidemiology, prevention guidelines, and sporting environment
- Authors: Gonsalves, Marlon
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: As temperatures rise, the frequency of heatwaves, extreme summer heat and less night-time cooling increases. An uncontrolled increase in heat production affects performance and subsequently affects the health of the athlete resulting in exertional heat illness (EHI). EHI is a result of an uncontrollable rise in core body temperature arising from a thermoregulatory response. With rising temperatures, the risk of EHI when exercising or participating in sport increases. However, assessing the risk of EHI is contingent on accurate epidemiological data and addressing the risk of EHI is reliant on effective evidence-based interventions. This thesis assessed the risk of EHI through four interlinked studies: (ⅰ) an analysis of heat-related sports and leisure hospitalisations and emergency department presentations to determine trends in incidence rates and compare them with meteorological trends; (ⅱ) a document analysis of all sports and leisure activity heat-related injury prevention resources in Australia to develop an understanding of the content within those resources; (ⅲ) an investigation of surface temperatures of commonly used artificial sports surfaces to assess the risk posed by such surfaces and measure the differences in microclimates; and, (ⅳ) an assessment of the concordance of meteorological data of multiple artificial sports surfaces with meteorological data from the nearest Bureau of Meteorology (BOM) weather station and a local City of Ballarat (COB) environmental monitoring system (EMS). A total of 1055 heat injury hospitalisations and emergency department (ED) presentations were recorded between July 2008 and June 2018, which included 171 sport-related hospitalisations,139 ED presentations, 83 leisure-related hospitalisations and 662 ED presentations. There were significant correlations between ED presentations for heat-related sports injuries and mean, minimum and maximum temperature, mean and maximum temperature anomaly, summer maximum temperature, and summer maximum temperature anomaly. Three overarching categories emerged through the document analysis process: preventive strategies (n=299, 63.9%), risk factors (n=94, 20.1%), and treatment (n=75, 16.0%). Activity modification, which included information on rescheduling games and extra breaks, was the most common intervention. Cricket, soccer, swimming, and triathlon had the most complete set of heat resources. During the 2020–2021 summer period a total of 1245 measurements were recorded across five artificial sports surfaces: athletics, hockey, lawn bowls, soccer, tennis. The lawn bowls turf was the hottest surface with a mean surface temperature of 54.43 (± 13.46) °C. An increase in surface temperature corresponded to an increase in air temperature, wet bulb temperature and a decrease in relative humidity but the effect varied across the five surfaces. An increase in solar radiation and air temperature also corresponded to an increase in surface temperature. On all five surfaces measured, the BOM air temperatures were the lowest, followed by the on-site air temperatures and then the COB air temperatures on all surfaces. The highest Wet Bulb Globe Temperature (WBGT) measurements of 24.38 (± 2.39) °C were recorded by the COB sensor, while the lowest WBGT measurements 20.76 (± 1.99) °C were recorded by the BOM. There was a statistically significant difference in the WBGT categorisation between on-site estimate measurements and BOM measurements, p <0.001. The incidence of heat-related hospitalisations and ED presentations provides a baseline from which heat-related guidelines and interventions can be developed, evaluated, and modified. Heat resources considered in the document analysis suggest EHI is preventable if appropriate precautions are implemented. With a focus on preventing EHI, heat resources mainly provided recommendations on modifying activities and reducing exposure to extreme conditions. These results imply the EHI risk posed by artificial sport surfaces are not uniform and safety polices should be updated to reflect the link between air temperature and surface temperature. Understanding how surface temperature is influenced by air temperature, solar radiation and cloud cover allows for more accurate predictions of playing conditions on these artificial sport surfaces. Differences were observed between the individual meteorological measurements, the WBGT measurements and the heat stress categorisation. Overall, a significant discord existed for both individual meteorological variables and WBGT modelled from multiple sources of available data. The findings from this thesis have implications for athlete welfare and strengthening future interventions. Overall, this doctoral research project quantifies the scale of heat-related injuries, reviews the policies to address these heat-related injuries and provides new knowledge on the risk posed by artificial sports surfaces.
- Description: Doctor of Philosophy
- Description: As temperatures rise, the frequency of heatwaves, extreme summer heat and less night-time cooling increases. An uncontrolled increase in heat production affects performance and subsequently affects the health of the athlete resulting in exertional heat illness (EHI). EHI is a result of an uncontrollable rise in core body temperature arising from a thermoregulatory response. With rising temperatures, the risk of EHI when exercising or participating in sport increases. However, assessing the risk of EHI is contingent on accurate epidemiological data and addressing the risk of EHI is reliant on effective evidence-based interventions. This thesis assessed the risk of EHI through four interlinked studies: (
- Authors: Gonsalves, Marlon
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: As temperatures rise, the frequency of heatwaves, extreme summer heat and less night-time cooling increases. An uncontrolled increase in heat production affects performance and subsequently affects the health of the athlete resulting in exertional heat illness (EHI). EHI is a result of an uncontrollable rise in core body temperature arising from a thermoregulatory response. With rising temperatures, the risk of EHI when exercising or participating in sport increases. However, assessing the risk of EHI is contingent on accurate epidemiological data and addressing the risk of EHI is reliant on effective evidence-based interventions. This thesis assessed the risk of EHI through four interlinked studies: (ⅰ) an analysis of heat-related sports and leisure hospitalisations and emergency department presentations to determine trends in incidence rates and compare them with meteorological trends; (ⅱ) a document analysis of all sports and leisure activity heat-related injury prevention resources in Australia to develop an understanding of the content within those resources; (ⅲ) an investigation of surface temperatures of commonly used artificial sports surfaces to assess the risk posed by such surfaces and measure the differences in microclimates; and, (ⅳ) an assessment of the concordance of meteorological data of multiple artificial sports surfaces with meteorological data from the nearest Bureau of Meteorology (BOM) weather station and a local City of Ballarat (COB) environmental monitoring system (EMS). A total of 1055 heat injury hospitalisations and emergency department (ED) presentations were recorded between July 2008 and June 2018, which included 171 sport-related hospitalisations,139 ED presentations, 83 leisure-related hospitalisations and 662 ED presentations. There were significant correlations between ED presentations for heat-related sports injuries and mean, minimum and maximum temperature, mean and maximum temperature anomaly, summer maximum temperature, and summer maximum temperature anomaly. Three overarching categories emerged through the document analysis process: preventive strategies (n=299, 63.9%), risk factors (n=94, 20.1%), and treatment (n=75, 16.0%). Activity modification, which included information on rescheduling games and extra breaks, was the most common intervention. Cricket, soccer, swimming, and triathlon had the most complete set of heat resources. During the 2020–2021 summer period a total of 1245 measurements were recorded across five artificial sports surfaces: athletics, hockey, lawn bowls, soccer, tennis. The lawn bowls turf was the hottest surface with a mean surface temperature of 54.43 (± 13.46) °C. An increase in surface temperature corresponded to an increase in air temperature, wet bulb temperature and a decrease in relative humidity but the effect varied across the five surfaces. An increase in solar radiation and air temperature also corresponded to an increase in surface temperature. On all five surfaces measured, the BOM air temperatures were the lowest, followed by the on-site air temperatures and then the COB air temperatures on all surfaces. The highest Wet Bulb Globe Temperature (WBGT) measurements of 24.38 (± 2.39) °C were recorded by the COB sensor, while the lowest WBGT measurements 20.76 (± 1.99) °C were recorded by the BOM. There was a statistically significant difference in the WBGT categorisation between on-site estimate measurements and BOM measurements, p <0.001. The incidence of heat-related hospitalisations and ED presentations provides a baseline from which heat-related guidelines and interventions can be developed, evaluated, and modified. Heat resources considered in the document analysis suggest EHI is preventable if appropriate precautions are implemented. With a focus on preventing EHI, heat resources mainly provided recommendations on modifying activities and reducing exposure to extreme conditions. These results imply the EHI risk posed by artificial sport surfaces are not uniform and safety polices should be updated to reflect the link between air temperature and surface temperature. Understanding how surface temperature is influenced by air temperature, solar radiation and cloud cover allows for more accurate predictions of playing conditions on these artificial sport surfaces. Differences were observed between the individual meteorological measurements, the WBGT measurements and the heat stress categorisation. Overall, a significant discord existed for both individual meteorological variables and WBGT modelled from multiple sources of available data. The findings from this thesis have implications for athlete welfare and strengthening future interventions. Overall, this doctoral research project quantifies the scale of heat-related injuries, reviews the policies to address these heat-related injuries and provides new knowledge on the risk posed by artificial sports surfaces.
- Description: Doctor of Philosophy
- Description: As temperatures rise, the frequency of heatwaves, extreme summer heat and less night-time cooling increases. An uncontrolled increase in heat production affects performance and subsequently affects the health of the athlete resulting in exertional heat illness (EHI). EHI is a result of an uncontrollable rise in core body temperature arising from a thermoregulatory response. With rising temperatures, the risk of EHI when exercising or participating in sport increases. However, assessing the risk of EHI is contingent on accurate epidemiological data and addressing the risk of EHI is reliant on effective evidence-based interventions. This thesis assessed the risk of EHI through four interlinked studies: (
Are nurse academics technology ready? A mixed methods study of Australian nurse academics’ attitudes to technologies in teaching
- Authors: Browning, Mark
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Technology use in higher education teaching has become widespread and ubiquitous, affecting many areas of teaching and learning (Bond et al., 2020). Nurse education has been impacted by this shift with increasing use of technologies in the classroom (Koch, 2014). Although there has been a large research focus relating to students’ elearning, there has been less focus on the academic and their elearning role, in particular, how academic attitudes influence technology use in teaching (Drysdale et al., 2013; Martin, Polly, et al., 2020). The aim of this study was to explore nurse academics’ attitudes to technology and the influence attitude has on their use of technologies in teaching. There were three objectives: 1) To investigate nurse academics’ attitudes to technology through the Technology Readiness Index 2.0 (TRI 2). 2) To develop an understanding of how and why nurse academics engage with technology through individual interviews. 3) To integrate the quantitative (Objective 1) and qualitative (Objective 2) findings in order to gain a holistic understanding of academics’ use of technologies in teaching. A mixed methods sequential explanatory design consisting of two phases was used to address the aim. The first phase was a survey based on a previously validated, 16 item questionnaire, the Technology Readiness Index 2.0 (TRI 2), which was distributed to Australian nurse academics. The second phase included semi-structured individual interviews focussed on academics’ use and attitudes to technology, incorporating elements from the survey. The Technology Readiness Index 2.0 (TRI 2) was used in this study for the first time with nurse academics. The phase one findings indicate that nurse academics were technology ready, had higher overall TRI mean score than the general population (Parasuraman & Colby, 2015), but with similar outcomes to previous nurse academic research. Of note was that TRI was significantly associated with frequency of technology use, number of technologies used and self-rated confidence to use technology. The findings revealed three main Technology Readiness groups, representing three attitudes to technology in teaching: Explorers, Sceptics and Hesitators. Explorers were found to be innovative, positive and confident in their use of technology; Sceptics showed aversion to technology, were cautious when considering the impact on pedagogy and concerned about the impact on interpersonal skills; Hesitators showed preference for traditional teaching and distrust and were anxious about technology use. Overall, attitudes were found to be complex, based on experience and the potential impact technology may have on nursing students. The groups identified in this thesis explain behaviours and enable institutes to support academics in their engagement with technology. Recommendations include flexible training to meet the needs of academics, the use of simple and reliable technology across TR groups and adjusting workloads to account for the time-consuming nature of technology. There is also a need for academics to consider their attitudes to technology and the impact this may have on their teaching. This thesis demonstrates that technology engagement is not a binary choice but a complex process based on attitudes and other factors.
- Description: Doctor of Philosophy
- Authors: Browning, Mark
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Technology use in higher education teaching has become widespread and ubiquitous, affecting many areas of teaching and learning (Bond et al., 2020). Nurse education has been impacted by this shift with increasing use of technologies in the classroom (Koch, 2014). Although there has been a large research focus relating to students’ elearning, there has been less focus on the academic and their elearning role, in particular, how academic attitudes influence technology use in teaching (Drysdale et al., 2013; Martin, Polly, et al., 2020). The aim of this study was to explore nurse academics’ attitudes to technology and the influence attitude has on their use of technologies in teaching. There were three objectives: 1) To investigate nurse academics’ attitudes to technology through the Technology Readiness Index 2.0 (TRI 2). 2) To develop an understanding of how and why nurse academics engage with technology through individual interviews. 3) To integrate the quantitative (Objective 1) and qualitative (Objective 2) findings in order to gain a holistic understanding of academics’ use of technologies in teaching. A mixed methods sequential explanatory design consisting of two phases was used to address the aim. The first phase was a survey based on a previously validated, 16 item questionnaire, the Technology Readiness Index 2.0 (TRI 2), which was distributed to Australian nurse academics. The second phase included semi-structured individual interviews focussed on academics’ use and attitudes to technology, incorporating elements from the survey. The Technology Readiness Index 2.0 (TRI 2) was used in this study for the first time with nurse academics. The phase one findings indicate that nurse academics were technology ready, had higher overall TRI mean score than the general population (Parasuraman & Colby, 2015), but with similar outcomes to previous nurse academic research. Of note was that TRI was significantly associated with frequency of technology use, number of technologies used and self-rated confidence to use technology. The findings revealed three main Technology Readiness groups, representing three attitudes to technology in teaching: Explorers, Sceptics and Hesitators. Explorers were found to be innovative, positive and confident in their use of technology; Sceptics showed aversion to technology, were cautious when considering the impact on pedagogy and concerned about the impact on interpersonal skills; Hesitators showed preference for traditional teaching and distrust and were anxious about technology use. Overall, attitudes were found to be complex, based on experience and the potential impact technology may have on nursing students. The groups identified in this thesis explain behaviours and enable institutes to support academics in their engagement with technology. Recommendations include flexible training to meet the needs of academics, the use of simple and reliable technology across TR groups and adjusting workloads to account for the time-consuming nature of technology. There is also a need for academics to consider their attitudes to technology and the impact this may have on their teaching. This thesis demonstrates that technology engagement is not a binary choice but a complex process based on attitudes and other factors.
- Description: Doctor of Philosophy
Continuing professional development of allied health professionals : A regional study
- Authors: Schenk, Peter
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Background The Australian healthcare system is challenged by an ageing population and lifestyle risk factors that disproportionately affect people in regional (non-metropolitan) geographic regions. In addition, the allied health professionals who work in knowledge-intensive occupations in regional Victoria face barriers regarding profession related learning. Allied health professionals provide diagnostic and therapeutic patient care services, and within these professions, healthcare diagnoses and treatments are expected by society and government to be founded on scientific evidence. Therefore, remaining up-to-date with rapidly developing knowledge requires continuing professional development (CPD). Purpose This study explores pertinent issues affecting the CPD programs of allied health professionals and the interaction with regional Victorian public hospitals’ knowledge management (KM) approaches. Consequently, the study identifies opportunities for improving profession related learning, enhancing evidence-based practice and the efficacy of diagnoses and treatments. The proposed outcome of this study addresses perceived inadequacies of allied health professionals’ CPD and its contribution to medical errors. Furthermore, greater availability and effectiveness of profession related learning in these occupations should improve patients’ health outcomes. The study described in this thesis answers the primary research question: 1) What factors significantly influence the availability and effectiveness of continuing professional development (CPD) for allied health professionals (radiographers, sonographers and physiotherapists)? In addition, it also answers the secondary research question: 2) How can the findings of this research be represented to improve the CPD of allied health professionals and knowledge management (KM) in regional Victorian public hospitals? Methodology This study explores subjective phenomena involving human behaviour; therefore, the philosophical foundations of this study are post-positivist, with knowledge claims of interpretivist research. This research employs multi-site embedded case studies, defined as empirical enquiries investigating contemporary phenomena in real-world contexts. Therefore, they are suitable for this investigation, where participant experiences and contexts are equally important. Case selection in this study expresses regionalism through remoteness classifications of inner and outer regional areas, and hospital size comparing small/medium and large/referral regional hospitals. The 37 respondents to semi-structured interviews include hospital managers and purposefully selected allied health professionals (radiographers, sonographers and physiotherapists). The interviews were conducted from March to June 2017, with thematic analysis completed thereafter. Results Respondents in this study propose a holistic concept of CPD, encompassing all profession related learning opportunities, including learning from CPD activities and practice-based learning. Furthermore, the allied health professionals had various motivations for undertaking CPD, including maintaining and enhancing profession related knowledge, personal interest, supporting hospital needs, and meeting mandatory requirements. In addition, they discussed the factors that influenced their CPD planning, including their preference for formal face-to-face CPD activities, the availability of hospital-provided or local CPD activities, online learning, and overcoming barriers of their regional location. Finally, the factors influencing allied health professionals’ CPD include their planning of CPD programs, the influence of hospitals’ KM, and the competencies they consider necessary for good practice. Conclusion The thematic analysis in this study represents this study’s findings as a normative conceptual model in answer to the secondary research question. The Model of Allied Health Professionals’ CPD (described in section 6.7) proffers a heuristic framework depicting reflective feedback and the process of deliberative planning of CPD. Extrapolating knowledge from the literature and respondents’ experiences with CPD, the model’s elements include interrelationships between allied health professionals’ CPD planning and activities, hospitals’ approaches to KM, and informal workplace learning. Furthermore, the combined outcomes of CPD and KM contribute to allied health professionals’ competencies and expertise, presumably contributing to improving patients’ healthcare, including diagnoses and treatments.
- Description: Doctor of Philosophy
- Authors: Schenk, Peter
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Background The Australian healthcare system is challenged by an ageing population and lifestyle risk factors that disproportionately affect people in regional (non-metropolitan) geographic regions. In addition, the allied health professionals who work in knowledge-intensive occupations in regional Victoria face barriers regarding profession related learning. Allied health professionals provide diagnostic and therapeutic patient care services, and within these professions, healthcare diagnoses and treatments are expected by society and government to be founded on scientific evidence. Therefore, remaining up-to-date with rapidly developing knowledge requires continuing professional development (CPD). Purpose This study explores pertinent issues affecting the CPD programs of allied health professionals and the interaction with regional Victorian public hospitals’ knowledge management (KM) approaches. Consequently, the study identifies opportunities for improving profession related learning, enhancing evidence-based practice and the efficacy of diagnoses and treatments. The proposed outcome of this study addresses perceived inadequacies of allied health professionals’ CPD and its contribution to medical errors. Furthermore, greater availability and effectiveness of profession related learning in these occupations should improve patients’ health outcomes. The study described in this thesis answers the primary research question: 1) What factors significantly influence the availability and effectiveness of continuing professional development (CPD) for allied health professionals (radiographers, sonographers and physiotherapists)? In addition, it also answers the secondary research question: 2) How can the findings of this research be represented to improve the CPD of allied health professionals and knowledge management (KM) in regional Victorian public hospitals? Methodology This study explores subjective phenomena involving human behaviour; therefore, the philosophical foundations of this study are post-positivist, with knowledge claims of interpretivist research. This research employs multi-site embedded case studies, defined as empirical enquiries investigating contemporary phenomena in real-world contexts. Therefore, they are suitable for this investigation, where participant experiences and contexts are equally important. Case selection in this study expresses regionalism through remoteness classifications of inner and outer regional areas, and hospital size comparing small/medium and large/referral regional hospitals. The 37 respondents to semi-structured interviews include hospital managers and purposefully selected allied health professionals (radiographers, sonographers and physiotherapists). The interviews were conducted from March to June 2017, with thematic analysis completed thereafter. Results Respondents in this study propose a holistic concept of CPD, encompassing all profession related learning opportunities, including learning from CPD activities and practice-based learning. Furthermore, the allied health professionals had various motivations for undertaking CPD, including maintaining and enhancing profession related knowledge, personal interest, supporting hospital needs, and meeting mandatory requirements. In addition, they discussed the factors that influenced their CPD planning, including their preference for formal face-to-face CPD activities, the availability of hospital-provided or local CPD activities, online learning, and overcoming barriers of their regional location. Finally, the factors influencing allied health professionals’ CPD include their planning of CPD programs, the influence of hospitals’ KM, and the competencies they consider necessary for good practice. Conclusion The thematic analysis in this study represents this study’s findings as a normative conceptual model in answer to the secondary research question. The Model of Allied Health Professionals’ CPD (described in section 6.7) proffers a heuristic framework depicting reflective feedback and the process of deliberative planning of CPD. Extrapolating knowledge from the literature and respondents’ experiences with CPD, the model’s elements include interrelationships between allied health professionals’ CPD planning and activities, hospitals’ approaches to KM, and informal workplace learning. Furthermore, the combined outcomes of CPD and KM contribute to allied health professionals’ competencies and expertise, presumably contributing to improving patients’ healthcare, including diagnoses and treatments.
- Description: Doctor of Philosophy
Design and optimisation of the limaçon rotary compressor
- Lu, Kui
- Authors: Lu, Kui
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: The limaçon positive displacement machine is characterised by its internal geometry and unique mechanical motion; both based on a mathematical curve known as the limaçon of Pascal. The limaçon technology offers many advantages, such as compact size and double‐acting functionality, and its great potential for fluid processing applications has been proven by a number of patents and innovative designs in engines, expanders, and pumps. However, no commercial application of the limaçon technology in the field of positive displacement compressors has been reported in the literature. This could be attributed to the fact that the potential of the limaçon technology for gas compression has not been established as yet. The process of establishing potential is necessary before funds and resources are dedicated to investing in prototyping and testing. This process entails a considerable amount of modelling, coding and analysis as one must ensure the embodiment is geometrically capable of delivering suction and compression strokes, ports can be arranged to support the workings of these strokes, a number of measurable parameters can be identified as impacting compressor performance and it is possible to calculate a set of parameters which optimise this performance. To achieve this objective, a comprehensive mathematical model of a limaçon machine, implemented as a compressor,was first developed. The model, which is multi‐physical in nature, spans such domains as kinematics, fluid dynamics, characteristics of the port flow, internal leakage due to seal vibration, dynamics of the discharge valve, and thermodynamics. Subsequently, the simulation of the model has been performed to numerically study the operational characteristics of the limaçon compressor and to investigate the effect of various parameters on the compressor performance. It was found that the increase in the operating speed and pressure ratio would lead to negative effects on machine performance, especially on volumetric efficiency. Additionally, the results of simulations indicated that the level of fluid over‐compression is influenced by the characteristics of the discharge valve. To ensure the suitability of limaçon technology for use in positive displacement compressors, a study was undertaken to determine whether such an embodiment lent itself to optimisation efforts. For this purpose, the thorough mathematical model which has been developed to simulate compressor workings was then used for optimisation purposes whereby a Bayesian optimisation procedure was applied. The optimisation procedure was conducted in a two‐stage fashion where the first stage optimises the machine dimensions to meet volumetric requirements specified by the designer; and the second stage focuses on revealing the optimum combination of port geometries that improves machine performance. A numerical illustration was presented to prove the validity of the presented approach, and the results show that considerable improvements in the isentropic and volumetric efficiencies can be attained. Moreover, the optimised design was tested under different operating speeds and pressure ratios to investigate its robustness. It was found that the optimised design can exhibit relatively stable performance when the working conditions vary within a small bandwidth around that used in the optimisation procedure. The limaçon technology has three embodiments, namely the limaçon‐to‐limaçon (L2L), the limaçon‐to‐circular, and the circolimaçon. The circolimaçon embodiment features using circular arcs, rather than limaçon curves, to develop profiles for the rotor and housing. This embodiment simplifies the manufacturing process and reduces the production cost associated with producing a limaçon technology. A feasibility study of the circolimaçon embodiment was conducted by comparing its performance with that of the L2L type device. The machine dimensions and port geometries obtained from the optimisation procedure were used in the comparative study. A nonlinear three‐degree of freedom model was presented to describe the dynamic behaviour of the apex seal during the machine operation. Additionally, the leakage through the seal‐housing gap was formulated by considering the inertia and viscous effects of the flow. The results from the case study suggest that the circolimaçon embodiment exhibits comparable performance to the L2L‐type machine, despite having more significant seal vibrations. Moreover, it was also discovered that the circolimaçon compressor with a small capacity undergoes a lower level of seal dynamics, indicating better machine reliability.
- Description: Doctor of Philosophy
- Authors: Lu, Kui
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: The limaçon positive displacement machine is characterised by its internal geometry and unique mechanical motion; both based on a mathematical curve known as the limaçon of Pascal. The limaçon technology offers many advantages, such as compact size and double‐acting functionality, and its great potential for fluid processing applications has been proven by a number of patents and innovative designs in engines, expanders, and pumps. However, no commercial application of the limaçon technology in the field of positive displacement compressors has been reported in the literature. This could be attributed to the fact that the potential of the limaçon technology for gas compression has not been established as yet. The process of establishing potential is necessary before funds and resources are dedicated to investing in prototyping and testing. This process entails a considerable amount of modelling, coding and analysis as one must ensure the embodiment is geometrically capable of delivering suction and compression strokes, ports can be arranged to support the workings of these strokes, a number of measurable parameters can be identified as impacting compressor performance and it is possible to calculate a set of parameters which optimise this performance. To achieve this objective, a comprehensive mathematical model of a limaçon machine, implemented as a compressor,was first developed. The model, which is multi‐physical in nature, spans such domains as kinematics, fluid dynamics, characteristics of the port flow, internal leakage due to seal vibration, dynamics of the discharge valve, and thermodynamics. Subsequently, the simulation of the model has been performed to numerically study the operational characteristics of the limaçon compressor and to investigate the effect of various parameters on the compressor performance. It was found that the increase in the operating speed and pressure ratio would lead to negative effects on machine performance, especially on volumetric efficiency. Additionally, the results of simulations indicated that the level of fluid over‐compression is influenced by the characteristics of the discharge valve. To ensure the suitability of limaçon technology for use in positive displacement compressors, a study was undertaken to determine whether such an embodiment lent itself to optimisation efforts. For this purpose, the thorough mathematical model which has been developed to simulate compressor workings was then used for optimisation purposes whereby a Bayesian optimisation procedure was applied. The optimisation procedure was conducted in a two‐stage fashion where the first stage optimises the machine dimensions to meet volumetric requirements specified by the designer; and the second stage focuses on revealing the optimum combination of port geometries that improves machine performance. A numerical illustration was presented to prove the validity of the presented approach, and the results show that considerable improvements in the isentropic and volumetric efficiencies can be attained. Moreover, the optimised design was tested under different operating speeds and pressure ratios to investigate its robustness. It was found that the optimised design can exhibit relatively stable performance when the working conditions vary within a small bandwidth around that used in the optimisation procedure. The limaçon technology has three embodiments, namely the limaçon‐to‐limaçon (L2L), the limaçon‐to‐circular, and the circolimaçon. The circolimaçon embodiment features using circular arcs, rather than limaçon curves, to develop profiles for the rotor and housing. This embodiment simplifies the manufacturing process and reduces the production cost associated with producing a limaçon technology. A feasibility study of the circolimaçon embodiment was conducted by comparing its performance with that of the L2L type device. The machine dimensions and port geometries obtained from the optimisation procedure were used in the comparative study. A nonlinear three‐degree of freedom model was presented to describe the dynamic behaviour of the apex seal during the machine operation. Additionally, the leakage through the seal‐housing gap was formulated by considering the inertia and viscous effects of the flow. The results from the case study suggest that the circolimaçon embodiment exhibits comparable performance to the L2L‐type machine, despite having more significant seal vibrations. Moreover, it was also discovered that the circolimaçon compressor with a small capacity undergoes a lower level of seal dynamics, indicating better machine reliability.
- Description: Doctor of Philosophy
Ecology and management of a tropical invasive weed, Cyperus aromaticus (Navua sedge) in Queensland, Australia
- Authors: Chadha, Aakansha
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Cyperus aromaticus (Ridley) Mattf. & Kükenth, commonly known as Navua sedge is an invasive C4 perennial sedge species of the Cyperaceae family found predominantly in tropical environments. A native of tropical Africa, it has spread widely and become problematic in many southwest Pacific islands and in tropical north Queensland, Australia. It is a principal weed infesting pastures, sugarcane, banana and root crops, which causes significant damage across a range of industries including dairy, beef, sugarcane and banana in the highly fertile and productive areas of Queensland. The primary objective of this thesis was to contribute to a significant weed management problem at a stage where intervention is cost effective, efficient and environmentally sensitive. At the centre of this work, was a contribution to fundamental knowledge regarding the ecology of the species. The first objective was to examine the global literature on rhizomatous weeds and C. aromaticus in particular to identify the research problems and knowledge gaps. As C. aromaticus has dual mode of reproduction, via seeds and rhizomes, both these aspects were taken into consideration in the experimental chapters. The project critically addressed the issues related to (i) understanding the fundamental ecological aspects of reproduction via seeds in C. aromaticus, (ii) the regeneration of C. aromaticus from its rhizomes, and (iii) control of C. aromaticus using herbicides. A stepwise approach, involving multiple objectives was used to meet the primary objective of this project. Three experiments were conducted to understand the fundamental ecological aspects of reproduction via seeds. (i) A study was conducted to understand the soil seed bank dynamics of pastures invaded by C. aromaticus. It was found that C. aromaticus is the dominant species in the soil seed bank of pastures invaded by C. aromaticus and can contribute between 62% and 95% of the total seed bank. In this respect, the abundance of C. aromaticus seed in the soil seed bank is positively correlated with the aboveground biomass of C. aromaticus and 83% of the total C. aromaticus seeds was found in the top 0-5 cm layer of soil. (ii) The lifespan of C. aromaticus seeds was estimated by artificial ageing technique in the laboratory whereby the results indicate that long-term management is required to control the recruitment from the soil seed bank even in the absence of additional seed deposition. (iii) Seed germination ecology was investigated to understand the effect of various environmental factors on the germination of C. aromaticus seeds. It was found that light is absolutely required for C. aromaticus seed germination, and there was no germination of seeds above 150 mM NaCl concentration and -0.8 Mpa osmotic potential, or from seeds buried greater than 2 cm below the soil surface. Focussing on the regeneration from C. aromaticus rhizomes, an experiment was conducted to investigate the effect of rhizome size and burial depth on the emergence from rhizomes in different soil types. A positive correlation was found between the total emergence of tillers and rhizome fragment size of C. aromaticus, but a negative correlation was found between the total emergence of tillers and burial depth of rhizomes. Importantly, it was also found that rhizomes when reduced to 10 cm or smaller fragments and buried 15 cm or deeper will prevent emergence. A further two glasshouse experiments were conducted to explore chemical options to control both the aboveground biomass and the belowground rhizomes. (i) The herbicide sensitivity of various rates of halosulfuron-methyl was evaluated at different growth stages using plants with and without established rhizomes. Mortality of 27.5%, 0% and 5% was recorded when treated with 75 g ai ha-1 of halosulfuron-methyl at the mowed, pre-flowering and flowering stages, respectively in plants with established rhizomes. The herbicide was effective in controlling the aboveground growth, however, subsequent emergence of new growth from the rhizome confirms the failure of the herbicide to kill the rhizome. In contrast, application of 75 g ai ha-1 of halosulfuron-methyl provided 100% mortality in plants treated at seedling and pre-flowering stage in plants without established rhizomes. (ii) Another herbicide with an alternate mode of action, florpyrauxifen-benzyl, was assessed at different growth stages again using plants with and without established rhizomes. Results indicate that a single application of florpyrauxifen-benzyl is effective at controlling C. aromaticus seedlings, but not effective at controlling plants with established rhizomes. In summary, this thesis has increased the fundamental knowledge about the ecology of C. aromaticus which will feed into designing of management strategies. Likewise, new tools established in the form of mechanical and chemical control and improving the methods currently used to manage populations will advance the capacity to effectively manage C. aromaticus in the future. Although this investigation is based on a relatively focussed suite of issues relevant to tropical north Queensland, where there is an immediate application of the research outcomes from this study, it is anticipated that they will also inform weed management strategies more broadly in a range of similar environments throughout the world.
- Description: Doctor of Philosophy
- Authors: Chadha, Aakansha
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Cyperus aromaticus (Ridley) Mattf. & Kükenth, commonly known as Navua sedge is an invasive C4 perennial sedge species of the Cyperaceae family found predominantly in tropical environments. A native of tropical Africa, it has spread widely and become problematic in many southwest Pacific islands and in tropical north Queensland, Australia. It is a principal weed infesting pastures, sugarcane, banana and root crops, which causes significant damage across a range of industries including dairy, beef, sugarcane and banana in the highly fertile and productive areas of Queensland. The primary objective of this thesis was to contribute to a significant weed management problem at a stage where intervention is cost effective, efficient and environmentally sensitive. At the centre of this work, was a contribution to fundamental knowledge regarding the ecology of the species. The first objective was to examine the global literature on rhizomatous weeds and C. aromaticus in particular to identify the research problems and knowledge gaps. As C. aromaticus has dual mode of reproduction, via seeds and rhizomes, both these aspects were taken into consideration in the experimental chapters. The project critically addressed the issues related to (i) understanding the fundamental ecological aspects of reproduction via seeds in C. aromaticus, (ii) the regeneration of C. aromaticus from its rhizomes, and (iii) control of C. aromaticus using herbicides. A stepwise approach, involving multiple objectives was used to meet the primary objective of this project. Three experiments were conducted to understand the fundamental ecological aspects of reproduction via seeds. (i) A study was conducted to understand the soil seed bank dynamics of pastures invaded by C. aromaticus. It was found that C. aromaticus is the dominant species in the soil seed bank of pastures invaded by C. aromaticus and can contribute between 62% and 95% of the total seed bank. In this respect, the abundance of C. aromaticus seed in the soil seed bank is positively correlated with the aboveground biomass of C. aromaticus and 83% of the total C. aromaticus seeds was found in the top 0-5 cm layer of soil. (ii) The lifespan of C. aromaticus seeds was estimated by artificial ageing technique in the laboratory whereby the results indicate that long-term management is required to control the recruitment from the soil seed bank even in the absence of additional seed deposition. (iii) Seed germination ecology was investigated to understand the effect of various environmental factors on the germination of C. aromaticus seeds. It was found that light is absolutely required for C. aromaticus seed germination, and there was no germination of seeds above 150 mM NaCl concentration and -0.8 Mpa osmotic potential, or from seeds buried greater than 2 cm below the soil surface. Focussing on the regeneration from C. aromaticus rhizomes, an experiment was conducted to investigate the effect of rhizome size and burial depth on the emergence from rhizomes in different soil types. A positive correlation was found between the total emergence of tillers and rhizome fragment size of C. aromaticus, but a negative correlation was found between the total emergence of tillers and burial depth of rhizomes. Importantly, it was also found that rhizomes when reduced to 10 cm or smaller fragments and buried 15 cm or deeper will prevent emergence. A further two glasshouse experiments were conducted to explore chemical options to control both the aboveground biomass and the belowground rhizomes. (i) The herbicide sensitivity of various rates of halosulfuron-methyl was evaluated at different growth stages using plants with and without established rhizomes. Mortality of 27.5%, 0% and 5% was recorded when treated with 75 g ai ha-1 of halosulfuron-methyl at the mowed, pre-flowering and flowering stages, respectively in plants with established rhizomes. The herbicide was effective in controlling the aboveground growth, however, subsequent emergence of new growth from the rhizome confirms the failure of the herbicide to kill the rhizome. In contrast, application of 75 g ai ha-1 of halosulfuron-methyl provided 100% mortality in plants treated at seedling and pre-flowering stage in plants without established rhizomes. (ii) Another herbicide with an alternate mode of action, florpyrauxifen-benzyl, was assessed at different growth stages again using plants with and without established rhizomes. Results indicate that a single application of florpyrauxifen-benzyl is effective at controlling C. aromaticus seedlings, but not effective at controlling plants with established rhizomes. In summary, this thesis has increased the fundamental knowledge about the ecology of C. aromaticus which will feed into designing of management strategies. Likewise, new tools established in the form of mechanical and chemical control and improving the methods currently used to manage populations will advance the capacity to effectively manage C. aromaticus in the future. Although this investigation is based on a relatively focussed suite of issues relevant to tropical north Queensland, where there is an immediate application of the research outcomes from this study, it is anticipated that they will also inform weed management strategies more broadly in a range of similar environments throughout the world.
- Description: Doctor of Philosophy
Efficient texture descriptors for image segmentation
- Authors: Tania, Sheikh
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text: false
- Description: Colour and texture are the most common features used in image processing and computer vision applications. Unlike colour, a local texture descriptor needs to express the unique variation pattern in the intensity differences of pixels in the neighbourhood of the pixel-of-interest (POI) so that it can sufficiently discriminate different textures. Since the descriptor needs spatial manipulation of all pixels in the neighbourhood of the POI, approximation of texture impacts not only the computational cost but also the performance of the applications. In this thesis, we aim to develop novel texture descriptors, especially for hierarchical image segmentation techniques that have recently gained popularity for their wide range of applications in medical imaging, video surveillance, autonomous navigation, and computer vision in general. To pursue the aim, we focus in reducing the length of the texture feature and directly modelling the distribution of intensity-variation in the parametric space of a probability density function (pdf). In the first contributory chapter, we enhance the state-of-the-art Weber local descriptor (WLD) by considering the mean value of neighbouring pixel intensities along radial directions instead of sampling pixels at three scales. Consequently, the proposed descriptor, named Radial Mean WLD (RM-WLD), is three-fold shorter than WLD and it performs slightly better than WLD in hierarchical image segmentation. The statistical distributions of pixel intensities in different image regions are diverse by nature. In the second contributory chapter, we propose a novel texture feature, called ‘joint scale,’ by directly modelling the probability distribution of intensity differences. The Weibull distribution, one of the extreme value distributions, is selected for this purpose as it can represent a wide range of probability distributions with a couple of parameters. In addition, gradient orientation feature is calculated from all pixels in the neighbourhood with an extended Sobel operator, instead of using only the vertical and horizontal neighbours as considered in WLD. The length of the texture descriptor combining joint scale and gradiet orientation features remains the same as RM-WLD, but it exhibits significantly improved discrimination capability for better image segmentation. Initial regions in hierarchical segmentation play an important role in approximating texture features. Traditional arbitrary-shaped initial regions maintain the uniform colour property and thus may not retain the texture pattern of the segment they belong to. In the final contributory chapter, we introduce regular-shaped initial regions by enhancing the cuboidal partitioning technique, which has recently gained popularity in image/video coding research. Since the regions (cuboids) of cuboidal partitioning are of rectangular shape, they do not follow the colour-based boundary adherence of traditional initial regions. Consequently, the cuboids retain sufficient texture pattern cues to provide better texture approximation and discriminating capability. We have used benchmark segmentation datasets and metrics to evaluate the proposed texture descriptors. Experimental results on benchmark metrics and computational time are promising when the proposed texture features are used in the state-of-the-art iterative contraction and merging (ICM) image segmentation technique.
- Description: Doctor of Philosophy
Examining the assessment and development of a fundamental motor skill and the efficacy of peer teaching instructional approaches
- Authors: Beseler, Bradley
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: The overall purpose of this dissertation was to examine the process of assessing and developing the Fundamental Motor Skills (FMS) of overarm throwing. This dissertation involved two foci: qualitative assessment of FMS and the efficacy of peer teaching approaches. The first focus was to contribute to qualitative assessment of FMS research by examining an assessment system commonly used to assess overarm throwing development. The second focus was to examine the efficacy of peer teaching instructional approaches on improving overarm throwing performance of pre-service physical education (PE) teachers to determine whether these approaches could facilitate pre-service PE teachers to efficiently develop FMS proficiency. PE teachers who can proficiently perform FMS are better equipped to teach these skills; their demonstrations provide the learners a “blueprint” of the skill they are trying to acquire. The research includes four separate studies. The first two studies examined Roberton’s levels (Roberton & Halverson, 1984), a qualitative assessment system used extensively for over four decades to research overarm throwing development, primarily examining the technique of children and older throwers. Study 1 attempted to validate one of the backswing sequences (Haywood et al., 1991) to authenticate it for assessing the backswing component of university-aged throwers. The findings provided preliminary support that the Haywood et al. backswing sequence, previously only validated for assessing the backswing technique of older throwers, was suitable for assessing the backswing of the university-aged throwers. Study 2 examined the impact of the follow-through on throwing velocity. Findings showed the follow-through had the second largest impact on throwing velocity of all the six components, providing preliminary support for the inclusion of the follow-through component to the existing five components of Roberton’s (Roberton & Halverson, 1984) levels, making this system more accurate and comprehensive. Study 3 and 4 both utilised a quasi-experimenal between-subjects pre-test, intervention, post-test, and retention test designs. The participants were allocated to one of three experimental groups: a Video Analysis Group (VAG), a Verbal Group (VG), and a Control Group (CG). During the interventions the VAG and VG worked in pairs in a Reciprocal style of peer teaching (Mosston & Ashworth, 2002). The VAG and VG interventions were identical except the VAG had access to video analysis technology and the CG completed unrelated course work. Study 3, a single session intervention, and Study 4, a three-session intervention, attempted to ascertain whether video analysis affects throwing technique of participants working in reciprocal peer teaching settings. The findings indicated the impact of video analysis may be dependent on the number of intervention sessions. In Study 3, video analysis in a single session intervention appeared to accelerate the participants throwing improvement. Study 4 revealed video analysis was not vital over the course of the three sessions. The VAG and VG achieved similar throwing improvements that were superior to the CG who did not experience the peer teaching intervention. The findings from this dissertation have identified scope for the Roberton’s levels (Roberton & Halverson, 1984) to be refined and the two peer teaching instructional approaches examined have been shown to be effective when trying to develop overarm throwing. Furthermore, these findings can inform Physical Education Teacher Education Programs, potentially preparing graduate PE teachers more effectively to develop their students’ FMS, which may increase the involvement of children and adolescents in sport and physical activity because they will have the necessary skills to successfully engage in these activities.
- Description: Doctor of Philosophy
- Authors: Beseler, Bradley
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: The overall purpose of this dissertation was to examine the process of assessing and developing the Fundamental Motor Skills (FMS) of overarm throwing. This dissertation involved two foci: qualitative assessment of FMS and the efficacy of peer teaching approaches. The first focus was to contribute to qualitative assessment of FMS research by examining an assessment system commonly used to assess overarm throwing development. The second focus was to examine the efficacy of peer teaching instructional approaches on improving overarm throwing performance of pre-service physical education (PE) teachers to determine whether these approaches could facilitate pre-service PE teachers to efficiently develop FMS proficiency. PE teachers who can proficiently perform FMS are better equipped to teach these skills; their demonstrations provide the learners a “blueprint” of the skill they are trying to acquire. The research includes four separate studies. The first two studies examined Roberton’s levels (Roberton & Halverson, 1984), a qualitative assessment system used extensively for over four decades to research overarm throwing development, primarily examining the technique of children and older throwers. Study 1 attempted to validate one of the backswing sequences (Haywood et al., 1991) to authenticate it for assessing the backswing component of university-aged throwers. The findings provided preliminary support that the Haywood et al. backswing sequence, previously only validated for assessing the backswing technique of older throwers, was suitable for assessing the backswing of the university-aged throwers. Study 2 examined the impact of the follow-through on throwing velocity. Findings showed the follow-through had the second largest impact on throwing velocity of all the six components, providing preliminary support for the inclusion of the follow-through component to the existing five components of Roberton’s (Roberton & Halverson, 1984) levels, making this system more accurate and comprehensive. Study 3 and 4 both utilised a quasi-experimenal between-subjects pre-test, intervention, post-test, and retention test designs. The participants were allocated to one of three experimental groups: a Video Analysis Group (VAG), a Verbal Group (VG), and a Control Group (CG). During the interventions the VAG and VG worked in pairs in a Reciprocal style of peer teaching (Mosston & Ashworth, 2002). The VAG and VG interventions were identical except the VAG had access to video analysis technology and the CG completed unrelated course work. Study 3, a single session intervention, and Study 4, a three-session intervention, attempted to ascertain whether video analysis affects throwing technique of participants working in reciprocal peer teaching settings. The findings indicated the impact of video analysis may be dependent on the number of intervention sessions. In Study 3, video analysis in a single session intervention appeared to accelerate the participants throwing improvement. Study 4 revealed video analysis was not vital over the course of the three sessions. The VAG and VG achieved similar throwing improvements that were superior to the CG who did not experience the peer teaching intervention. The findings from this dissertation have identified scope for the Roberton’s levels (Roberton & Halverson, 1984) to be refined and the two peer teaching instructional approaches examined have been shown to be effective when trying to develop overarm throwing. Furthermore, these findings can inform Physical Education Teacher Education Programs, potentially preparing graduate PE teachers more effectively to develop their students’ FMS, which may increase the involvement of children and adolescents in sport and physical activity because they will have the necessary skills to successfully engage in these activities.
- Description: Doctor of Philosophy
Factors affecting the organisational adoption of blockchain technology in australia : a mixed-methods approach
- Authors: Malik, Muhammad Saleem
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Blockchain (BCT) is an emerging technology that promises many benefits for organisations, such as disintermediation, data security, data transparency, a single version of the truth, and trust among trading partners. Despite its multiple benefits, the adoption rate of BCT among organisations has not reached a significantly high level worldwide. The present thesis addresses this issue in the Australian context. There is a knowledge gap in what specific factors, among the plethora of factors reported in the extant scholarly and commercial literature, affect Australian organisations while deciding to adopt BCT. To fill this gap, this thesis uses a mixed-methods approach known as sequential exploratory mixed methods. In this approach, the research starts with a qualitative phase as an initial phase followed by a quantitative phase. During the qualitative phase, data were collected through semi-structured interviews of the BCT experts and decision-makers working with the ifferent Australian organisations that adopted or were in the process of adopting BCT. The Technology, Organisation, Environment (TOE) framework, based on the qualitative interpretative approach, was used as a theoretical lens during the qualitative phase. The qualitative data were analyzed using the thematic analysis technique with the SQR NVivo software. The analysis shows that the different factors, belonging to the technological, organisational, and environmental contexts, affect the organisational decision to adopt BCT in Australia. The technological factors include perceived benefits, perceived computability, perceived complexity, perceived disintermediation, and perceived information transparency; organisational factors are organisational innovativeness, organisational learning capability, top management support; environmental factors consist of government support, standards uncertainty, competition intensity, and trading partners readiness. The qualitative analysis also shows the direct and moderating effect of the perceived risks between the relationship of the identified factors and organisational adoption of BCT. Based on the findings of the qualitative phase, the thesis develops a theoretical conceptual model, which shows the relationship between the factors and the organisational adoption of BCT. To increase the external validity of the developed conceptual model, the thesis started a quantitative phase with the administration of an online survey for data collection. Certain criteria were set to screen out the irrelevant participants in the survey. During this phase, hypotheses were proposed for the relationship of the factors identified in the qualitative phase and the organisational adoption of BCT. The survey data was analyzed using the PLS Structural Equation Modelling (SEM) technique with the SmartPLS 3 software. The quantitative analysis confirms the findings of the qualitative phase that the perceived benefits, perceived compatibility, perceived information transparency, perceived disintermediation, organisational innovativeness, organisational learning capability, top management support, competitive intensity, government support, and trading partner readiness have a positive effect on the organisational adoption of BCT. Whereas the perceived complexity, standards uncertainty, and perceived risks have a negative effect. The analysis also shows that the moderating effects of perceived risks are significant in the relationship of perceived compatibility, perceived information transparency, perceived disintermediation, organisational innovativeness, organisation innovativeness, competition intensity, and organisational adoption of BCT. Contrary to the qualitative findings, ‘perceived risks’ has no moderating effects on the relationship of perceived benefits, organisational learning capability, top management support, government support, trading partner readiness, and the adoption of BCT. The thesis has both theoretical and practical contributions, which are useful both for theory development and decision-making for the adoption of BCT in Australia. Theoretically, this thesis contributes to the existing IT adoption literature in several ways. Firstly, the thesis provides empirical evidence about the factors affecting organisational adoption of BCT in Australia. This is the first in-depth sequential exploratory mixed methods research that bridges this knowledge gap in the extant literature. The identification of such factors is important, particularly for the Australian government and organisations interested in the value creation of BCT. Second, the thesis reports the effect of new factors, namely, perceived information transparency, perceived disintermediation, organisational innovativeness, organisational learning capability, standards uncertainty, trading partner readiness, and competition intensity on BCT adoption that are exclusively identified in this research. Third, this thesis confirms the findings of the past studies that the factors of perceived benefits and perceived compatibility, perceived complexity, and top management support have an effect on the organisational adoption of BCT. Fourth, according to the best of the authors' knowledge, this is the first research that has used the qualitative interpretive research approach to investigate the organisational adoption of BCT. Therefore, the thesis confirms the suitability of the qualitative interpretive research approach for BCT adoption. Lastly, most of the researchers have used the TOE framework in either in qualitative or quantitative research. This thesis proves its validity in mixed methods research as well. The thesis's practical contributions are discussed in chapter 7.
- Description: Doctor of Philosophy
- Authors: Malik, Muhammad Saleem
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Blockchain (BCT) is an emerging technology that promises many benefits for organisations, such as disintermediation, data security, data transparency, a single version of the truth, and trust among trading partners. Despite its multiple benefits, the adoption rate of BCT among organisations has not reached a significantly high level worldwide. The present thesis addresses this issue in the Australian context. There is a knowledge gap in what specific factors, among the plethora of factors reported in the extant scholarly and commercial literature, affect Australian organisations while deciding to adopt BCT. To fill this gap, this thesis uses a mixed-methods approach known as sequential exploratory mixed methods. In this approach, the research starts with a qualitative phase as an initial phase followed by a quantitative phase. During the qualitative phase, data were collected through semi-structured interviews of the BCT experts and decision-makers working with the ifferent Australian organisations that adopted or were in the process of adopting BCT. The Technology, Organisation, Environment (TOE) framework, based on the qualitative interpretative approach, was used as a theoretical lens during the qualitative phase. The qualitative data were analyzed using the thematic analysis technique with the SQR NVivo software. The analysis shows that the different factors, belonging to the technological, organisational, and environmental contexts, affect the organisational decision to adopt BCT in Australia. The technological factors include perceived benefits, perceived computability, perceived complexity, perceived disintermediation, and perceived information transparency; organisational factors are organisational innovativeness, organisational learning capability, top management support; environmental factors consist of government support, standards uncertainty, competition intensity, and trading partners readiness. The qualitative analysis also shows the direct and moderating effect of the perceived risks between the relationship of the identified factors and organisational adoption of BCT. Based on the findings of the qualitative phase, the thesis develops a theoretical conceptual model, which shows the relationship between the factors and the organisational adoption of BCT. To increase the external validity of the developed conceptual model, the thesis started a quantitative phase with the administration of an online survey for data collection. Certain criteria were set to screen out the irrelevant participants in the survey. During this phase, hypotheses were proposed for the relationship of the factors identified in the qualitative phase and the organisational adoption of BCT. The survey data was analyzed using the PLS Structural Equation Modelling (SEM) technique with the SmartPLS 3 software. The quantitative analysis confirms the findings of the qualitative phase that the perceived benefits, perceived compatibility, perceived information transparency, perceived disintermediation, organisational innovativeness, organisational learning capability, top management support, competitive intensity, government support, and trading partner readiness have a positive effect on the organisational adoption of BCT. Whereas the perceived complexity, standards uncertainty, and perceived risks have a negative effect. The analysis also shows that the moderating effects of perceived risks are significant in the relationship of perceived compatibility, perceived information transparency, perceived disintermediation, organisational innovativeness, organisation innovativeness, competition intensity, and organisational adoption of BCT. Contrary to the qualitative findings, ‘perceived risks’ has no moderating effects on the relationship of perceived benefits, organisational learning capability, top management support, government support, trading partner readiness, and the adoption of BCT. The thesis has both theoretical and practical contributions, which are useful both for theory development and decision-making for the adoption of BCT in Australia. Theoretically, this thesis contributes to the existing IT adoption literature in several ways. Firstly, the thesis provides empirical evidence about the factors affecting organisational adoption of BCT in Australia. This is the first in-depth sequential exploratory mixed methods research that bridges this knowledge gap in the extant literature. The identification of such factors is important, particularly for the Australian government and organisations interested in the value creation of BCT. Second, the thesis reports the effect of new factors, namely, perceived information transparency, perceived disintermediation, organisational innovativeness, organisational learning capability, standards uncertainty, trading partner readiness, and competition intensity on BCT adoption that are exclusively identified in this research. Third, this thesis confirms the findings of the past studies that the factors of perceived benefits and perceived compatibility, perceived complexity, and top management support have an effect on the organisational adoption of BCT. Fourth, according to the best of the authors' knowledge, this is the first research that has used the qualitative interpretive research approach to investigate the organisational adoption of BCT. Therefore, the thesis confirms the suitability of the qualitative interpretive research approach for BCT adoption. Lastly, most of the researchers have used the TOE framework in either in qualitative or quantitative research. This thesis proves its validity in mixed methods research as well. The thesis's practical contributions are discussed in chapter 7.
- Description: Doctor of Philosophy
False data injection attack detection in smart grid
- Authors: Rashed, Muhammad
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Smart grid is a distributed and autonomous energy delivery infrastructure that constantly monitors the operational state of its overall network using smart techniques and state estimation. State estimation is a powerful technique that is used to determine the overall operational state of the system based on a limited set of measurements collected through metering systems. Cyber-attacks pose serious risks to a smart grid state estimation that can cause disruptions and power outages resulting in huge economical losses and are therefore a big concern to a reliable national grid operation. False data injection attacks (FDIAs), engineered on the basis of the knowledge of the network configuration, are difficult to detect using the traditional data detection mechanisms. These detection schemes have been found vulnerable and failed to detect these FDIAs. FDIAs specifically target the state data and can manipulate the state measurements in such a way that these false measurements appear real to the main control systems. This research work explores the possibility of FDIA detection using state estimation in a distributed and partitioned smart grid. In order to detect FDIAs we use measurements for residual-based testing which creates an objective function; and the probability of erroneous data is determined from this residual test. In this test, a preset threshold is determined based on the prior history of the state data. FDIA cases are simulated within a smart grid considering that the Chi-square detection state estimator fails in identifying such attacks. We compute the objective function using the standard weighted least problem and then test the objective function against the value in the Chi-square table. The gain matrix and the Jacobian matrix are computed. The state variables are computed in the form of a voltage magnitude. The state variables are computed after the inception of an attack to assess these state magnitude results. Different sizes of partitioning are used to improve the overall sensitivity of the Chi-square results. Our additional estimator is based on a Kalman estimation that consists of the state prediction and state correction steps. In the first step, it obtains the state and matrix covariance prediction, and in the second step, it calculates the Kalman gain and the state and matrix covariance update steps. The set of points is created for the state vector x at a time instant t. The initial vector and covariance matrix are based on a priori knowledge of the historical estimates. A set of sigma points is estimated by the state update function. Sigma points refer to the minimal set of sampling points that are selected and transformed using nonlinear function, and the new mean and the covariance are formed out of these transformed points. The idea behind this is that it is easier to compute a Gaussian distribution than an arbitrary nonlinear function. The filter gain, the mean and the covariance are used to estimate the next state. Our simulation results show that the combination of Kalman estimation and distributed state estimation improves the overall stability index and vulnerability assessment score of the smart grid. We built a stability index table for a smart grid based on the state estimates value after the inception of an FDIA. The vulnerability assessment score of the smart grid is based on common vulnerability scoring system (CVSS) and state estimates under the influence of an FDIA. The simulations are conducted in the MATPOWER program and different electrical bus systems such as IEEE 14, 30, 39, 118 and 300 are tested. All the contributions have been published in reputable journals and conferences.
- Description: Doctor of Philosophy
- Authors: Rashed, Muhammad
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Smart grid is a distributed and autonomous energy delivery infrastructure that constantly monitors the operational state of its overall network using smart techniques and state estimation. State estimation is a powerful technique that is used to determine the overall operational state of the system based on a limited set of measurements collected through metering systems. Cyber-attacks pose serious risks to a smart grid state estimation that can cause disruptions and power outages resulting in huge economical losses and are therefore a big concern to a reliable national grid operation. False data injection attacks (FDIAs), engineered on the basis of the knowledge of the network configuration, are difficult to detect using the traditional data detection mechanisms. These detection schemes have been found vulnerable and failed to detect these FDIAs. FDIAs specifically target the state data and can manipulate the state measurements in such a way that these false measurements appear real to the main control systems. This research work explores the possibility of FDIA detection using state estimation in a distributed and partitioned smart grid. In order to detect FDIAs we use measurements for residual-based testing which creates an objective function; and the probability of erroneous data is determined from this residual test. In this test, a preset threshold is determined based on the prior history of the state data. FDIA cases are simulated within a smart grid considering that the Chi-square detection state estimator fails in identifying such attacks. We compute the objective function using the standard weighted least problem and then test the objective function against the value in the Chi-square table. The gain matrix and the Jacobian matrix are computed. The state variables are computed in the form of a voltage magnitude. The state variables are computed after the inception of an attack to assess these state magnitude results. Different sizes of partitioning are used to improve the overall sensitivity of the Chi-square results. Our additional estimator is based on a Kalman estimation that consists of the state prediction and state correction steps. In the first step, it obtains the state and matrix covariance prediction, and in the second step, it calculates the Kalman gain and the state and matrix covariance update steps. The set of points is created for the state vector x at a time instant t. The initial vector and covariance matrix are based on a priori knowledge of the historical estimates. A set of sigma points is estimated by the state update function. Sigma points refer to the minimal set of sampling points that are selected and transformed using nonlinear function, and the new mean and the covariance are formed out of these transformed points. The idea behind this is that it is easier to compute a Gaussian distribution than an arbitrary nonlinear function. The filter gain, the mean and the covariance are used to estimate the next state. Our simulation results show that the combination of Kalman estimation and distributed state estimation improves the overall stability index and vulnerability assessment score of the smart grid. We built a stability index table for a smart grid based on the state estimates value after the inception of an FDIA. The vulnerability assessment score of the smart grid is based on common vulnerability scoring system (CVSS) and state estimates under the influence of an FDIA. The simulations are conducted in the MATPOWER program and different electrical bus systems such as IEEE 14, 30, 39, 118 and 300 are tested. All the contributions have been published in reputable journals and conferences.
- Description: Doctor of Philosophy
History of the Ballarat Trades and Labour Council 1856-2000
- Authors: Beacham, Jennifer
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: The Ballarat Trades and Labour Council (BT&LC) is the second oldest trades and labour council in the world, founded in 1883, although it has existed in various forms since 1856. This thesis examines the history of the BT&LC in terms of five related themes – ideological conflict, solidarity, labourism, masculinity, and spatiality. I approached this research project from the perspective of a labour historian, which also included issues of gender. While being resolute in writing the history of this institution, my aim was also to capture an aspect of Ballarat history that had not been examined before – the role of workers and their families. The BT&LC sets the parameters of its history from the Eureka Rebellion and gaining the Eight Hour Day for Ballarat stonemasons in 1856 a fortnight after their Melbourne counterparts. Since that time, the BT&LC has built the substantial Trades Hall in Camp Street, which it still occupies and hosted the Seventh Intercolonial Trade Union Congress in 1891 when the decision to seek political representation was formally endorsed. It witnessed the emergence of the new elites and the ideological struggle that became more bitter as the Catholic Church, Protestant Freemasons, and the very active Communist Party battled for supremacy, with it ending inevitably in a divisive public separation in 1955. The Whitlam years saw their resurgence with a new face to unionism as public sector workers, teachers and nurses became militant and women began to take significant roles. In Ballarat while this has meant political ascendancy since 1980, the success of the political wing has not necessarily been mirrored in the fortunes of the peak union organisation. Ballarat’s overall union membership has declined. The old loyalties have been difficult to maintain and the capacity to build new alliances is challenging. However, one thing remains clear: strong individuals who understand the underpinnings of solidarity and unity have ensured that the Ballarat Trades and Labour Council has remained a significant feature of the Ballarat public landscape.
- Description: Doctor of Philosophy
- Authors: Beacham, Jennifer
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: The Ballarat Trades and Labour Council (BT&LC) is the second oldest trades and labour council in the world, founded in 1883, although it has existed in various forms since 1856. This thesis examines the history of the BT&LC in terms of five related themes – ideological conflict, solidarity, labourism, masculinity, and spatiality. I approached this research project from the perspective of a labour historian, which also included issues of gender. While being resolute in writing the history of this institution, my aim was also to capture an aspect of Ballarat history that had not been examined before – the role of workers and their families. The BT&LC sets the parameters of its history from the Eureka Rebellion and gaining the Eight Hour Day for Ballarat stonemasons in 1856 a fortnight after their Melbourne counterparts. Since that time, the BT&LC has built the substantial Trades Hall in Camp Street, which it still occupies and hosted the Seventh Intercolonial Trade Union Congress in 1891 when the decision to seek political representation was formally endorsed. It witnessed the emergence of the new elites and the ideological struggle that became more bitter as the Catholic Church, Protestant Freemasons, and the very active Communist Party battled for supremacy, with it ending inevitably in a divisive public separation in 1955. The Whitlam years saw their resurgence with a new face to unionism as public sector workers, teachers and nurses became militant and women began to take significant roles. In Ballarat while this has meant political ascendancy since 1980, the success of the political wing has not necessarily been mirrored in the fortunes of the peak union organisation. Ballarat’s overall union membership has declined. The old loyalties have been difficult to maintain and the capacity to build new alliances is challenging. However, one thing remains clear: strong individuals who understand the underpinnings of solidarity and unity have ensured that the Ballarat Trades and Labour Council has remained a significant feature of the Ballarat public landscape.
- Description: Doctor of Philosophy
Initiating temperate grassland restoration by controlling the dominant weed species; a case study with Nassella trichotoma
- Authors: Humphries, Talia
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Temperate grasslands are globally important biomes, in that they (i) provide habitat for a wide diversity of species, (ii) sequester large stocks of carbon, and (iii) provide forage for important pollinators (Chapter 1). These ecosystems often fall within highly fertile areas, and consequently humans have come to depend on them to provide high quality forage for grazing livestock and land for agricultural development. Temperate grasslands are considered to be critically endangered on a global scale. The grazing industry relies upon healthy and productive grasslands for the production of a substantial proportion of human food products, however, when these systems incorporate unsustainable land-management practises, such as over-grazing and continual fertilisation with inorganic matter, has resulted in a significant decline in important native grass species. This has resulted in encroachment of unpalatable, noxious plants, which decrease the quality of available forage. One such noxious weed species, Nassella trichotoma, known commonly as serrated tussock, is having a significance impact on the constitution of temperate grasslands and grazing systems, globally, due to its unpalatability and competitive growth form. In order to return temperate grasslands to a fully-functional and a high-quality forage state, human intervention in terms of ecosystem restoration is required. The control of noxious species, together with the reintroduction and establishment of native species, is a critical step for restoration efforts with the return of native plant diversity, and the re-establishment of ecosystem services, such as habitat for higher trophic levels. This thesis reviews and overlaps the scientific disciplines of ecosystem restoration (Chapter 2), weed science relating to N. trichotoma (Chapter 3), and environmental management in order to provide solutions for controlling N. trichotoma in non-native grassland communities (Chapter 4). The effect of direct herbicide application, soil tillage, grazing exclusion, fire, and broadcasting native seeds for the control of this dominant weeds in a total of 13 different combinations is investigated. The experimental plots were surveyed over a four-year period and soil cores were collected over a three-year period to survey the seedbank density. It was found that the inclusion of fire significantly increased the establishment of the native broadcast species. Also, without the integration of fire or tillage, N. trichotoma recovered, and consequently was observed to be the dominant species in the final sampling period. To support the findings of Chapter 4, research into the seed longevity and seedbank persistence of N. trichotoma was undertaken in Chapter 5. It was found that less than 10% of the seeds were observed to be viable after 12 months of burial in field. In addition to this, the longevity of the seeds was determined by rapidly ageing the seeds through exposure to high relative humidity and temperature. This process determined that N. trichotoma produces transient seedbanks, referring to those that persist for 12 months or less, and therefore the seedbank would be reliant on new seed input annually to remain a competitive threat. This implies that management control of new seed fall is essential to prevent the reestablishment of the seed bank. The seedbank persistence for N. trichotoma is complicated by disturbance events such as fire. To investigate this impact, four different collection years; 2016, 2017, 2018, and 2019 were subjected to increasing heat (80, 100, 120, or 140OC) and time of exposure (1, 3, 6 or 9 minutes) by placing them into a temperature-controlled oven for the given treatment. It was found that only the 140OC treatment was significant for killing N. trichotoma, as detailed in Chapter 6. High moisture content (95%) increased the seeds sensitivity to radiant heat, with all tested temperature effective for killing this species. The seedlings were not killed by the tested treatments. Management implications and recommendations for the control of N. trichotoma in temperate grasslands (Chapter 7) include; (i) the use of herbicide in Autumn to prevent seed set in the following summer, and (ii) in addition to initial herbicide, use, subsequent fire treatment and broadcasting native seeds appear to provide ongoing competition against N. trichotoma reestablishment in treated areas. Further, high fire intensities, where the soil is heated to 140OC or more, can kill N. trichotoma’s seedbank and prevent its recruitment. In all cases of treatment, monitoring recruitment from the seedbank is recommended for up to one year after treating a site. This thesis suggests that localised eradication of N. trichotoma is achievable in as little as three years if (i) above-ground plants are treated, (ii) seedling recruitment from the seedbank is managed intensely within the first year, (iii) high densities of native grass is established to provide competition, and (iv) the addition of new seed is prevented.
- Description: Doctor of Philosophy
- Authors: Humphries, Talia
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Temperate grasslands are globally important biomes, in that they (i) provide habitat for a wide diversity of species, (ii) sequester large stocks of carbon, and (iii) provide forage for important pollinators (Chapter 1). These ecosystems often fall within highly fertile areas, and consequently humans have come to depend on them to provide high quality forage for grazing livestock and land for agricultural development. Temperate grasslands are considered to be critically endangered on a global scale. The grazing industry relies upon healthy and productive grasslands for the production of a substantial proportion of human food products, however, when these systems incorporate unsustainable land-management practises, such as over-grazing and continual fertilisation with inorganic matter, has resulted in a significant decline in important native grass species. This has resulted in encroachment of unpalatable, noxious plants, which decrease the quality of available forage. One such noxious weed species, Nassella trichotoma, known commonly as serrated tussock, is having a significance impact on the constitution of temperate grasslands and grazing systems, globally, due to its unpalatability and competitive growth form. In order to return temperate grasslands to a fully-functional and a high-quality forage state, human intervention in terms of ecosystem restoration is required. The control of noxious species, together with the reintroduction and establishment of native species, is a critical step for restoration efforts with the return of native plant diversity, and the re-establishment of ecosystem services, such as habitat for higher trophic levels. This thesis reviews and overlaps the scientific disciplines of ecosystem restoration (Chapter 2), weed science relating to N. trichotoma (Chapter 3), and environmental management in order to provide solutions for controlling N. trichotoma in non-native grassland communities (Chapter 4). The effect of direct herbicide application, soil tillage, grazing exclusion, fire, and broadcasting native seeds for the control of this dominant weeds in a total of 13 different combinations is investigated. The experimental plots were surveyed over a four-year period and soil cores were collected over a three-year period to survey the seedbank density. It was found that the inclusion of fire significantly increased the establishment of the native broadcast species. Also, without the integration of fire or tillage, N. trichotoma recovered, and consequently was observed to be the dominant species in the final sampling period. To support the findings of Chapter 4, research into the seed longevity and seedbank persistence of N. trichotoma was undertaken in Chapter 5. It was found that less than 10% of the seeds were observed to be viable after 12 months of burial in field. In addition to this, the longevity of the seeds was determined by rapidly ageing the seeds through exposure to high relative humidity and temperature. This process determined that N. trichotoma produces transient seedbanks, referring to those that persist for 12 months or less, and therefore the seedbank would be reliant on new seed input annually to remain a competitive threat. This implies that management control of new seed fall is essential to prevent the reestablishment of the seed bank. The seedbank persistence for N. trichotoma is complicated by disturbance events such as fire. To investigate this impact, four different collection years; 2016, 2017, 2018, and 2019 were subjected to increasing heat (80, 100, 120, or 140OC) and time of exposure (1, 3, 6 or 9 minutes) by placing them into a temperature-controlled oven for the given treatment. It was found that only the 140OC treatment was significant for killing N. trichotoma, as detailed in Chapter 6. High moisture content (95%) increased the seeds sensitivity to radiant heat, with all tested temperature effective for killing this species. The seedlings were not killed by the tested treatments. Management implications and recommendations for the control of N. trichotoma in temperate grasslands (Chapter 7) include; (i) the use of herbicide in Autumn to prevent seed set in the following summer, and (ii) in addition to initial herbicide, use, subsequent fire treatment and broadcasting native seeds appear to provide ongoing competition against N. trichotoma reestablishment in treated areas. Further, high fire intensities, where the soil is heated to 140OC or more, can kill N. trichotoma’s seedbank and prevent its recruitment. In all cases of treatment, monitoring recruitment from the seedbank is recommended for up to one year after treating a site. This thesis suggests that localised eradication of N. trichotoma is achievable in as little as three years if (i) above-ground plants are treated, (ii) seedling recruitment from the seedbank is managed intensely within the first year, (iii) high densities of native grass is established to provide competition, and (iv) the addition of new seed is prevented.
- Description: Doctor of Philosophy
Machine learning-based optimal load balancing in software-defined networks
- Authors: Sharma, Aakanksha
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text: false
- Description: The global advancement of the Internet of Things (IoT) has poised the existing network traffic for explosive growth. The prediction in the literature shows that in the future, trillions of smart devices will connect to transfer useful information. Accommodating such proliferation of devices in the existing network infrastructure, referred to as the traditional network, is a significant challenge due to the absence of centralized control, making it tedious to implement the device management and network protocol updates. In addition, due to their inherently distributed features, applying machine learning mechanisms in traditional networks is demanding. Consequently, it leads to an imbalanced load in the network that affects the overall network Quality of Service (QoS). Expanding the existing infrastructure and manual traffic control methods are inadequate to cope with the exponential growth of IoT devices. Therefore, an intelligent system is necessary for future networks that can efficiently organize, manage, maintain, and optimize the growing networks. Software-defined network (SDN) has a holistic view of the network and is highly suitable for handling dynamic loads in the traditional network with a minimal update in the network infrastructure. However, the standard SDN architecture control plane has been designed for a single controller or multiple distributed controllers that faces severe bottleneck issues. Our initial research created a reference model for the traditional network, using the standard SDN (SDN) in a network simulator called NetSim. Based on the network traffic, the reference models consisted of light, modest and heavy networks depending on the number of connected IoT devices. Furthermore, the research was enhanced with a priority scheduling and congestion control algorithm in the standard SDN, named extended SDN (eSDN), which minimized the network congestion and performed better than the existing SDN. However, enhancement was suitable only for the small-scale network because, in a large-scale network, the eSDN does not support dynamic controller mapping in the network. Often, the same controller gets overloaded, leading to a single point of failure. Our exhaustive literature review shows that the majority of proposed solutions are based on static controller deployment without considering flow fluctuations and traffic bursts that lead to a lack of load balancing among controllers in real-time, eventually increasing the network latency. Often, the switch experiences a traffic burst, and consequently, the corresponding controller might overload. Therefore, to maintain the Quality of Service (QoS) in the network, it becomes imperative for the static controller to neutralize the on-the-fly traffic burst. Addressing the above-mentioned issues demands research critical to improving the QoS in load balancing, latency minimisation, and network reliability for next- generation networks. Our novel dynamic controller mapping algorithm with multiple- controller placement in the SDN is critical in solving the identified issues. In the dynamic controller approach (dSDN), the controllers are mapped dynamically as the load fluctuates. If any controller reaches its maximum threshold, the rest of the traffic will be diverted to another controller, significantly reducing delay and enhancing the overall performance. Our technique considers the latency and load fluctuation in the network and manages the situations where static mapping is ineffective in dealing with the dynamic flow variation. In addition, our novel approach adds more intelligence to the network with a Temporal Deep Q Learning (tDQN) approach for dynamic controller mapping when the flow fluctuates. In this technique, a multi-objective optimization problem for flow fluctuation is formulated to dynamically divert the traffic to the best-suited controller. The formulated technique is placed as an agent in the network controller to take care of all the routing decisions, which can solve the dynamic flow mapping and latency optimization without increasing the number of optimally placed controllers. Extensive simulation results show that the novel approach proposed in this thesis solves dynamic flow mapping by maintaining a balanced load among controllers and outperforms the existing traditional networks and SDN with priority scheduling and congestion control. Compared to traditional networks, tDQN provides a 47.48% increase in throughput, a 99.10% reduction in delay and a 97.98% reduction in jitter for heavy network traffic. The thesis also presents a few future research directions as possible extensions of the current work for further enhancement.
- Description: Doctor of Philosophy
Revision and validation of the Australian Competency Standards for Occupational Therapy Driver Assessors to ensure best practice
- Authors: Fields, Sally
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Occupational therapy driver assessment and rehabilitation is an advanced and complex area of practice. Users of this service require that occupational therapy driver assessors are, and remain, competent in their role. Competency standards support and inform occupational therapy driver assessment and rehabilitation practice, ensure standardisation of practice, and determine whether practice can be deemed competent. Competency standards for occupational therapy driver assessors in one Australian state, Victoria, were published in 1998 to provide a benchmark for service provision and guide training. Since then, occupational therapy driver assessor practice has undergone further developments and growth, including a significant increase in research evidence underpinning this advanced practice area. As a result, the competency standards required revision to reflect contemporary practice and enable their use and application across all Australian states and territories. The purpose of the research program reported in this thesis was to revise and validate the Australian Competency Standards for Occupational Therapy Driver Assessors and determine if education and practice using these standards led to increased adherence to their use in clinical practice. A sequential, exploratory, mixed methods design was used within a pragmatist research paradigm to revise and validate the competency standards for occupational therapy driver assessors from a national perspective. Four separate research studies were conducted. In the first study, an overview was undertaken to summarise the current evidence for including cognitive and perceptual assessments within fitness-to-drive evaluations, to inform the revision of the competency standards for occupational therapy driver assessors. The second study involved focus groups with Australian occupational therapy driver assessors and expert educators and identified the changes and revisions required to be made to the Victorian competency standards for occupational therapy driver assessors. Content themes and changes were extracted from the focus groups and combined with research evidence to draft the revised standards. The third study collected feedback from consumers and Australian driver licensing authorities to incorporate into the revised draft. This was followed by a two-round Delphi process with Australian occupational therapy driver assessors to achieve consensus and validate the Australian Competency Standards for Occupational Therapy Driver Assessors. A high level of consensus on the content of all competency standards and underlying practice behaviours was obtained in the final round. Finally, a mixed-methods multiple case-study methodology was adopted, and multiple forms of evidence were collected from file audits, semi-structured interviews and an individualised education session with occupational therapy driver assessors. This study demonstrated that, for this sample, occupational therapy driver assessors’ adherence to the Australian Competency Standards for Occupational Therapy Driver Assessors increased following an individually tailored education package about the standards. The research in this thesis has contributed to the evidence base for occupational therapy driver assessor practice. The Australian Competency Standards for Occupational Therapy Driver Assessors have been revised, validated and published, and the impact of an education package to increase adherence has been investigated. These competency standards: (i) assist occupational therapy driver assessors’ clinical practice, support occupational therapy registration and regulatory agencies to evaluate practice against a standard and (iii) provide universities with a framework to deliver postgraduate training in occupational therapy driver assessment and rehabilitation. Finally, this research has described a process that can be utilised in other areas of occupational therapy practice to develop and validate competency standards.
- Description: Doctor of Philosophy
- Authors: Fields, Sally
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Occupational therapy driver assessment and rehabilitation is an advanced and complex area of practice. Users of this service require that occupational therapy driver assessors are, and remain, competent in their role. Competency standards support and inform occupational therapy driver assessment and rehabilitation practice, ensure standardisation of practice, and determine whether practice can be deemed competent. Competency standards for occupational therapy driver assessors in one Australian state, Victoria, were published in 1998 to provide a benchmark for service provision and guide training. Since then, occupational therapy driver assessor practice has undergone further developments and growth, including a significant increase in research evidence underpinning this advanced practice area. As a result, the competency standards required revision to reflect contemporary practice and enable their use and application across all Australian states and territories. The purpose of the research program reported in this thesis was to revise and validate the Australian Competency Standards for Occupational Therapy Driver Assessors and determine if education and practice using these standards led to increased adherence to their use in clinical practice. A sequential, exploratory, mixed methods design was used within a pragmatist research paradigm to revise and validate the competency standards for occupational therapy driver assessors from a national perspective. Four separate research studies were conducted. In the first study, an overview was undertaken to summarise the current evidence for including cognitive and perceptual assessments within fitness-to-drive evaluations, to inform the revision of the competency standards for occupational therapy driver assessors. The second study involved focus groups with Australian occupational therapy driver assessors and expert educators and identified the changes and revisions required to be made to the Victorian competency standards for occupational therapy driver assessors. Content themes and changes were extracted from the focus groups and combined with research evidence to draft the revised standards. The third study collected feedback from consumers and Australian driver licensing authorities to incorporate into the revised draft. This was followed by a two-round Delphi process with Australian occupational therapy driver assessors to achieve consensus and validate the Australian Competency Standards for Occupational Therapy Driver Assessors. A high level of consensus on the content of all competency standards and underlying practice behaviours was obtained in the final round. Finally, a mixed-methods multiple case-study methodology was adopted, and multiple forms of evidence were collected from file audits, semi-structured interviews and an individualised education session with occupational therapy driver assessors. This study demonstrated that, for this sample, occupational therapy driver assessors’ adherence to the Australian Competency Standards for Occupational Therapy Driver Assessors increased following an individually tailored education package about the standards. The research in this thesis has contributed to the evidence base for occupational therapy driver assessor practice. The Australian Competency Standards for Occupational Therapy Driver Assessors have been revised, validated and published, and the impact of an education package to increase adherence has been investigated. These competency standards: (i) assist occupational therapy driver assessors’ clinical practice, support occupational therapy registration and regulatory agencies to evaluate practice against a standard and (iii) provide universities with a framework to deliver postgraduate training in occupational therapy driver assessment and rehabilitation. Finally, this research has described a process that can be utilised in other areas of occupational therapy practice to develop and validate competency standards.
- Description: Doctor of Philosophy
Single- and multiobjective reinforcement learning in dynamic adversarial games
- Authors: Kurniawan, Budi
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis uses reinforcement learning (RL) to address dynamic adversarial games in the context of air combat manoeuvring simulation. A sequential decision problem commonly encountered in the field of operations research, air combat manoeuvring simulation conventionally relied on agent programming methods that required significant domain knowledge to be manually encoded into the simulation environment. These methods are appropriate for determining the effectiveness of existing tactics in different simulated scenarios. However, in order to maximise the advantages provided by new technologies (such as autonomous aircraft), new tactics will need to be discovered. A proven technique for solving sequential decision problems, RL has the potential to discover these new tactics. This thesis explores four RL approaches—tabular, deep, discrete-to-deep and multiobjective— as mechanisms for discovering new behaviours in simulations of air combat manoeuvring. Itimplements and tests several methods for each approach and compares those methods in terms of the learning time, baseline and comparative performances, and implementation complexity. In addition to evaluating the utility of existing approaches to the specific task of air combat manoeuvring, this thesis proposes and investigates two novel methods, discrete-to-deep supervised policy learning (D2D-SPL) and discrete-to-deep supervised Q-value learning (D2D-SQL), which can be applied more generally. D2D-SPL and D2D-SQL offer the generalisability of deep RL at a cost closer to the tabular approach.
- Description: Doctor of Philosophy
- Authors: Kurniawan, Budi
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis uses reinforcement learning (RL) to address dynamic adversarial games in the context of air combat manoeuvring simulation. A sequential decision problem commonly encountered in the field of operations research, air combat manoeuvring simulation conventionally relied on agent programming methods that required significant domain knowledge to be manually encoded into the simulation environment. These methods are appropriate for determining the effectiveness of existing tactics in different simulated scenarios. However, in order to maximise the advantages provided by new technologies (such as autonomous aircraft), new tactics will need to be discovered. A proven technique for solving sequential decision problems, RL has the potential to discover these new tactics. This thesis explores four RL approaches—tabular, deep, discrete-to-deep and multiobjective— as mechanisms for discovering new behaviours in simulations of air combat manoeuvring. Itimplements and tests several methods for each approach and compares those methods in terms of the learning time, baseline and comparative performances, and implementation complexity. In addition to evaluating the utility of existing approaches to the specific task of air combat manoeuvring, this thesis proposes and investigates two novel methods, discrete-to-deep supervised policy learning (D2D-SPL) and discrete-to-deep supervised Q-value learning (D2D-SQL), which can be applied more generally. D2D-SPL and D2D-SQL offer the generalisability of deep RL at a cost closer to the tabular approach.
- Description: Doctor of Philosophy
Teaching with difference : barriers and enablers for teachers with impairments in their professional roles
- Authors: Skene, Gerrard
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Amidst the current groundswell of inclusive practices adopted in learning institutions, there would appear to be a paucity of research regarding the barriers and enablers experienced by teachers with impairments in Australian education systems (Burke, 2016; Pritchard, 2010; Sheridan & Kotevski, 2014). This thesis presents an examination of national and international literature where an imprecise range of issues for teachers with impairments is identified. The social model of disability has been adopted as the overarching theoretical perspective for this study. The conceptualisation of teaching with impairment, rather than about impairment, embodies the notion of teachers with impairments as being culturally relevant educators (Pritchard, 2010). Narrative inquiry, in conjunction with Clandinin and Connelly’s (2000) three-dimensional space approach as a thematical analysis methodology, has been employed and supports the investigation of ten teachers with impairments working in professional education roles within Australia. Narrative interviews were conducted with each of the ten participants with the aim of identifying barriers and enablers within the lived experiences of teachers with impairments. This study identified a silence in relation to teachers with impairments, and to address this silence has amplified the voices of teachers with impairments. Five primary themes emerged from the data to provide insights into barriers and enablers experienced by teachers with impairments. These themes are: Thinking about becoming a teacher; The limiting attitudes of others; Connecting with students and parents; Notions of teaching spaces; and I get by with a little help from my friends. This study found that teachers with impairments do experience adverse attitudes and biases in Australian teaching institutions despite there being laws that have been specifically designed to prevent disability discrimination. Bias, experienced as discrimination towards teachers with impairments, extends to career promotion and workplace advancement opportunities. Conversely, the study also found that respectful conversations about impairment which took place both inside and outside teaching places, highlighted how having open conversations about reasonable adjustments can lead to actions that become enablers for teachers with impairments. This study commences the important work of giving voice to teachers with impairments and creates a space to challenge dominant perspectives. The thesis concludes that more needs to be done to challenge the constructed normative attitudes that are responsible for setting teachers with impairments apart and resulting in them being mostly undetected within the teacher population; Doctor of Philosophy
- Authors: Skene, Gerrard
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Amidst the current groundswell of inclusive practices adopted in learning institutions, there would appear to be a paucity of research regarding the barriers and enablers experienced by teachers with impairments in Australian education systems (Burke, 2016; Pritchard, 2010; Sheridan & Kotevski, 2014). This thesis presents an examination of national and international literature where an imprecise range of issues for teachers with impairments is identified. The social model of disability has been adopted as the overarching theoretical perspective for this study. The conceptualisation of teaching with impairment, rather than about impairment, embodies the notion of teachers with impairments as being culturally relevant educators (Pritchard, 2010). Narrative inquiry, in conjunction with Clandinin and Connelly’s (2000) three-dimensional space approach as a thematical analysis methodology, has been employed and supports the investigation of ten teachers with impairments working in professional education roles within Australia. Narrative interviews were conducted with each of the ten participants with the aim of identifying barriers and enablers within the lived experiences of teachers with impairments. This study identified a silence in relation to teachers with impairments, and to address this silence has amplified the voices of teachers with impairments. Five primary themes emerged from the data to provide insights into barriers and enablers experienced by teachers with impairments. These themes are: Thinking about becoming a teacher; The limiting attitudes of others; Connecting with students and parents; Notions of teaching spaces; and I get by with a little help from my friends. This study found that teachers with impairments do experience adverse attitudes and biases in Australian teaching institutions despite there being laws that have been specifically designed to prevent disability discrimination. Bias, experienced as discrimination towards teachers with impairments, extends to career promotion and workplace advancement opportunities. Conversely, the study also found that respectful conversations about impairment which took place both inside and outside teaching places, highlighted how having open conversations about reasonable adjustments can lead to actions that become enablers for teachers with impairments. This study commences the important work of giving voice to teachers with impairments and creates a space to challenge dominant perspectives. The thesis concludes that more needs to be done to challenge the constructed normative attitudes that are responsible for setting teachers with impairments apart and resulting in them being mostly undetected within the teacher population; Doctor of Philosophy
The association of circular RNAs with hypertension
- Authors: Woods, Bradley
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis contains six chapters in total with chapter 1 being a literature overview and chapter 2 being a summary of material and methods. The three results chapters contain all my own work unless stated otherwise and lastly chapter 6 is discussion and conclusions linking together the work undertaken in this thesis.
- Description: Doctor of Philosophy
- Authors: Woods, Bradley
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis contains six chapters in total with chapter 1 being a literature overview and chapter 2 being a summary of material and methods. The three results chapters contain all my own work unless stated otherwise and lastly chapter 6 is discussion and conclusions linking together the work undertaken in this thesis.
- Description: Doctor of Philosophy
The association of Circular RNAs with hypertension
- Authors: Woods, Bradley
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Doctor of Philosophy
- Authors: Woods, Bradley
- Date: 2022
- Type: Text , Thesis , PhD
- Full Text:
- Description: Doctor of Philosophy