273 research outputs found

    Identifying profiles of youth characteristics, trajectories of development, and retention factors in a Positive Youth Development program

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    2017 Summer.Includes bibliographical references.Positive Youth Development (PYD) programs are an increasingly common form of intervention for youth of all backgrounds. In particular, PYD programs that take youth "off the streets" while not in school, termed out-of-school time (OST) programs, are of special interest to practitioners and researchers alike due to the diversity of programming available and the ecological contexts they provide. In addition, most youth engage in some form of risky behavior over the course of development, or are exposed to risk factors out of their control. However, PYD programs as a whole have provided little evidence of having meaningful impacts on the youth they serve, and they continually struggle to serve youth from disadvantaged backgrounds or who engage in risky behaviors. These shortcomings potentially result from selection bias that manifests through high attrition rates, which are influenced by many factors, such as a lack of programs to choose from or disinterest in program content. Even when attrition is partially accounted for, evaluating program impacts is difficult, as the processes and outcomes that define PYD remain relatively unclear, including their relation to risk factors. Therefore, in order for PYD programs, and specifically those categorized as OST, to take the next step in increasing and demonstrating the impacts of their programs, additional collaboration and research in a real world context is needed. This dissertation will use data from a PYD program, SOS University, to address two primary research questions. The first study will address the question of, are there specific factors that are associated with youth attrition from PYD programs? This research is timely as prevention scientists have struggled to provide guidance to practitioners on how to minimize attrition rates, a commonly cited impediment to translating scholarly research into real world application. The second study seeks to answer the question, can youth be distinguished into profiles of development characterized by the patterns of responses to PYD indicators? To answer this question, the second study will analyze differences in youth development profiles as they participated in an outdoor leadership program over the course of three years. This study is important in that it has the potential to highlight the positive development that can occur in the context of experiencing or engaging in risk behaviors. The dissertation is organized as follows. Chapter I provides an overview of the existing literature on theory related to PYD and the evidence base for PYD and OST programs. Chapters II and III are studies I and II cited above, respectively. Chapters II and II follow the typical format of an academic manuscript. That is, each chapter will include a more refined literature review that provides an in-depth view of research related to the study at hand, a description of the current study, methods, data analysis approaches and results, and then a discussion. Finally, Chapter IV will be a general discussion of the overall results and how they relate to one another. Additionally, Chapter IV will review overarching strengths and weaknesses of the dissertation, and finally highlight implications that may surface as a result of the studies, including a discourse on future steps that can be taken to increase collaboration between the scientific and applied communities

    Impact of Sugar Substitutes on Glucose Control in Diabetic Patients

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    Objective: To evaluate the impact of nonnutritive sugar substitutes on glycemic control in patients with diabetes. Data Sources: A comprehensive review of the literature was conducted in PubMed (1966-March 2012) and Scopus. A combination of MeSH terms and keywords were used, including acesulfame, aspartame, diabetes, neotame, rebiana, saccharin, stevia, and sucralose. Study Selection and Data Extraction: Clinical studies evaluating the impact of nonnutritive sweeteners on measures of diabetic control, including, but not limited to, blood glucose levels, postprandial blood glucose, and hemoglobin A1c were selected for review. Searches were limited to only nonnutritive sweeteners available in the US. Data Synthesis: Nine clinical trials that evaluated nonnutritive sweeteners in a total of 490 patients with diabetes were found. Doses of sweeteners in the studies varied from below acceptable daily intake levels for 3 consecutive days to daily dosing for up to 18 weeks and up to 3.5 times the acceptable daily intake levels. No significant differences in overall effects on glycemic control and insulin response were found. Conclusions: Nonnutritive sweeteners do not appear to affect glycemic control in patients with diabetes. Patients should be counseled to maintain an appropriate energy balance in their diet, with or without the use of nonnutritive sweeteners

    Oral drug delivery strategies for development of poorly water soluble drugs in paediatric patient population

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    Selecting the appropriate formulation and solubility-enabling technology for poorly water soluble drugs is an essential element in the development of formulations for paediatric patients. Different methodologies and structured strategies are available to select a suitable approach and guide formulation scientists for development of adult formulations. However, there is paucity of available literature for selection of technology and overcoming the challenges in paediatric formulation development. The need for flexible dosing, and the limited knowledge of the safety of many formulation excipients in paediatric subjects, impose significant constraints and in some instances require adaptation of the approaches taken to formulating these drugs for the adult population. Selection of the best drug delivery system for paediatrics requires an efficient, systematic approach that considers a drug's physical and chemical properties and the targeted patient population's requirements. This review is a step towards development of a strategy for the design of solubility enhancing paediatric formulations of highly insoluble drugs. The aim of this review is to provide an overview of different approaches and strategies to consider in order to assist development of paediatric formulation for poorly water-soluble drugs with the provision of examples of some marketed products. In addition, it provides recommendations to overcome the range of challenges posed by these strategies and adaptations of the adult approach/product presentation required to enable paediatric drug development and administration

    Oxygen supply capacity breathes new life into critical oxygen partial pressure (Pcrit)

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    Author Posting. © Company of Biologists, 2021. This article is posted here by permission of Company of Biologists for personal use, not for redistribution. The definitive version was published in Journal of Experimental Biology 224(8), (2021): jeb242210, https://doi.org/10.1242/jeb.242210.The critical oxygen partial pressure (Pcrit), typically defined as the PO2 below which an animal's metabolic rate (MR) is unsustainable, is widely interpreted as a measure of hypoxia tolerance. Here, Pcrit is defined as the PO2 at which physiological oxygen supply (α0) reaches its maximum capacity (α; µmol O2 g−1 h−1 kPa−1). α is a species- and temperature-specific constant describing the oxygen dependency of the maximum metabolic rate (MMR=PO2×α) or, equivalently, the MR dependence of Pcrit (Pcrit=MR/α). We describe the α-method, in which the MR is monitored as oxygen declines and, for each measurement period, is divided by the corresponding PO2 to provide the concurrent oxygen supply (α0=MR/PO2). The highest α0 value (or, more conservatively, the mean of the three highest values) is designated as α. The same value of α is reached at Pcrit for any MR regardless of previous or subsequent metabolic activity. The MR need not be constant (regulated), standardized or exhibit a clear breakpoint at Pcrit for accurate determination of α. The α-method has several advantages over Pcrit determination and non-linear analyses, including: (1) less ambiguity and greater accuracy, (2) fewer constraints in respirometry methodology and analysis, and (3) greater predictive power and ecological and physiological insight. Across the species evaluated here, α values are correlated with MR, but not Pcrit. Rather than an index of hypoxia tolerance, Pcrit is a reflection of α, which evolves to support maximum energy demands and aerobic scope at the prevailing temperature and oxygen level.This project was supported by National Oceanic and Atmospheric Administration grants NA18NOS4780167 and NA17OAR4310081 and National Science Foundation grant OCE-1459243 to B.A.S., the Jack and Katharine Ann Lake Fellowship to A.A., the Anne and Werner Von Rosenstiel Fellowship and Garrels Memorial Endowed Fellowship to A.W.T., the Hogarth Fellowship to C.J.W., the Southern Kingfish Association Fellowship to A.L.B., and a National Science Foundation postdoctoral fellowship (DBI-1907197) to M.A.B.2022-04-3

    Analysis of the structure and chemical properties of some commercial carbon nanostructures

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    For many years the scientific community has believed in a promising future for carbon nanotubes for various applications in such diverse fields as polymer reinforcement, adsorption, catalysis, electronics and medicine. Industrial production of carbon nanotubes and -fibers and the subsequent availability and decrease of price, have rendered this vision feasible. In the last years, several carbon nanomaterial products have been marketed by major chemical companies. In this work, we present an extensive characterization of a representative set of commercially available carbon nanomaterials. Special focus has been put on their quality, i.e. presence of metal or carbonaceous impurities but also homogeneity and structural integrity. The observations are of importance for subsequent use in catalysis where the presence of impurities or defects in the nanostructure can dramatically modify the activity of the catalytic material

    Urban agriculture as a keystone contribution towards securing sustainable and healthy development for cities in the future

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    esearch and practice during the last 20 years has shown that urban agriculture can contribute to minimising the effects of climate change by, at the same time, improving quality of life in urban areas. In order to do so most effectively, land use and spatial planning are crucial so as to obtain and maintain a supportive green infrastructure and to secure citizens' healthy living conditions. As people today trend more towards living in green and sustainable city centres that can offer fresh and locally produced food, cities become again places for growing food. The scope of urban agriculture thereby is to establish food production sites within the city's sphere; for example, through building-integrated agriculture including concepts such as aquaponics, indoor agriculture, vertical farming, rooftop production, edible walls, as well as through urban farms, edible landscapes, school gardens and community gardens. Embedded in changing urban food systems, the contribution of urban agriculture to creating sustainable and climate-friendly cities is pivotal as it has the capacity to integrate other resource streams such as water, waste and energy. This article describes some of the current aspects of the circular city debate where urban agriculture is pushing forward the development of material and resource cycling in cities.European Cooperation in Science and Technology (COST): CA17133; EU Horizon 2020 Programmeinfo:eu-repo/semantics/publishedVersio
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