143 research outputs found

    The tertiary debate: A case study analysis of factors considered when applying for university entry by traditional age school leavers in Brisbane

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    Many interacting factors contribute to a student's choice of a university. This study takes a systems perspective of the choice and develops a Bayesian Network to represent and quantify these factors and their interactions. The systems model is illustrated through a small study of traditional school leavers in Australia, and highlights similarities and differences between universities' perceptions of student choices, students' perceptions of factors that they should consider and how students really make choices. The study shows the range of information that can be gained from this approach, including identification of important factors and scenario assessment

    Protocol for a systematic review: community-oriented policing's impact on interpersonal violent crime in developing countries

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    BACKGROUND FOR THE REVIEW\ud \ud Violence is a global public health problem with complex causes at the individual, family, community and societal levels (World Health Organization [WHO], 2002a). Violence can be divided into three broad categories according to the perpetrator of the violent act: interpersonal violence; self-directed violence; and collective violence (WHO, 2002b). This review will focus specifically on the category of interpersonal violence. Worldwide, the direct impact of interpersonal violence is estimated at 1400 deaths per day (WHO, 2002b) and the economic cost is estimated to be between 95billionand95 billion and 163 billion per year (Geneva Declaration Secretariat, cited in Willman & Makisaka, 2010). For victims, mortality, physical and psychological damage, disability, and social problems are immediate and long-lasting outcomes of violence (WHO, 2002a)..

    Reverse taxonomy for elucidating diversity of insect-associated nematodes: a case study with termites

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    BACKGROUND: The molecular operational taxonomic unit(MOTU)has recently been applied to microbial and microscopic animal biodiversity surveys. However, in many cases, some of the MOTUs cannot be definitively tied to any of the taxonomic groups in current databases. To surmount these limitations, the concept of "reverse taxonomy" has been proposed, i.e. to primarily list the MOTUs with morphological information, and then identify and/or describe them at genus/species level using subsamples or by re-isolating the target organisms. Nevertheless, the application of "reverse taxonomy" has not been sufficiently evaluated. Therefore, the practical applicability of "reverse taxonomy" is tested using termite-associated nematodes as a model system for phoretic/parasitic organisms which have high habitat specificity and a potential handle (their termite host species) for re-isolation attempts. METHODOLOGY: Forty-eight species (from 298 colonies) of termites collected from the American tropics and subtropics were examined for their nematode associates using the reverse taxonomy method and culturing attempts (morphological identification and further sequencing efforts). The survey yielded 51 sequence types (= MOTUs) belonging to 19 tentatively identified genera. Within these, four were identified based on molecular data with preliminary morphological observation, and an additional seven were identified or characterized from successful culturing, leaving eight genera unidentified. CONCLUSIONS: That 1/3 of the genera were not successfully identified suggests deficiencies in the depth of available sequences in the database and biological characters, i.e. usually isolated as phoretic/parasitic stages which are not available for morphological identification, and too many undiscovered lineages of nematodes. Although there still is the issue of culturability of nematodes, culturing attempts could help to make reverse taxonomy methods more effective. However, expansion of the database, i.e., production of more DNA barcodes tied to biological information by finding and characterizing additional new and known lineages, is necessary for analyzing functional diversity.Natsumi Kanzaki, Robin M. Giblin-Davis, Rudolf H. Scheffrahn, Hisatomo Taki, Alejandro Esquivel, Kerrie A. Davies and E. Allen Herr

    Equity trade-offs in conservation decision making

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    Conservation decisions increasingly involve multiple environmental and social objectives, which result in complex decision contexts with high potential for trade-offs. Improving social equity is one such objective that is often considered an enabler of successful outcomes and a virtuous ideal in itself. Despite its idealized importance in conservation policy, social equity is often highly simplified or ill-defined and is applied uncritically. What constitutes equitable outcomes and processes is highly normative and subject to ethical deliberation. Different ethical frameworks may lead to different conceptions of equity through alternative perspectives of what is good or right. This can lead to different and potentially conflicting equity objectives in practice. We promote a more transparent, nuanced, and pluralistic conceptualization of equity in conservation decision making that particularly recognizes where multidimensional equity objectives may conflict. To help identify and mitigate ethical conflicts and avoid cases of good intentions producing bad outcomes, we encourage a more analytical incorporation of equity into conservation decision making particularly during mechanistic integration of equity objectives. We recommend that in conservation planning motivations and objectives for equity be made explicit within the problem context, methods used to incorporate equity objectives be applied with respect to stated objectives, and, should objectives dictate, evaluation of equity outcomes and adaptation of strategies be employed during policy implementation

    \u3ci\u3eFicotylus laselvae\u3c/i\u3e n. sp. (Tylenchomorpha: Anguinidae) associated with \u3ci\u3eFicus colubrinae\u3c/i\u3e in Costa Rica

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    Ficotylus laselvae n. sp. was recovered from under the bracts of figs (syconia) of Ficus colubrinae from La Selva, Costa Rica, during a survey of nematode rainforest biodiversity and is described herein. This is only the second report of an association between the nematode suborder Tylenchina and the sycones of figs. Previous reports of most nematode associates of the sycones of figs have been from the lumen and involved transmission by female fig wasp pollinators (Agaonidae) during pollination/oviposition (e.g., Schistonchus and Parasitodiplogaster spp.). The association between F. laselvae n. sp. and Ficus colubrinae may involve an invertebrate host, but none was recovered from dissections of the bracts during this study. It is also possible that this is a rainforest understory nematode that feeds ectoparasitically in protected areas on the aerial parts of F. colubrinae. Molecular analysis using near-full-length sequences of the small subunit (SSU) rRNA and D2-D3 expansion segments of the large subunit (LSU) rRNA genes of Ficotylus laselvae n. sp. suggests that it is a member of the suborder Tylenchina (infraorder: Tylenchomorpha; family: Anguinidae) and that the closest sequenced species is F. congestae from the lumen of sycones of Ficus congesta from Queensland, Australia. Although both nematode species are associated with figs, they are morphologically divergent, suggesting that the different micro-niches that they fill provide different selective pressures for evolution of differing morphological characters or they represent different life history morphotypes of a dicyclic genus

    Prospectus, November 4, 1991

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    https://spark.parkland.edu/prospectus_1991/1016/thumbnail.jp

    Oil palm–community conflict mapping in Indonesia: a case for better community liaison in planning for development initiatives

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    Conflict between large-scale oil-palm producers and local communities is widespread in palm-oil producer nations. With a potential doubling of oil-palm cultivation in Indonesia in the next ten years it is likely that conflicts between the palm-oil industry and communities will increase. We develop and apply a novel method for understanding spatial patterns of oil-palm related conflicts. We use a unique set of conflict data derived through systematic searches of online data sources and local newspaper reports describing recent oil-palm land-use related conflicts for Indonesian Borneo, and combine these data with 43 spatial environmental and social variables using boosted regression tree modelling. Reports identified 187 villages had reported conflict with oil-palm companies. Spatial patterns varied with different types of conflict. Forest-dependent communities were more likely to strongly oppose oil-palm establishment because of their negative perception of oil-palm development on the environment and their own livelihoods. Conflicts regarding land boundary disputes, illegal operations by companies, perceived lack of consultation, compensation and broken promises by companies were more associated with communities that have lower reliance on forests for livelihoods, or are located in regions that have undergone or are undergoing forest transformation to oil-palm or industrial-tree-plantations. A better understanding of the characteristics of communities and areas where different types of conflicts have occurred is a fundamental step in generating hypotheses about why certain types of conflict occur in certain locations. Insights from such research can help inform land use policy, planning and management to achieve more sustainable and equitable development. Our results can also assist certification bodies (e.g. the Roundtable for Sustainable Palm Oil-RSPO, and the Indonesian and Malaysian versions, ISPO and MSPO), non-government-organisations, government agencies and other stakeholders to more effectively target mediation efforts to reduce the potential for conflict arising in the future

    Diversity of Clostridium difficile PCR ribotypes in Europe: results from the European, multicentre, prospective, biannual, point-prevalence study of Clostridium difficile infection in hospitalised patients with diarrhoea (EUCLID), 2012 and 2013

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    Clostridium difficile infection (CDI) is the major cause of infective diarrhoea in healthcare environments. As part of the EUCLID study, the largest C. difficile epidemiological study of its type, PCR-ribotype distribution of C. difficile isolates in Europe was investigated. PCR-ribotyping was performed on 1196 C. difficile isolates from diarrhoeal samples sent to the European co-ordinating laboratory in 2012–13 by 482 participating hospitals from 19 European countries. A total of 125 ribotypes were identified, of which ribotypes 027 (18.6%), 001/072 (11.2%) and 014 (7.0%) were the most prevalent. Distinct regional patterns of ribotype distribution were noted in Northern, Western, Southern and Eastern Europe. Of 596 isolates from patients with toxin-positive stools (confirmed CDI), ribotype 027 accounted for 27.8% of infections in patients aged 2–<65 years, but the prevalence decreased in those aged ≥65 years (14.3%) and further decreased in those aged ≥81 years (9.2%). The prevalence of ribotype 027 (but not other epidemic strains) was inversely proportional to overall ribotype diversity (R2=0.717). The EUCLID study highlights an increased diversity of C. difficile ribotypes across Europe compared with previous studies, with considerable inter-country variation in ribotype distribution. Continuous surveillance programmes are necessary to monitor the changing epidemiology of C. difficil
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