A case study of teacher roles in engaging with student aspirations
- Authors: Walker, Amy
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis investigated the complex role teachers play, both formally and informally, in relation to engaging and supporting student aspirations. Due to the links that have been established between aspirations and school completion and involvement in tertiary education, aspirations are important in an educational context. Yet, despite the abundance of aspiration related research, most has focused on student or parent perspectives, with few scholars targeting teacher perceptions of their roles in relation to student aspirations. This research is therefore significant as it addresses this gap through a single case study investigating perceptions of P-12 teachers from a peri-urban independent school in Victoria, Australia. Data were collected from 57 teachers via survey, interviews, and school document analysis. A lens of research-as-bricoleur, incorporating the theoretical frameworks of Bronfenbrenner (1979; 1994), Turner (2001), Gottfredson (1981, 1996), and Patton and McMahon (2015), provided the interpretative basis for the applied thematic analysis of the different data sets. Findings demonstrated differences in the way that teachers conceptualised their role in engaging with student aspirations. While teacher participants identified various formal and informal roles that they played in relation to engaging student aspirations, they also reported a lack of clear guidance or guidelines, necessitating the development of personal processes to direct their involvement. Other important findings highlighted a number of factors that teacher participants perceived as facilitating or impeding possible roles they could play in engaging student aspirations. The understandings emanating from this research provide substantive assistance to stakeholders, including school administrators and teacher educators, in appreciating and appropriately responding to an area of practice which remains misunderstood and without clear policy or guidelines. Ultimately, this research adds to the growing body of research into student aspirations and the concomitant importance of teachers in helping students aspire to and achieve their goals.
- Description: Doctor of Philosophy
- Authors: Walker, Amy
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis investigated the complex role teachers play, both formally and informally, in relation to engaging and supporting student aspirations. Due to the links that have been established between aspirations and school completion and involvement in tertiary education, aspirations are important in an educational context. Yet, despite the abundance of aspiration related research, most has focused on student or parent perspectives, with few scholars targeting teacher perceptions of their roles in relation to student aspirations. This research is therefore significant as it addresses this gap through a single case study investigating perceptions of P-12 teachers from a peri-urban independent school in Victoria, Australia. Data were collected from 57 teachers via survey, interviews, and school document analysis. A lens of research-as-bricoleur, incorporating the theoretical frameworks of Bronfenbrenner (1979; 1994), Turner (2001), Gottfredson (1981, 1996), and Patton and McMahon (2015), provided the interpretative basis for the applied thematic analysis of the different data sets. Findings demonstrated differences in the way that teachers conceptualised their role in engaging with student aspirations. While teacher participants identified various formal and informal roles that they played in relation to engaging student aspirations, they also reported a lack of clear guidance or guidelines, necessitating the development of personal processes to direct their involvement. Other important findings highlighted a number of factors that teacher participants perceived as facilitating or impeding possible roles they could play in engaging student aspirations. The understandings emanating from this research provide substantive assistance to stakeholders, including school administrators and teacher educators, in appreciating and appropriately responding to an area of practice which remains misunderstood and without clear policy or guidelines. Ultimately, this research adds to the growing body of research into student aspirations and the concomitant importance of teachers in helping students aspire to and achieve their goals.
- Description: Doctor of Philosophy
A framework for sustainability performance assessment for manufacturing processes
- Authors: Singh, Karmjit
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Sustainable manufacturing methods make it possible to develop products in ways which minimize negative environmental impacts, conserve energy and save natural resources whilst being economically sound. The concepts of sustainability in manufacturing being are still fairly broad, in scope, and need to be more focused and firmly established at the process, machine or factory levels. This project proposes a structure for manufacturing with a main objective to develop a sustainability framework which encompasses various production processes. Structured information models for the seamless flow of information across the design and manufacturing domains, for selected manufacturing processes, are defined. The thesis work identifies key performance indicators (KPIs) for the assessment of manufacturing sustainability and performs analysis of selected unit manufacturing processes and their sub-processes with the aim of proposing a methodology for determining science-based measurements of the manufacturing processes affecting these KPIs. The theoretical foundations established are then used to develop a model that could evaluate sustainability of selected manufacturing processes and their respective process plans providing a basis for inter-process comparison and selection of the most sustainable process plan. The proposed framework is presented in form of a manufacturing planning computer-based package which is designed to to consider different influencing factors such as product information, part geometry, material related physical and processing properties and the manufacturing equipment operating data. The thesis presents a number of case studies which have been published in international journals. The case studies present estimates of the manufacturing sustainability KPIs for a number of production methods. These estimates have been verified with available shop floor data. The work in the thesis makes it possible to establish manufacturing industry equipped to deal the challenges of the future when sustainability will be the major factor up on which the quality of success will be determined.
- Description: Doctor of Philosophy
- Authors: Singh, Karmjit
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Sustainable manufacturing methods make it possible to develop products in ways which minimize negative environmental impacts, conserve energy and save natural resources whilst being economically sound. The concepts of sustainability in manufacturing being are still fairly broad, in scope, and need to be more focused and firmly established at the process, machine or factory levels. This project proposes a structure for manufacturing with a main objective to develop a sustainability framework which encompasses various production processes. Structured information models for the seamless flow of information across the design and manufacturing domains, for selected manufacturing processes, are defined. The thesis work identifies key performance indicators (KPIs) for the assessment of manufacturing sustainability and performs analysis of selected unit manufacturing processes and their sub-processes with the aim of proposing a methodology for determining science-based measurements of the manufacturing processes affecting these KPIs. The theoretical foundations established are then used to develop a model that could evaluate sustainability of selected manufacturing processes and their respective process plans providing a basis for inter-process comparison and selection of the most sustainable process plan. The proposed framework is presented in form of a manufacturing planning computer-based package which is designed to to consider different influencing factors such as product information, part geometry, material related physical and processing properties and the manufacturing equipment operating data. The thesis presents a number of case studies which have been published in international journals. The case studies present estimates of the manufacturing sustainability KPIs for a number of production methods. These estimates have been verified with available shop floor data. The work in the thesis makes it possible to establish manufacturing industry equipped to deal the challenges of the future when sustainability will be the major factor up on which the quality of success will be determined.
- Description: Doctor of Philosophy
Advocates or corporates : constructions of clinical nursing practice in Australia with regards to the idealisation of advocacy and autonomy
- Authors: Cole, Clare
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Although the idealisation of nurses as advocates is popularised in nursing literature and supported within nursing frameworks, codes and standards, there has been little critical examination of these ideas within contemporary Australian healthcare settings and nursing practice. The Australian Healthcare system is a complicated system of interacting service providers and consumers. Institutions that regulate healthcare professionals and organisations normalise understandings of nursing and nursing practice, including conceptualisations of the importance of autonomy and advocacy and how each is to be supported and/or practised. This study used the perceptions of practising Registered Nurses (RNs) to examine the actualities of advocacy and support for autonomy as they are carried out within clinical practice, and to highlight, problematise and then analyse differences between the rhetoric and realities of practice. Firstly, a phenomenological lens, including an ethnographic model of observation, was used to thematically map and examine the RNs’ lived experience of their practice, paying particular attention to their conceptions of and responsibilities toward advocacy and autonomy. This thematic analysis brought to the fore a range of assumptions that, although clearly normative within nursing practice, are in evident tension with one other. These were then re-examined using a range of Michel Foucault’s concepts concerning the construction and maintenance of regimes of truth. Designed to unpack the operations of power and knowledge, and to make visible the techniques of disciplinarity and governmentality that inform and support them, an engagement of these concepts has allowed this thesis to critically examine the normative constructions and enactments of nursing practice with regards to ideas and practices concerning advocacy and autonomy. What this thesis provides is a detailed examination of the contrasting constructions of power and knowledge within nursing practice in relation to advocacy and autonomy, how and why these concepts have been operationalised within nursing practice, and how they could be re-visioned into the future.
- Description: Doctor of Philosophy
- Authors: Cole, Clare
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Although the idealisation of nurses as advocates is popularised in nursing literature and supported within nursing frameworks, codes and standards, there has been little critical examination of these ideas within contemporary Australian healthcare settings and nursing practice. The Australian Healthcare system is a complicated system of interacting service providers and consumers. Institutions that regulate healthcare professionals and organisations normalise understandings of nursing and nursing practice, including conceptualisations of the importance of autonomy and advocacy and how each is to be supported and/or practised. This study used the perceptions of practising Registered Nurses (RNs) to examine the actualities of advocacy and support for autonomy as they are carried out within clinical practice, and to highlight, problematise and then analyse differences between the rhetoric and realities of practice. Firstly, a phenomenological lens, including an ethnographic model of observation, was used to thematically map and examine the RNs’ lived experience of their practice, paying particular attention to their conceptions of and responsibilities toward advocacy and autonomy. This thematic analysis brought to the fore a range of assumptions that, although clearly normative within nursing practice, are in evident tension with one other. These were then re-examined using a range of Michel Foucault’s concepts concerning the construction and maintenance of regimes of truth. Designed to unpack the operations of power and knowledge, and to make visible the techniques of disciplinarity and governmentality that inform and support them, an engagement of these concepts has allowed this thesis to critically examine the normative constructions and enactments of nursing practice with regards to ideas and practices concerning advocacy and autonomy. What this thesis provides is a detailed examination of the contrasting constructions of power and knowledge within nursing practice in relation to advocacy and autonomy, how and why these concepts have been operationalised within nursing practice, and how they could be re-visioned into the future.
- Description: Doctor of Philosophy
Barriers and enablers to women's access to services during childbearing in Timor-Leste
- Authors: King, Rosemary
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Background: In Timor-Leste the maternal mortality ratio (MMR) is one of the highest in Southeast Asia, in some districts only 15-25% of women birth in a facility with a skilled birth attendant (SBA). Care from SBA is the international benchmark for quality maternity care. Purpose: Determine the barriers and enablers to women's access to services during childbearing in Timor-Leste, including women’s expectations and needs. Methodology: Qualitative research using focused ethnography, data collection methods included semi-structured interviews, focus groups and participant observation. Seventeen stakeholders and thirty women from three districts in Timor-Leste participated. Thematic analysis and coding of data with triangulation of the findings between separate participant groups. Results: Barriers to woman’s access to SBA include poor roads, lack of transport, costs associated with accessing SBA, lack of availability and poor quality services. Lack of privacy, multiple care-givers and poor interpersonal communication from SBA were also noted. Stakeholders emphasise health promotion and antenatal care to counteract the influence of traditional beliefs and promote demand for SBA. Many women demonstrate their agency in health seeking behaviours and choices for care during pregnancy and childbirth. Discussion: Women understand that pregnancy and childbirth poses potential risks to their health. Rural women, women from low socio-economic and other marginalised groups have less access to services. Perceptions of poor quality services also reduce women’s demand. Conclusion: Barriers and enablers to woman’s access to services are identified using an amended AAAQ framework introducing the domain of Antecedents in addition to domains of Access, Availability, Acceptability and Quality (AAAQA). Further expenditure on health service infrastructure, staff training and community outreach will improve access and quality SBA. Culturally safe SBA services may also improve the uptake of SBA service in Timor-Leste. Key words: Timor-Leste, Skilled birth attendance, cultural safety, women’s agency, quality maternity care.
- Description: Doctor of Philosophy
- Authors: King, Rosemary
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Background: In Timor-Leste the maternal mortality ratio (MMR) is one of the highest in Southeast Asia, in some districts only 15-25% of women birth in a facility with a skilled birth attendant (SBA). Care from SBA is the international benchmark for quality maternity care. Purpose: Determine the barriers and enablers to women's access to services during childbearing in Timor-Leste, including women’s expectations and needs. Methodology: Qualitative research using focused ethnography, data collection methods included semi-structured interviews, focus groups and participant observation. Seventeen stakeholders and thirty women from three districts in Timor-Leste participated. Thematic analysis and coding of data with triangulation of the findings between separate participant groups. Results: Barriers to woman’s access to SBA include poor roads, lack of transport, costs associated with accessing SBA, lack of availability and poor quality services. Lack of privacy, multiple care-givers and poor interpersonal communication from SBA were also noted. Stakeholders emphasise health promotion and antenatal care to counteract the influence of traditional beliefs and promote demand for SBA. Many women demonstrate their agency in health seeking behaviours and choices for care during pregnancy and childbirth. Discussion: Women understand that pregnancy and childbirth poses potential risks to their health. Rural women, women from low socio-economic and other marginalised groups have less access to services. Perceptions of poor quality services also reduce women’s demand. Conclusion: Barriers and enablers to woman’s access to services are identified using an amended AAAQ framework introducing the domain of Antecedents in addition to domains of Access, Availability, Acceptability and Quality (AAAQA). Further expenditure on health service infrastructure, staff training and community outreach will improve access and quality SBA. Culturally safe SBA services may also improve the uptake of SBA service in Timor-Leste. Key words: Timor-Leste, Skilled birth attendance, cultural safety, women’s agency, quality maternity care.
- Description: Doctor of Philosophy
Bitcoin : users’ characteristics, motivations and investment behaviours
- Authors: Carter, Corey
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: In less than a decade, the cryptocurrency known as Bitcoin has gone from a fringe phenomenon to a topic of increasing interest to academia and mainstream investors. However, despite the growing body of research seeking to understand Bitcoin, the pseudonymous, decentralised, and globally-diffused nature of its user base means that the individuals who use it remain poorly understood. In particular, the motivations, risk-appreciation, and investment behaviours of early adopters and innovators are subject to supposition in the absence of data derived from the user base. This thesis seeks to address this gap in knowledge by employing a multi-stage, mixed methodology approach and a theoretical framework to understand the Bitcoin user base. Utilising semantic analysis, a survey of online cryptocurrency communities, and econometric time-series analysis, this thesis addresses the extent and nature of Bitcoin in hedging; how individual users perceive their own motivations, uses, and risks that have driven their behaviour; and the nature of the relationship between the prices of cryptocurrency and indices of confidence. Analysis of the data determined that the use of Bitcoin as an instrument of hedging is limited, and influenced by political and institutional factors. Likewise, its motivations, uses, and risks are reflective of the users’ political ideology, with the community and marketplace becoming more sophisticated as they evolve over time. Additionally, despite several case studies demonstrating risk-averse adoption of Bitcoin, there is no relationship between its prices and confidence.
- Description: Doctor of Philosophy
- Authors: Carter, Corey
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: In less than a decade, the cryptocurrency known as Bitcoin has gone from a fringe phenomenon to a topic of increasing interest to academia and mainstream investors. However, despite the growing body of research seeking to understand Bitcoin, the pseudonymous, decentralised, and globally-diffused nature of its user base means that the individuals who use it remain poorly understood. In particular, the motivations, risk-appreciation, and investment behaviours of early adopters and innovators are subject to supposition in the absence of data derived from the user base. This thesis seeks to address this gap in knowledge by employing a multi-stage, mixed methodology approach and a theoretical framework to understand the Bitcoin user base. Utilising semantic analysis, a survey of online cryptocurrency communities, and econometric time-series analysis, this thesis addresses the extent and nature of Bitcoin in hedging; how individual users perceive their own motivations, uses, and risks that have driven their behaviour; and the nature of the relationship between the prices of cryptocurrency and indices of confidence. Analysis of the data determined that the use of Bitcoin as an instrument of hedging is limited, and influenced by political and institutional factors. Likewise, its motivations, uses, and risks are reflective of the users’ political ideology, with the community and marketplace becoming more sophisticated as they evolve over time. Additionally, despite several case studies demonstrating risk-averse adoption of Bitcoin, there is no relationship between its prices and confidence.
- Description: Doctor of Philosophy
Effects of brown coal fly ash on 30% monoethanolamine CO₂ capture systems
- Authors: Chowdhury, Mohammad
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Accumulation of fly ash during post-combustion capture (PCC) of CO2 is an emerging concern. This work assesses concerns that soluble ash components (e.g. Na, Ca, Mg) increase conductivity of amine systems increasing corrosion rates, and decreasing CO2 capture e ciency; slightly soluble metals ions (e.g. Fe) may catalyse amine oxidation; and insoluble ash components cause erosion and blockages in the PCC plants as well as providing catalytic surfaces. Loy Yang brown-coal y ashes (using XRD, SEM, EDS and ICP-MS) are rst characterised and separated into soluble, insoluble and char fractions. The e ect of each fraction on MEA oxidation (measured by UV-vis and organic acid formation) and corrosion is determined using lab-scale experiments in static and stirred pressurised reactors at simulated PCC stripper conditions. Fly ash was three times more soluble in severely oxidising conditions compared to mild 30% MEA extractions. Vantho te represents 10-20% of the y ash and was the main source of sodium, calcium and magnesium ions while Szmolnockite was a source of iron. Iron solubility was dependent on conditions, with 5% soluble in aqueous MEA and 10% in simulated desorber conditions. The soluble fraction was the only ash fraction to signi cantly promote MEA oxidation. Aged pall rings from a PCC pilot plant had severe grain boundary corrosion and chromiumoxide depletion. Grain boundary corrosion was less severe in pall rings under severely oxidising conditions. The e ects of soluble ash were unclear while organic acids promoted pitting. Fly ash is an important source of soluble sodium, calcium and iron into 30% MEA. The insoluble fraction had minimal impact on MEA oxidation and corrosion, suggesting that it was inert. Soluble ash fractions increased corrosion severity and promoted MEA oxidation. This work shows that deep y ash removal prior to PCC is particularly important for ashes with high solubility in the CO2 absorption system.
- Description: Doctor of Philosophy
- Authors: Chowdhury, Mohammad
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Accumulation of fly ash during post-combustion capture (PCC) of CO2 is an emerging concern. This work assesses concerns that soluble ash components (e.g. Na, Ca, Mg) increase conductivity of amine systems increasing corrosion rates, and decreasing CO2 capture e ciency; slightly soluble metals ions (e.g. Fe) may catalyse amine oxidation; and insoluble ash components cause erosion and blockages in the PCC plants as well as providing catalytic surfaces. Loy Yang brown-coal y ashes (using XRD, SEM, EDS and ICP-MS) are rst characterised and separated into soluble, insoluble and char fractions. The e ect of each fraction on MEA oxidation (measured by UV-vis and organic acid formation) and corrosion is determined using lab-scale experiments in static and stirred pressurised reactors at simulated PCC stripper conditions. Fly ash was three times more soluble in severely oxidising conditions compared to mild 30% MEA extractions. Vantho te represents 10-20% of the y ash and was the main source of sodium, calcium and magnesium ions while Szmolnockite was a source of iron. Iron solubility was dependent on conditions, with 5% soluble in aqueous MEA and 10% in simulated desorber conditions. The soluble fraction was the only ash fraction to signi cantly promote MEA oxidation. Aged pall rings from a PCC pilot plant had severe grain boundary corrosion and chromiumoxide depletion. Grain boundary corrosion was less severe in pall rings under severely oxidising conditions. The e ects of soluble ash were unclear while organic acids promoted pitting. Fly ash is an important source of soluble sodium, calcium and iron into 30% MEA. The insoluble fraction had minimal impact on MEA oxidation and corrosion, suggesting that it was inert. Soluble ash fractions increased corrosion severity and promoted MEA oxidation. This work shows that deep y ash removal prior to PCC is particularly important for ashes with high solubility in the CO2 absorption system.
- Description: Doctor of Philosophy
Extremality and stationarity of collections of sets : metric, slope and normal cone characterisations
- Bui, Hoa
- Authors: Bui, Hoa
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Variational analysis, a relatively new area of research in mathematics, has become one of the most powerful tools in nonsmooth optimisation and neighbouring areas. The extremal principle, a tool to substitute the conventional separation theorem in the general nonconvex environment, is a fundamental result in variational analysis. There have seen many attempts to generalise the conventional extremal principle in order to tackle certain optimisation models. Models involving collections of sets, initiated by the extremal principle, have proved their usefulness in analysis and optimisation, with non-intersection properties (or their absence) being at the core of many applications: recall the ubiquitous convex separation theorem, extremal principle, Dubovitskii Milyutin formalism and various transversality/regularity properties. We study elementary nonintersection properties of collections of sets, making the core of the conventional definitions of extremality and stationarity. In the setting of general Banach/Asplund spaces, we establish nonlinear primal (slope) and linear/nonlinear dual (generalised separation) characterisations of these non-intersection properties. We establish a series of consequences of our main results covering all known formulations of extremality/ stationarity and generalised separability properties. This research develops a universal theory, unifying all the current extensions of the extremal principle, providing new results and better understanding for the exquisite theory of variational analysis. This new study also results in direct solutions for many open questions and new future research directions in the fields of variational analysis and optimisation. Some new nonlinear characterisations of the conventional extremality/stationarity properties are obtained. For the first time, the intrinsic transversality property is characterised in primal space without involving normal cones. This characterisation brings a new perspective on intrinsic transversality. In the process, we thoroughly expose and classify all quantitative geometric and metric characterisations of transversality properties of collections of sets and regularity properties of set-valued mappings.
- Description: Doctor of Philosophy
- Authors: Bui, Hoa
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Variational analysis, a relatively new area of research in mathematics, has become one of the most powerful tools in nonsmooth optimisation and neighbouring areas. The extremal principle, a tool to substitute the conventional separation theorem in the general nonconvex environment, is a fundamental result in variational analysis. There have seen many attempts to generalise the conventional extremal principle in order to tackle certain optimisation models. Models involving collections of sets, initiated by the extremal principle, have proved their usefulness in analysis and optimisation, with non-intersection properties (or their absence) being at the core of many applications: recall the ubiquitous convex separation theorem, extremal principle, Dubovitskii Milyutin formalism and various transversality/regularity properties. We study elementary nonintersection properties of collections of sets, making the core of the conventional definitions of extremality and stationarity. In the setting of general Banach/Asplund spaces, we establish nonlinear primal (slope) and linear/nonlinear dual (generalised separation) characterisations of these non-intersection properties. We establish a series of consequences of our main results covering all known formulations of extremality/ stationarity and generalised separability properties. This research develops a universal theory, unifying all the current extensions of the extremal principle, providing new results and better understanding for the exquisite theory of variational analysis. This new study also results in direct solutions for many open questions and new future research directions in the fields of variational analysis and optimisation. Some new nonlinear characterisations of the conventional extremality/stationarity properties are obtained. For the first time, the intrinsic transversality property is characterised in primal space without involving normal cones. This characterisation brings a new perspective on intrinsic transversality. In the process, we thoroughly expose and classify all quantitative geometric and metric characterisations of transversality properties of collections of sets and regularity properties of set-valued mappings.
- Description: Doctor of Philosophy
Harvesting stormwater : Testing the paradigm by assessing the impacts with an inter-disciplinary case study
- Authors: Ebbs, David
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Integrated Urban Water Management (IUWM) is often proposed as a framework for comprehensively managing the water cycle in urban areas. One of the tenets of IUWM is that, due to increased impervious area, stormwater runoff in excess of the natural flow could be captured and used to supplement the water supply, while mitigating the environmental impact. This thesis tests that theory through an inter-disciplinary case study utilising legacy data for the regional city of Ballarat, Australia. The case study approach has enabled the water balance of an urbanised catchment to be better understood in various ways and provided for five tightly nested research projects, being: 1. Does the long-term development of water management within a city provide insight into what drives decisions, therefore informing future progress? 2. Can the drivers of water use be adequately determined from a community wide, historical analysis such that future regulatory decisions can be informed? 3. Will assessment of the long-term streamflow of a river, combined with an urban water balance of the catchment, enable the identification of additional stormwater flow due to urbanisation, in excess of the natural flow? 4. Can the impact of urbanisation on groundwater be identified (i.e. trends quantified or qualified) from the city’s legacy data or any available data sources, or models? 5. Is it possible to establish a comparative analysis technique that accounts for the uncertainty of information which changes over time, maintains intellectual rigour and is understandable and easily presented? IUWM was found, perhaps unsurprisingly, to be a complex problem with the challenges being very contextual on the particular catchment and city being studied. This research revealed that evidence of greater volumes of water being generated from increasingly urbanised impervious catchments is not easy to find. This finding may challenge conventional thinking and means that decisions on stormwater harvesting and WSUD practices more broadly should first be informed by evidence of the water balance. This research also revealed some very significant challenges in the water industry with finding and effectively using very dispersed data sets which are held and managed across multiple water agencies in various digital and hard copy formats. Information and data availability is critical to all aspects of IUWM, including in the measurement of its success, and so this research reminds the water industry of the importance of its data management practices.
- Description: Doctor of Philosophy
- Authors: Ebbs, David
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Integrated Urban Water Management (IUWM) is often proposed as a framework for comprehensively managing the water cycle in urban areas. One of the tenets of IUWM is that, due to increased impervious area, stormwater runoff in excess of the natural flow could be captured and used to supplement the water supply, while mitigating the environmental impact. This thesis tests that theory through an inter-disciplinary case study utilising legacy data for the regional city of Ballarat, Australia. The case study approach has enabled the water balance of an urbanised catchment to be better understood in various ways and provided for five tightly nested research projects, being: 1. Does the long-term development of water management within a city provide insight into what drives decisions, therefore informing future progress? 2. Can the drivers of water use be adequately determined from a community wide, historical analysis such that future regulatory decisions can be informed? 3. Will assessment of the long-term streamflow of a river, combined with an urban water balance of the catchment, enable the identification of additional stormwater flow due to urbanisation, in excess of the natural flow? 4. Can the impact of urbanisation on groundwater be identified (i.e. trends quantified or qualified) from the city’s legacy data or any available data sources, or models? 5. Is it possible to establish a comparative analysis technique that accounts for the uncertainty of information which changes over time, maintains intellectual rigour and is understandable and easily presented? IUWM was found, perhaps unsurprisingly, to be a complex problem with the challenges being very contextual on the particular catchment and city being studied. This research revealed that evidence of greater volumes of water being generated from increasingly urbanised impervious catchments is not easy to find. This finding may challenge conventional thinking and means that decisions on stormwater harvesting and WSUD practices more broadly should first be informed by evidence of the water balance. This research also revealed some very significant challenges in the water industry with finding and effectively using very dispersed data sets which are held and managed across multiple water agencies in various digital and hard copy formats. Information and data availability is critical to all aspects of IUWM, including in the measurement of its success, and so this research reminds the water industry of the importance of its data management practices.
- Description: Doctor of Philosophy
Histories of the Ballarat District Orphan Asylum, Ballarat Orphanage and Ballarat Children’s Home, 1866-1983
- Authors: McGinniss, David
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: The thesis outlines the development of three children’s residential institutions on the site of 200 Victoria Street, Ballarat East: the Ballarat District Orphan Asylum (1866-1909), the Ballarat Orphanage (1909-1968), and the Ballarat Children’s Home (1968-1983). These institutions are the historical precursors to the contemporary community service organisation now known as Child and Family Services Ballarat, or simply Cafs. The thesis focuses particularly on the shifting cultures of these institutions, to identify waves of change, surging and receding to form long patterns of alternating reform and repose. Established ways of operating overlapped with new and developing ideas, to create a dynamic environment constantly negotiating its relationships with government, communities and of course the families and children who came to rely on them. As a result, when transformative change occurred, it was difficult for leaders and policy-makers to recognise it as such at the time, as it was often experienced more as crisis and response. This provides a useful set of historical examples for current leadership and practitioners to learn from. Most critically, however, it locates the thousands of children who were institutionalised - eating, sleeping, playing, learning and working – as central to the narrative formation of identity for the historic institutions themselves, the contemporary organisation they have become, and the communities of Ballarat and beyond. Children were sent to these institutions from all over Victoria and Australia and made their homes in many different places when they left. Nevertheless, the stories and lives of the children from these institutions and the adults they have become are a key part of contemporary collective identity. The institutions are remembered with complex and contradictory mixtures of regret, loss, trauma and fondness, reflecting the mixed legacies that these institutions have left in contemporary Ballarat and beyond.
- Description: Doctor of Philosophy
- Authors: McGinniss, David
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: The thesis outlines the development of three children’s residential institutions on the site of 200 Victoria Street, Ballarat East: the Ballarat District Orphan Asylum (1866-1909), the Ballarat Orphanage (1909-1968), and the Ballarat Children’s Home (1968-1983). These institutions are the historical precursors to the contemporary community service organisation now known as Child and Family Services Ballarat, or simply Cafs. The thesis focuses particularly on the shifting cultures of these institutions, to identify waves of change, surging and receding to form long patterns of alternating reform and repose. Established ways of operating overlapped with new and developing ideas, to create a dynamic environment constantly negotiating its relationships with government, communities and of course the families and children who came to rely on them. As a result, when transformative change occurred, it was difficult for leaders and policy-makers to recognise it as such at the time, as it was often experienced more as crisis and response. This provides a useful set of historical examples for current leadership and practitioners to learn from. Most critically, however, it locates the thousands of children who were institutionalised - eating, sleeping, playing, learning and working – as central to the narrative formation of identity for the historic institutions themselves, the contemporary organisation they have become, and the communities of Ballarat and beyond. Children were sent to these institutions from all over Victoria and Australia and made their homes in many different places when they left. Nevertheless, the stories and lives of the children from these institutions and the adults they have become are a key part of contemporary collective identity. The institutions are remembered with complex and contradictory mixtures of regret, loss, trauma and fondness, reflecting the mixed legacies that these institutions have left in contemporary Ballarat and beyond.
- Description: Doctor of Philosophy
Intelligent sewer blockage detection system using Internet of Things
- Authors: Buurman, Benjamin
- Date: 2019
- Type: Text , Thesis , Masters
- Full Text:
- Description: Despite being a common issue in both developed and developing countries, wastewater blockages have severe potential consequences. Blockages can be located at sewer mains or individual properties and can also be classified as partial or full. Full blockages completely obstruct a wastewater asset, and partial blockages will often develop into full blockages if left unattended. Currently, blockages are managed by routine manual inspections to wastewater assets on a round-robin schedule. This is highly inefficient and costly, as blockages that form between these inspections and progress to effluent breaches will go undetected. In this thesis we present an Internet of Things (IoT) solution capable of simultaneously monitoring an entire wastewater infrastructure for blockages while still remaining inexpensive, reliable, and practical. Wireless motes use float switch sensors to detect blockages and transmit this to a central system using either LoRa or Wi-Fi communications. Making both LoRa and Wi-Fi available ensures the system can be adapted in any situation across a variety of geographic and economic restrictions. The central system determines whether a surcharge is caused by a blockage or simply the result of regular activity not requiring intervention. Detection of false positives is critical, as deployment of field technicians is an expensive process that moves resources from other skilled work. If a surcharge is determined to be caused by a blockage, the central system will classify it as full or partial before estimating the property or length of main between properties it is located at. Following this, relevant parties will be notified so field technicians can be deployed to resolve the blockage. We performed both practical laboratory testing and simulation modelling on our proposed system, and confirmed it is indeed capable of detecting, classifying, and locating blockages across a wide urban area. Our choice of hardware, software and network equipment ensures that the proposed IoT-based solution is inexpensive, workable, and easily deployable.
- Description: Masters by Research
- Authors: Buurman, Benjamin
- Date: 2019
- Type: Text , Thesis , Masters
- Full Text:
- Description: Despite being a common issue in both developed and developing countries, wastewater blockages have severe potential consequences. Blockages can be located at sewer mains or individual properties and can also be classified as partial or full. Full blockages completely obstruct a wastewater asset, and partial blockages will often develop into full blockages if left unattended. Currently, blockages are managed by routine manual inspections to wastewater assets on a round-robin schedule. This is highly inefficient and costly, as blockages that form between these inspections and progress to effluent breaches will go undetected. In this thesis we present an Internet of Things (IoT) solution capable of simultaneously monitoring an entire wastewater infrastructure for blockages while still remaining inexpensive, reliable, and practical. Wireless motes use float switch sensors to detect blockages and transmit this to a central system using either LoRa or Wi-Fi communications. Making both LoRa and Wi-Fi available ensures the system can be adapted in any situation across a variety of geographic and economic restrictions. The central system determines whether a surcharge is caused by a blockage or simply the result of regular activity not requiring intervention. Detection of false positives is critical, as deployment of field technicians is an expensive process that moves resources from other skilled work. If a surcharge is determined to be caused by a blockage, the central system will classify it as full or partial before estimating the property or length of main between properties it is located at. Following this, relevant parties will be notified so field technicians can be deployed to resolve the blockage. We performed both practical laboratory testing and simulation modelling on our proposed system, and confirmed it is indeed capable of detecting, classifying, and locating blockages across a wide urban area. Our choice of hardware, software and network equipment ensures that the proposed IoT-based solution is inexpensive, workable, and easily deployable.
- Description: Masters by Research
Investigating factors affecting restoration of native grassland in ex-cropland
- Authors: Shakir, Shakir Bahaddin
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Native grasslands are one of the most endangered ecosystems in Australia. Approximately 99% of native grasslands have been disturbed for agriculture and pastoralism. Today, however, many agricultural and grazing lands have been abandoned. Restoring abandoned areas to native grassland is a challenge that must be met if these systems are to persist. This thesis sought to gain a better understanding of the biotic and abiotic barriers to restoring native grasslands in ex-cropping land, and to investigate novel techniques to overcome them in degraded native grassland in the Victorian Volcanic Plains. Firstly, I compared ex-cropland to high-quality remnant grassland, and showed that excropland supports a high number of exotic weeds, a lack of native species propagules, high nutrient levels (especially phosphorus and nitrogen), and an absence of organic carbon—all barriers which must be overcome if native grassland restoration is to succeed. I conducted a replicated field experiment in ex-cropland, to investigate four restoration approaches to overcoming barriers to restoration: (i) adding urban green waste to heat and kill the exotic seed bank (ii) adding sugar and/or mulch to promote microorganism and draw down soil nitrogen, (iii) using a modified clay product called Phoslock to reduce soil phosphorus levels, and (iv) scalping of topsoil 10 cm on ex-cropland site to remove the exotic seed bank and high nutrient soil. After each treatment, native grass seed was added, and the vegetation, seed bank, soil nutrients and microbial activity were monitored over 2.5 years. The hot mulch, scalping and sugar treatments all achieved significantly greater cover of native grasses than the control treatments. The hot waste treatment also effectively eliminated the exotic weed seed bank, but the soil N levels increased dramatically, which is counterproductive to the long-term goals of grassland restoration. Scalping out-performed all other treatments with regard to reducing soil N and P. All treatments suffered from reinvasion by exotic species, suggesting that any grassland restoration technique needs to be coupled with ongoing exotic weed management. Abstract ii High soil phosphorus is a difficult barrier to restoration of native grassland. A possible way to address this is to use plants with high P uptake to help draw down soil P. Native grassland taxa from the genus Ptilotus have been shown to have high P-uptake. I conducted two studies of Ptilotus macrocephalus and Ptilotus polystachyus to investigate their potential in this role. The first of these was an examination of techniques to break their seed dormancy, and to find their optimum germination conditions. I tested their response to smoke water, heating shock, cold stratification and gibberellic acid. The highest germination rates (62% and 38% for P. microcephalus and P. polystachyus, respectively) were achieved when the seeds were pre-treated with GA500 and exposed to a temperature range of (20/18OC) and a 12h dark/12h light regime. Smoke water, heat shock and the removal of floral bracts also improved germination rates, but not at the same magnitude as GA. The second study of Ptilotus was a glasshouse trial that examined the effectiveness of the two taxa at reducing available soil phosphorus. This trial included a third high P-uptake species (Lupinus albus) for comparison, and also investigated if the addition of Phoslock® could bind soil P into insoluble forms. P. macrocephalus and P. polystachyus accumulated high amounts of soil P. Thus, several years of seeding and harvesting of these plants is anticipated to provide a useful option for soil P reduction. Phoslock® reduced soil available P, but only at high concentration of Phoslock 1500 g/m2 and at very high soil P concentrations; it was less effective at levels that typically expect in ex-cropping paddocks. The findings of this thesis have advanced our current knowledge of the restoration of excropland. The research has tested methods to overcome biotic and abiotic barriers to restoration of the Victorian Volcanic Plains grasslands, and has demonstrated some practical approaches to begin the treatment. It was suggested that many of the methods and techniques used in this study could be useful technique in broad areas of grassland restoration within Australia as well as in similar situations in temperate climate conditions across the globe.
- Description: Doctor of Philosophy
- Authors: Shakir, Shakir Bahaddin
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Native grasslands are one of the most endangered ecosystems in Australia. Approximately 99% of native grasslands have been disturbed for agriculture and pastoralism. Today, however, many agricultural and grazing lands have been abandoned. Restoring abandoned areas to native grassland is a challenge that must be met if these systems are to persist. This thesis sought to gain a better understanding of the biotic and abiotic barriers to restoring native grasslands in ex-cropping land, and to investigate novel techniques to overcome them in degraded native grassland in the Victorian Volcanic Plains. Firstly, I compared ex-cropland to high-quality remnant grassland, and showed that excropland supports a high number of exotic weeds, a lack of native species propagules, high nutrient levels (especially phosphorus and nitrogen), and an absence of organic carbon—all barriers which must be overcome if native grassland restoration is to succeed. I conducted a replicated field experiment in ex-cropland, to investigate four restoration approaches to overcoming barriers to restoration: (i) adding urban green waste to heat and kill the exotic seed bank (ii) adding sugar and/or mulch to promote microorganism and draw down soil nitrogen, (iii) using a modified clay product called Phoslock to reduce soil phosphorus levels, and (iv) scalping of topsoil 10 cm on ex-cropland site to remove the exotic seed bank and high nutrient soil. After each treatment, native grass seed was added, and the vegetation, seed bank, soil nutrients and microbial activity were monitored over 2.5 years. The hot mulch, scalping and sugar treatments all achieved significantly greater cover of native grasses than the control treatments. The hot waste treatment also effectively eliminated the exotic weed seed bank, but the soil N levels increased dramatically, which is counterproductive to the long-term goals of grassland restoration. Scalping out-performed all other treatments with regard to reducing soil N and P. All treatments suffered from reinvasion by exotic species, suggesting that any grassland restoration technique needs to be coupled with ongoing exotic weed management. Abstract ii High soil phosphorus is a difficult barrier to restoration of native grassland. A possible way to address this is to use plants with high P uptake to help draw down soil P. Native grassland taxa from the genus Ptilotus have been shown to have high P-uptake. I conducted two studies of Ptilotus macrocephalus and Ptilotus polystachyus to investigate their potential in this role. The first of these was an examination of techniques to break their seed dormancy, and to find their optimum germination conditions. I tested their response to smoke water, heating shock, cold stratification and gibberellic acid. The highest germination rates (62% and 38% for P. microcephalus and P. polystachyus, respectively) were achieved when the seeds were pre-treated with GA500 and exposed to a temperature range of (20/18OC) and a 12h dark/12h light regime. Smoke water, heat shock and the removal of floral bracts also improved germination rates, but not at the same magnitude as GA. The second study of Ptilotus was a glasshouse trial that examined the effectiveness of the two taxa at reducing available soil phosphorus. This trial included a third high P-uptake species (Lupinus albus) for comparison, and also investigated if the addition of Phoslock® could bind soil P into insoluble forms. P. macrocephalus and P. polystachyus accumulated high amounts of soil P. Thus, several years of seeding and harvesting of these plants is anticipated to provide a useful option for soil P reduction. Phoslock® reduced soil available P, but only at high concentration of Phoslock 1500 g/m2 and at very high soil P concentrations; it was less effective at levels that typically expect in ex-cropping paddocks. The findings of this thesis have advanced our current knowledge of the restoration of excropland. The research has tested methods to overcome biotic and abiotic barriers to restoration of the Victorian Volcanic Plains grasslands, and has demonstrated some practical approaches to begin the treatment. It was suggested that many of the methods and techniques used in this study could be useful technique in broad areas of grassland restoration within Australia as well as in similar situations in temperate climate conditions across the globe.
- Description: Doctor of Philosophy
Latrobe Valley circular industrial ecosystem
- Authors: Ghayur, Adeel
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Climate change, energy security, pollution and increasing unemployment in the face of automation are four critical challenges facing every region in the twenty-first century, including the Latrobe Valley in Victoria, Australia. The Valley – location of the largest brown coal deposits and forest industry in the southern hemisphere – is undergoing unprecedented and rapid changes. Its ageing brown coal power plants are retiring and replacements are not planned, leading to job insecurity. Solutions are needed that ensure continued economic activity in the region whilst allowing for the Valley to contribute its fair share in the fight against the climate change. The aim of this study is to investigate a possible local solution that could help tackle these issues of the Latrobe Valley in addition to plastic pollution and energy insecurity. Transitioning from linear to circular materials flow is one possible solution that favours sustainability and job security. Consequently, a multiproduct succinic acid biorefinery is modelled, acting as an industrial hub in a potential Latrobe Valley circular economy. This allows for employment creation in the value-addition of its platform chemicals into carbon negative and environment-friendly products. Additionally, such a biorefinery concept has the capacity to tackle Post-combustion CO2 Capture (PCC) industry’s wastes. It is anticipated that any future utilisation of brown coal as an energy vector would entail PCC to ensure carbon neutrality. A PCC industry produces CO2 and amine wastes that require adequate disposal. The modelled biorefinery has the capacity to valorise both. The simulation and the techno-economic analysis show the modelled Carbon Negative Biorefinery consumes 656,000 metric tonnes (t) of pulp logs and 42,000 t of CO2 to produce 220,000 t of succinic acid, 115,000 t of acetic acid and 900 t of dimethyl ether, annually. Biorefinery’s CAPEX and OPEX stand at AU$ 635,000,000 and $ 180,000,000 respectively. The calculated Minimum Selling Price for succinic acid is $ 990/t, only 6.4% higher than a typical biorefinery. Subsequently, biorefinery’s capacity as an anchor tenant is also simulated via technical evaluations of four value-added products: • Poly(butylene succinate) as biodegradable polymer replacing petro-plastics – simulation results show 1 t of succinic acid produces 0.19 t of tetrahydrofuran and 0.44 t of poly(butylene succinate); • Carbon fibre for insulation products, sporting goods and foams – 1 t of lignin and 0.8 t of acetic anhydride produce 0.8 t of carbon fibre; • Succinylated lignin adhesive for replacing urea-formaldehyde in the wood industry – simulation results show the biorefinery concept having the capacity to valorise both waste amine and CO2 from a PCC plant; and • Renewable fuels like hydrogen as energy vectors – a small biorefinery can potentially provide dozens of gigawatt hours of stored power for backup and peak demands, annually. In summary, results of this research are: • A biorefinery can valorise PCC plant wastes; • Multiproduct succinic acid biorefinery is economically viable; • Renewable fuels are ideally suited as energy storage vectors for a renewable energy grid both in developing and developed countries; • Bioproducts can reduce CO2 emissions thereby mitigate climate change; • Bioproducts can replace petro-products and reduce pollution; • Bioproducts can replace construction industry materials associated with CO2 emissions; • Biorefineries can help a region transition from a linear to a circular economy; and • Circular economies have the potential to generate secure jobs. In conclusion, this research identifies platform biochemicals as potential key drivers in a linear economy’s transition to a circular economy.
- Description: Doctor of Philosophy
- Authors: Ghayur, Adeel
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Climate change, energy security, pollution and increasing unemployment in the face of automation are four critical challenges facing every region in the twenty-first century, including the Latrobe Valley in Victoria, Australia. The Valley – location of the largest brown coal deposits and forest industry in the southern hemisphere – is undergoing unprecedented and rapid changes. Its ageing brown coal power plants are retiring and replacements are not planned, leading to job insecurity. Solutions are needed that ensure continued economic activity in the region whilst allowing for the Valley to contribute its fair share in the fight against the climate change. The aim of this study is to investigate a possible local solution that could help tackle these issues of the Latrobe Valley in addition to plastic pollution and energy insecurity. Transitioning from linear to circular materials flow is one possible solution that favours sustainability and job security. Consequently, a multiproduct succinic acid biorefinery is modelled, acting as an industrial hub in a potential Latrobe Valley circular economy. This allows for employment creation in the value-addition of its platform chemicals into carbon negative and environment-friendly products. Additionally, such a biorefinery concept has the capacity to tackle Post-combustion CO2 Capture (PCC) industry’s wastes. It is anticipated that any future utilisation of brown coal as an energy vector would entail PCC to ensure carbon neutrality. A PCC industry produces CO2 and amine wastes that require adequate disposal. The modelled biorefinery has the capacity to valorise both. The simulation and the techno-economic analysis show the modelled Carbon Negative Biorefinery consumes 656,000 metric tonnes (t) of pulp logs and 42,000 t of CO2 to produce 220,000 t of succinic acid, 115,000 t of acetic acid and 900 t of dimethyl ether, annually. Biorefinery’s CAPEX and OPEX stand at AU$ 635,000,000 and $ 180,000,000 respectively. The calculated Minimum Selling Price for succinic acid is $ 990/t, only 6.4% higher than a typical biorefinery. Subsequently, biorefinery’s capacity as an anchor tenant is also simulated via technical evaluations of four value-added products: • Poly(butylene succinate) as biodegradable polymer replacing petro-plastics – simulation results show 1 t of succinic acid produces 0.19 t of tetrahydrofuran and 0.44 t of poly(butylene succinate); • Carbon fibre for insulation products, sporting goods and foams – 1 t of lignin and 0.8 t of acetic anhydride produce 0.8 t of carbon fibre; • Succinylated lignin adhesive for replacing urea-formaldehyde in the wood industry – simulation results show the biorefinery concept having the capacity to valorise both waste amine and CO2 from a PCC plant; and • Renewable fuels like hydrogen as energy vectors – a small biorefinery can potentially provide dozens of gigawatt hours of stored power for backup and peak demands, annually. In summary, results of this research are: • A biorefinery can valorise PCC plant wastes; • Multiproduct succinic acid biorefinery is economically viable; • Renewable fuels are ideally suited as energy storage vectors for a renewable energy grid both in developing and developed countries; • Bioproducts can reduce CO2 emissions thereby mitigate climate change; • Bioproducts can replace petro-products and reduce pollution; • Bioproducts can replace construction industry materials associated with CO2 emissions; • Biorefineries can help a region transition from a linear to a circular economy; and • Circular economies have the potential to generate secure jobs. In conclusion, this research identifies platform biochemicals as potential key drivers in a linear economy’s transition to a circular economy.
- Description: Doctor of Philosophy
Making junior cricket safer for Sri Lanka : Creating opportunities for injury prevention
- Authors: Gamage, Prasanna
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: With the immense popularity of the game of cricket in Sri Lanka, school level cricket is played competitively and socially by a large number of participants. As in many other sports, musculoskeletal injuries are a common occurrence in cricket. Exposure to hot and humid environments in Sri Lankan conditions during outdoor cricket play can also pose a risk for junior cricketers. To date, there has been no attempt to examine injury or illness among Sri Lankan junior cricketers, which hinders opportunities for injury prevention. The first aim of this thesis was to examine musculoskeletal injuries with a view to identifying injury incidence and associated risks during competitions. Specific injuries among different groups of cricketers were identified including 46.0% in fielders, 25.4% in bowlers and 20.3% in batters. Injury risk perceptions of junior cricketers recognised that these injuries were common, and highlighted the role of coaches and school cricket teachers in supporting junior cricketers. The second aim of the thesis was to study the potential impact of exertional heat illnesses (EHI) during cricket play. A considerable variation in heat stress risk parameters (climate, duration, and intensity of play) were observed among cricketers during test-cricket play. Study of risk perceptions related to EHI showed the importance of understanding EHI risks such as humidity and use of helmets. The results of this PhD have been provided to Sri Lankan Cricket and school cricket authorities with recommendation to develop and implement injury preventive measures such as use of helmets during batting to minimise the high number of match-time-loss facial injuries, and educating junior cricketers in modifying their perceived risk attitudes and beliefs related to musculoskeletal and EHI risks. Overall, this PhD has met the aim of completing the first large-scale scientific contribution towards promoting safety and preventing injuries among Sri Lankan junior cricketers.
- Description: Doctor of Philosophy
- Authors: Gamage, Prasanna
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: With the immense popularity of the game of cricket in Sri Lanka, school level cricket is played competitively and socially by a large number of participants. As in many other sports, musculoskeletal injuries are a common occurrence in cricket. Exposure to hot and humid environments in Sri Lankan conditions during outdoor cricket play can also pose a risk for junior cricketers. To date, there has been no attempt to examine injury or illness among Sri Lankan junior cricketers, which hinders opportunities for injury prevention. The first aim of this thesis was to examine musculoskeletal injuries with a view to identifying injury incidence and associated risks during competitions. Specific injuries among different groups of cricketers were identified including 46.0% in fielders, 25.4% in bowlers and 20.3% in batters. Injury risk perceptions of junior cricketers recognised that these injuries were common, and highlighted the role of coaches and school cricket teachers in supporting junior cricketers. The second aim of the thesis was to study the potential impact of exertional heat illnesses (EHI) during cricket play. A considerable variation in heat stress risk parameters (climate, duration, and intensity of play) were observed among cricketers during test-cricket play. Study of risk perceptions related to EHI showed the importance of understanding EHI risks such as humidity and use of helmets. The results of this PhD have been provided to Sri Lankan Cricket and school cricket authorities with recommendation to develop and implement injury preventive measures such as use of helmets during batting to minimise the high number of match-time-loss facial injuries, and educating junior cricketers in modifying their perceived risk attitudes and beliefs related to musculoskeletal and EHI risks. Overall, this PhD has met the aim of completing the first large-scale scientific contribution towards promoting safety and preventing injuries among Sri Lankan junior cricketers.
- Description: Doctor of Philosophy
Malmsbury bluestone and quarries : Finding holes in history and heritage
- Authors: Walter, Susan
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Malmsbury bluestone was used widely from 1856 in buildings in Victoria, throughout Australia, and in New Zealand. It features in many structures listed on heritage registers, yet its presence is barely recognised. This largely results from the stone quarries, buildings and the men who laboured with it being absent from modern Australian historiography. The fame previously associated with the stone was lost when stone use for structural purposes, and the associated stone skills, declined; a situation exacerbated by poor recognition of the stone industry’s role in building our nation through heritage citations of structures. Inspired by E. P. Thompson, this thesis uses Critical Inquiry though microhistory and landscape analysis to regain the stone’s fame and rescue stoneworkers from the condescension of history. A detailed analysis of quarries, structures, the bluestone industry, and a rarely-attempted total reconstitution of the lives of 194 vital stoneworkers, reveals a valuable cultural heritage currently undervalued and at risk. Malmsbury stoneworkers came from diverse backgrounds but worked co-operatively to promote and sustain a local industry which supplied a nationally-vital building material, despite the absence of a regulatory framework to protect their lives and rights. Scientific methods document the geological properties of the stone and demonstrate how, in the absence of science, skilled stoneworkers nevertheless identified and worked a valuable resource. Modern science could however be used to test building stones in a non-destructive manner to determine the sources of currently unidentified building stones. This thesis significantly contributes to the limited discourse on the history and heritage of Australian stone use through the perspectives of cultural landscapes, labour history and built and cultural heritage. Malmsbury bluestone truly was the standard of excellence and, along with stoneworkers, warrants more extensive recognition in Australia’s Heritage registers.
- Description: Doctor of Philosophy
- Authors: Walter, Susan
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Malmsbury bluestone was used widely from 1856 in buildings in Victoria, throughout Australia, and in New Zealand. It features in many structures listed on heritage registers, yet its presence is barely recognised. This largely results from the stone quarries, buildings and the men who laboured with it being absent from modern Australian historiography. The fame previously associated with the stone was lost when stone use for structural purposes, and the associated stone skills, declined; a situation exacerbated by poor recognition of the stone industry’s role in building our nation through heritage citations of structures. Inspired by E. P. Thompson, this thesis uses Critical Inquiry though microhistory and landscape analysis to regain the stone’s fame and rescue stoneworkers from the condescension of history. A detailed analysis of quarries, structures, the bluestone industry, and a rarely-attempted total reconstitution of the lives of 194 vital stoneworkers, reveals a valuable cultural heritage currently undervalued and at risk. Malmsbury stoneworkers came from diverse backgrounds but worked co-operatively to promote and sustain a local industry which supplied a nationally-vital building material, despite the absence of a regulatory framework to protect their lives and rights. Scientific methods document the geological properties of the stone and demonstrate how, in the absence of science, skilled stoneworkers nevertheless identified and worked a valuable resource. Modern science could however be used to test building stones in a non-destructive manner to determine the sources of currently unidentified building stones. This thesis significantly contributes to the limited discourse on the history and heritage of Australian stone use through the perspectives of cultural landscapes, labour history and built and cultural heritage. Malmsbury bluestone truly was the standard of excellence and, along with stoneworkers, warrants more extensive recognition in Australia’s Heritage registers.
- Description: Doctor of Philosophy
Managed identities : How do Australian university students who stutter negotiate their studies?
- Authors: Meredith, Grant
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Previous social research focused on people who stutter has problematised and largely ignored the experiences of university students who stutter, relying heavily upon surveys of teachers and peers while almost ignoring the authentic voices of students who stutter. Using a novel bricolage approach incorporating autoethnography, this project posed the question: “How do students who stutter negotiate their university experiences in Australia?” In 2008, a unique, web-based audit of 39 Australian public universities concluded that little publicly accessible information about stuttering support services was available for prospective university students. In many ways, stuttering is absent from disability classifications and service systems in higher education. An online survey of 102 Australian university students who stutter, and follow-up individual interviews with 15 students, revealed how these students manage their social identities from enrolment through to graduation. Only a minority of students reported ever formally disclosing their functional impairment to university support services or academic staff. This meant they rejected and/or avoided the disability label and associated stigma. The students were found to exercise a high degree of individual agency and creativity throughout their university journey. Many employed ‘concessional bargaining’ techniques to effectively navigate the oral assessment requirements during their degrees. Analysis of the interview and survey data is interspersed with critical self-reflection by the author – as a university lecturer who himself stutters. This thesis makes a significant contribution to shaping our understanding of the social identities and trajectories of university students who stutter. These students have been recast as positive, purposeful, resourceful and creative agents whose actions can be largely understood from a social model of disability. A series of recommendations for supporting and teaching these students are made to key stakeholders in higher education.
- Description: Doctor of Philosophy
- Authors: Meredith, Grant
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Previous social research focused on people who stutter has problematised and largely ignored the experiences of university students who stutter, relying heavily upon surveys of teachers and peers while almost ignoring the authentic voices of students who stutter. Using a novel bricolage approach incorporating autoethnography, this project posed the question: “How do students who stutter negotiate their university experiences in Australia?” In 2008, a unique, web-based audit of 39 Australian public universities concluded that little publicly accessible information about stuttering support services was available for prospective university students. In many ways, stuttering is absent from disability classifications and service systems in higher education. An online survey of 102 Australian university students who stutter, and follow-up individual interviews with 15 students, revealed how these students manage their social identities from enrolment through to graduation. Only a minority of students reported ever formally disclosing their functional impairment to university support services or academic staff. This meant they rejected and/or avoided the disability label and associated stigma. The students were found to exercise a high degree of individual agency and creativity throughout their university journey. Many employed ‘concessional bargaining’ techniques to effectively navigate the oral assessment requirements during their degrees. Analysis of the interview and survey data is interspersed with critical self-reflection by the author – as a university lecturer who himself stutters. This thesis makes a significant contribution to shaping our understanding of the social identities and trajectories of university students who stutter. These students have been recast as positive, purposeful, resourceful and creative agents whose actions can be largely understood from a social model of disability. A series of recommendations for supporting and teaching these students are made to key stakeholders in higher education.
- Description: Doctor of Philosophy
Mine evaluation optimisation
- Authors: Grigoryev, Igor
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: The definition of a mineral resource during exploration is a fundamental part of lease evaluation, which establishes the fair market value of the entire asset being explored in the open market. Since exact prediction of grades between sampled points is not currently possible by conventional methods, an exact agreement between predicted and actual grades will nearly always contain some error. These errors affect the evaluation of resources so impacting on characterisation of risks, financial projections and decisions about whether it is necessary to carry on with the further phases or not. The knowledge about minerals below the surface, even when it is based upon extensive geophysical analysis and drilling, is often too fragmentary to indicate with assurance where to drill, how deep to drill and what can be expected. Thus, the exploration team knows only the density of the rock and the grade along the core. The purpose of this study is to improve the process of resource evaluation in the exploration stage by increasing prediction accuracy and making an alternative assessment about the spatial characteristics of gold mineralisation. There is significant industrial interest in finding alternatives which may speed up the drilling phase, identify anomalies, worthwhile targets and help in establishing fair market value. Recent developments in nonconvex optimisation and high-dimensional statistics have led to the idea that some engineering problems such as predicting gold variability at the exploration stage can be solved with the application of clusterwise linear and penalised maximum likelihood regression techniques. This thesis attempts to solve the distribution of the mineralisation in the underlying geology using clusterwise linear regression and convex Least Absolute Shrinkage and Selection Operator (LASSO) techniques. The two presented optimisation techniques compute predictive solutions within a domain using physical data provided directly from drillholes. The decision-support techniques attempt a useful compromise between the traditional and recently introduced methods in optimisation and regression analysis that are developed to improve exploration targeting and to predict the gold occurrences at previously unsampled locations.
- Description: Doctor of Philosophy
- Authors: Grigoryev, Igor
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: The definition of a mineral resource during exploration is a fundamental part of lease evaluation, which establishes the fair market value of the entire asset being explored in the open market. Since exact prediction of grades between sampled points is not currently possible by conventional methods, an exact agreement between predicted and actual grades will nearly always contain some error. These errors affect the evaluation of resources so impacting on characterisation of risks, financial projections and decisions about whether it is necessary to carry on with the further phases or not. The knowledge about minerals below the surface, even when it is based upon extensive geophysical analysis and drilling, is often too fragmentary to indicate with assurance where to drill, how deep to drill and what can be expected. Thus, the exploration team knows only the density of the rock and the grade along the core. The purpose of this study is to improve the process of resource evaluation in the exploration stage by increasing prediction accuracy and making an alternative assessment about the spatial characteristics of gold mineralisation. There is significant industrial interest in finding alternatives which may speed up the drilling phase, identify anomalies, worthwhile targets and help in establishing fair market value. Recent developments in nonconvex optimisation and high-dimensional statistics have led to the idea that some engineering problems such as predicting gold variability at the exploration stage can be solved with the application of clusterwise linear and penalised maximum likelihood regression techniques. This thesis attempts to solve the distribution of the mineralisation in the underlying geology using clusterwise linear regression and convex Least Absolute Shrinkage and Selection Operator (LASSO) techniques. The two presented optimisation techniques compute predictive solutions within a domain using physical data provided directly from drillholes. The decision-support techniques attempt a useful compromise between the traditional and recently introduced methods in optimisation and regression analysis that are developed to improve exploration targeting and to predict the gold occurrences at previously unsampled locations.
- Description: Doctor of Philosophy
Neural malware detection
- Authors: Park, Sean
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: At the heart of today’s malware problem lies theoretically infinite diversity created by metamorphism. The majority of conventional machine learning techniques tackle the problem with the assumptions that a sufficiently large number of training samples exist and that the training set is independent and identically distributed. However, the lack of semantic features combined with the models under these wrong assumptions result largely in overfitting with many false positives against real world samples, resulting in systems being left vulnerable to various adversarial attacks. A key observation is that modern malware authors write a script that automatically generates an arbitrarily large number of diverse samples that share similar characteristics in program logic, which is a very cost-effective way to evade detection with minimum effort. Given that many malware campaigns follow this paradigm of economic malware manufacturing model, the samples within a campaign are likely to share coherent semantic characteristics. This opens up a possibility of one-to-many detection. Therefore, it is crucial to capture this non-linear metamorphic pattern unique to the campaign in order to detect these seemingly diverse but identically rooted variants. To address these issues, this dissertation proposes novel deep learning models, including generative static malware outbreak detection model, generative dynamic malware detection model using spatio-temporal isomorphic dynamic features, and instruction cognitive malware detection. A comparative study on metamorphic threats is also conducted as part of the thesis. Generative adversarial autoencoder (AAE) over convolutional network with global average pooling is introduced as a fundamental deep learning framework for malware detection, which captures highly complex non-linear metamorphism through translation invariancy and local variation insensitivity. Generative Adversarial Network (GAN) used as a part of the framework enables oneshot training where semantically isomorphic malware campaigns are identified by a single malware instance sampled from the very initial outbreak. This is a major innovation because, to the best of our knowledge, no approach has been found to this challenging training objective against the malware distribution that consists of a large number of very sparse groups artificially driven by arms race between attackers and defenders. In addition, we propose a novel method that extracts instruction cognitive representation from uninterpreted raw binary executables, which can be used for oneto- many malware detection via one-shot training against frequency spectrum of the Transformer’s encoded latent representation. The method works regardless of the presence of diverse malware variations while remaining resilient to adversarial attacks that mostly use random perturbation against raw binaries. Comprehensive performance analyses including mathematical formulations and experimental evaluations are provided, with the proposed deep learning framework for malware detection exhibiting a superior performance over conventional machine learning methods. The methods proposed in this thesis are applicable to a variety of threat environments here artificially formed sparse distributions arise at the cyber battle fronts.
- Description: Doctor of Philosophy
- Authors: Park, Sean
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: At the heart of today’s malware problem lies theoretically infinite diversity created by metamorphism. The majority of conventional machine learning techniques tackle the problem with the assumptions that a sufficiently large number of training samples exist and that the training set is independent and identically distributed. However, the lack of semantic features combined with the models under these wrong assumptions result largely in overfitting with many false positives against real world samples, resulting in systems being left vulnerable to various adversarial attacks. A key observation is that modern malware authors write a script that automatically generates an arbitrarily large number of diverse samples that share similar characteristics in program logic, which is a very cost-effective way to evade detection with minimum effort. Given that many malware campaigns follow this paradigm of economic malware manufacturing model, the samples within a campaign are likely to share coherent semantic characteristics. This opens up a possibility of one-to-many detection. Therefore, it is crucial to capture this non-linear metamorphic pattern unique to the campaign in order to detect these seemingly diverse but identically rooted variants. To address these issues, this dissertation proposes novel deep learning models, including generative static malware outbreak detection model, generative dynamic malware detection model using spatio-temporal isomorphic dynamic features, and instruction cognitive malware detection. A comparative study on metamorphic threats is also conducted as part of the thesis. Generative adversarial autoencoder (AAE) over convolutional network with global average pooling is introduced as a fundamental deep learning framework for malware detection, which captures highly complex non-linear metamorphism through translation invariancy and local variation insensitivity. Generative Adversarial Network (GAN) used as a part of the framework enables oneshot training where semantically isomorphic malware campaigns are identified by a single malware instance sampled from the very initial outbreak. This is a major innovation because, to the best of our knowledge, no approach has been found to this challenging training objective against the malware distribution that consists of a large number of very sparse groups artificially driven by arms race between attackers and defenders. In addition, we propose a novel method that extracts instruction cognitive representation from uninterpreted raw binary executables, which can be used for oneto- many malware detection via one-shot training against frequency spectrum of the Transformer’s encoded latent representation. The method works regardless of the presence of diverse malware variations while remaining resilient to adversarial attacks that mostly use random perturbation against raw binaries. Comprehensive performance analyses including mathematical formulations and experimental evaluations are provided, with the proposed deep learning framework for malware detection exhibiting a superior performance over conventional machine learning methods. The methods proposed in this thesis are applicable to a variety of threat environments here artificially formed sparse distributions arise at the cyber battle fronts.
- Description: Doctor of Philosophy
New insights into wild deer population genetics, ecology and impacts : implications for management in south eastern Australia
- Authors: Davies, Christopher
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis is a compilation of my own work, driven by my interest into the ecology and impacts of introduced deer in Victoria. My interest in deer initially lead me to undertake an honours project, focussed on deer as a vector for parasites that can affect domestic livestock. During my honours year it became apparent that little was known about the ecology of wild deer throughout south east Australia. My PhD study was therefore developed to fill knowledge gaps of deer ecology, with a focus on developing and optimising ecological tools to generate data to improve deer management strategies. There are many methods available which can be used to collect ecological data on invasive species, such as deer. For my study, I chose methods from four quite discrete fields; global positioning systems (GPS) tracking, population genetics, camera trapping and spatial modelling. These methods were chosen as they are commonly used in ecological studies of invasive species. During my candidature significant attempts were made to deploy GPS collars onto sambar deer to investigate their movement patterns. Movement pattern data is extremely useful and can provide insights into habitat preferences, dispersal ability and other information useful for management. Significant time (around 12 months) was spent applying for ethics approval, gaining relevant approvals, permits and licenses to perform this work as well as performing collaring attempts. Unfortunately all attempts were unsuccessful and the investigation of sambar deer movement patterns had to be abandoned. This highlights the difficulties of working with cryptic deer species inhabiting difficult terrain. The other fields of research pursued (population genetics, camera trapping and spatial modelling) were more successful, the results of which are presented and discussed in this thesis. As the three methods employed in this study are taken from very different fields, a number of experts were enlisted to guide the respective data chapters. The population genetic studies (Chapters two and three) were guided by my primary supervisor Dr Fiona Hogan. I conducted all scat collections from across Victoria, including French Island and Mount Cole and performed all DNA isolations (over 300 in total). Population structure analysis for chapter three was undertaken with the assistance of Dr Faye Wedrowicz and Dr Carlo Pacioni. The camera trapping study (Chapter four) involved deploying camera traps in Baw Baw National Park, which I conducted myself. Occupancy and detectability data analysis for chapter four was performed with the assistance of Dr Hugh Davies. Spatial modelling (Chapter five) which focussed on modelling deer-vehicle collision risk across Victoria was directed by Dr Casey Visintin. Chapter’s two to five are written as independent scientific publications, therefore there is some unavoidable repetition within the thesis as a whole. Minor changes have been made to the formatting of the published papers to keep style consistent within the thesis.
- Description: Doctor of Philosophy
- Authors: Davies, Christopher
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: This thesis is a compilation of my own work, driven by my interest into the ecology and impacts of introduced deer in Victoria. My interest in deer initially lead me to undertake an honours project, focussed on deer as a vector for parasites that can affect domestic livestock. During my honours year it became apparent that little was known about the ecology of wild deer throughout south east Australia. My PhD study was therefore developed to fill knowledge gaps of deer ecology, with a focus on developing and optimising ecological tools to generate data to improve deer management strategies. There are many methods available which can be used to collect ecological data on invasive species, such as deer. For my study, I chose methods from four quite discrete fields; global positioning systems (GPS) tracking, population genetics, camera trapping and spatial modelling. These methods were chosen as they are commonly used in ecological studies of invasive species. During my candidature significant attempts were made to deploy GPS collars onto sambar deer to investigate their movement patterns. Movement pattern data is extremely useful and can provide insights into habitat preferences, dispersal ability and other information useful for management. Significant time (around 12 months) was spent applying for ethics approval, gaining relevant approvals, permits and licenses to perform this work as well as performing collaring attempts. Unfortunately all attempts were unsuccessful and the investigation of sambar deer movement patterns had to be abandoned. This highlights the difficulties of working with cryptic deer species inhabiting difficult terrain. The other fields of research pursued (population genetics, camera trapping and spatial modelling) were more successful, the results of which are presented and discussed in this thesis. As the three methods employed in this study are taken from very different fields, a number of experts were enlisted to guide the respective data chapters. The population genetic studies (Chapters two and three) were guided by my primary supervisor Dr Fiona Hogan. I conducted all scat collections from across Victoria, including French Island and Mount Cole and performed all DNA isolations (over 300 in total). Population structure analysis for chapter three was undertaken with the assistance of Dr Faye Wedrowicz and Dr Carlo Pacioni. The camera trapping study (Chapter four) involved deploying camera traps in Baw Baw National Park, which I conducted myself. Occupancy and detectability data analysis for chapter four was performed with the assistance of Dr Hugh Davies. Spatial modelling (Chapter five) which focussed on modelling deer-vehicle collision risk across Victoria was directed by Dr Casey Visintin. Chapter’s two to five are written as independent scientific publications, therefore there is some unavoidable repetition within the thesis as a whole. Minor changes have been made to the formatting of the published papers to keep style consistent within the thesis.
- Description: Doctor of Philosophy
Re(dis)covering the creative power of eros : finding liberation from neoliberalism through the feminist awakening of aphrodite-demeter consciousness
- Authors: Clements. Eileen
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: There is a problem with western patriarchal capitalist narratives of love and connected models of subjectivity which some feminisms, in particular, neoliberal (post)feminism, continue rather than criticise. This is a problem, not only because these feminisms uphold existing patriarchal structures and values, but because models of patriarchal subjectivity are founded on a repression and devaluation of love that contributes to what I am naming a ‘crisis of love’ in neoliberal societies. While some solutions to this problem have been offered, including by feminist love studies scholars, none of the solutions address the whole issue – for example, feminisms that ignore issues of spirituality and the female subject’s relationship to the divine, and the impact of myth on the psyche. Until these aspects are included in a rethinking of both female subjectivity and narratives of love, the problem will not be solved. There are many kinds of love but Eros in particular, which is such a charged narrative in western patriarchal capitalist society, is the kind of love that most urgently needs to be rethought and re(dis)covered. Through examination of the major founding myth of female subjectivity for western patriarchy – the Madonna/whore binary – a pathway to addressing this problem of love becomes possible. Rethinking this binary according to reinterpretations of the myths of Aphrodite and Demeter offers a rethinking of Eros as a creative, life-affirming power. This renewed narrative of Eros creates new models of female subjectivity – and the potentiality for new models of ethics – that challenge the contemporary neoliberal paradigm.
- Description: Doctor of Philosophy
- Authors: Clements. Eileen
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: There is a problem with western patriarchal capitalist narratives of love and connected models of subjectivity which some feminisms, in particular, neoliberal (post)feminism, continue rather than criticise. This is a problem, not only because these feminisms uphold existing patriarchal structures and values, but because models of patriarchal subjectivity are founded on a repression and devaluation of love that contributes to what I am naming a ‘crisis of love’ in neoliberal societies. While some solutions to this problem have been offered, including by feminist love studies scholars, none of the solutions address the whole issue – for example, feminisms that ignore issues of spirituality and the female subject’s relationship to the divine, and the impact of myth on the psyche. Until these aspects are included in a rethinking of both female subjectivity and narratives of love, the problem will not be solved. There are many kinds of love but Eros in particular, which is such a charged narrative in western patriarchal capitalist society, is the kind of love that most urgently needs to be rethought and re(dis)covered. Through examination of the major founding myth of female subjectivity for western patriarchy – the Madonna/whore binary – a pathway to addressing this problem of love becomes possible. Rethinking this binary according to reinterpretations of the myths of Aphrodite and Demeter offers a rethinking of Eros as a creative, life-affirming power. This renewed narrative of Eros creates new models of female subjectivity – and the potentiality for new models of ethics – that challenge the contemporary neoliberal paradigm.
- Description: Doctor of Philosophy
Reciprocal peer tutoring in an Australian undergraduate clinical skills setting : A mixed methods study
- Authors: Gazula, Swapnali
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Background Incorporation of active learning approaches in the preparation of nursing students for future educational roles is an imperative. Reciprocal peer tutoring (RPT) is an active teaching/learning approach, in which individuals from similar academic levels rotate teaching/learning roles. This study aimed to explore the outcomes of RPT on undergraduate nursing students learning. Design/Methods A sequential explanatory mixed methods design, incorporating pre-post intervention surveys and focus groups with a convenience sample of 102 final-year students, from a cohort of 132 (RR = 77.3%), from a regional Australian university campus. Prior to attendance, online resources were provided on teaching fundamentals and two selected clinical skills, namely tracheostomy suctioning and intravenous cannulation. Attending participants were randomly allocated into pairs, rotating teaching and learning roles within clinical skills laboratories. Pre-post intervention survey tools examined knowledge and self-reported attitudes to a peer teaching and clinical teaching preferences (Clinical Teaching Preference Questionnaire). Post-intervention measures included a peer teaching experience (Peer Teaching Experience Questionnaire). Focus group interviews (n = 4) were conducted with 22 participants, to further understand students’ RPT experiences. Results There was positive improvement in attitudes to peer teaching (M = 49.2, SD = 10.0 to M = 52.3, SD = 8.2, p < 0.05, [95% CI = 0.7 to 5.4]). Knowledge scores also increased significantly (M = 6.9, SD = 2.0 to M = 9.7, SD = 1.9), p < 0.05 [95% CI = 2.3 to 3.2]. Aggregate mean knowledge scores increased more for peer teachers (M = 3.3) than they did for peer learners (M = 2.2). Thematic outcomes from focus groups indicated challenging yet beneficial journeys, collective learning outcomes, along with benefits of RPT including enhanced teaching, self-confidence, communication, and independent and collaborative learning. Conclusion This study concludes that RPT is effective in clinical skills teaching and sets a foundation for further research.
- Description: Doctor of Philosophy
- Authors: Gazula, Swapnali
- Date: 2019
- Type: Text , Thesis , PhD
- Full Text:
- Description: Background Incorporation of active learning approaches in the preparation of nursing students for future educational roles is an imperative. Reciprocal peer tutoring (RPT) is an active teaching/learning approach, in which individuals from similar academic levels rotate teaching/learning roles. This study aimed to explore the outcomes of RPT on undergraduate nursing students learning. Design/Methods A sequential explanatory mixed methods design, incorporating pre-post intervention surveys and focus groups with a convenience sample of 102 final-year students, from a cohort of 132 (RR = 77.3%), from a regional Australian university campus. Prior to attendance, online resources were provided on teaching fundamentals and two selected clinical skills, namely tracheostomy suctioning and intravenous cannulation. Attending participants were randomly allocated into pairs, rotating teaching and learning roles within clinical skills laboratories. Pre-post intervention survey tools examined knowledge and self-reported attitudes to a peer teaching and clinical teaching preferences (Clinical Teaching Preference Questionnaire). Post-intervention measures included a peer teaching experience (Peer Teaching Experience Questionnaire). Focus group interviews (n = 4) were conducted with 22 participants, to further understand students’ RPT experiences. Results There was positive improvement in attitudes to peer teaching (M = 49.2, SD = 10.0 to M = 52.3, SD = 8.2, p < 0.05, [95% CI = 0.7 to 5.4]). Knowledge scores also increased significantly (M = 6.9, SD = 2.0 to M = 9.7, SD = 1.9), p < 0.05 [95% CI = 2.3 to 3.2]. Aggregate mean knowledge scores increased more for peer teachers (M = 3.3) than they did for peer learners (M = 2.2). Thematic outcomes from focus groups indicated challenging yet beneficial journeys, collective learning outcomes, along with benefits of RPT including enhanced teaching, self-confidence, communication, and independent and collaborative learning. Conclusion This study concludes that RPT is effective in clinical skills teaching and sets a foundation for further research.
- Description: Doctor of Philosophy