12 research outputs found

    Les représentations de la pluriethnicité québécoise dans le Mouvement Desjardins: analyse du contenu de la Revue Desjardins de 1998 à 2005

    Get PDF
    Le Mouvement Desjardins, institution phare du QuĂ©bec moderne caractĂ©risĂ© par un nationalisme civique et une intĂ©gration accrue des immigrants Ă  la majoritĂ© francophone, demeure encore aujourd'hui, fortement identifiĂ© Ă  ce mĂȘme groupe. Ce mĂ©moire a pour objet les reprĂ©sentations sociales de la pluriethnicitĂ© quĂ©bĂ©coise chez Desjardins. Une analyse du contenu de la Revue Desjardins de 1998 Ă  2005 permet de saisir le discours ainsi qu'un point de rupture spatio-temporel Ă©tabli Ă  l'annĂ©e 2003, annĂ©e oĂč l'espace du discours s'Ă©largit pour y inclure l'ouest de l'Ăźle de MontrĂ©al majoritairement anglophone. D'abord axĂ©e sur l'intĂ©gration au Mouvement et Ă  la sociĂ©tĂ© quĂ©bĂ©coise dans le souci d'une plus grande reprĂ©sentativitĂ© de la population, l'institution passe Ă  une orientation davantage pluraliste favorisant son adaptation Ă  des marchĂ©s potentiellement lucratifs. Les catĂ©gories linguistiques «anglophone» et «allophone» sont alors davantage utilisĂ©es pour aborder l'enjeu pluriethnique banalisant ainsi la spĂ©cificitĂ© des groupes ethniques qui les composent. Alors que la premiĂšre pĂ©riode est surtout caractĂ©risĂ©e par des perceptions et des orientations gĂ©nĂ©rales, l'ouverture en 2003 d'un centre de service destinĂ© Ă  la clientĂšle allophone et anglophone de l'ouest de l'Ăźle constitue l'aboutissement d'un processus de reprĂ©sentation sociale ayant pour fonction l'orientation des pratiques. L'ensemble du discours est nuancĂ© par des obstacles Ă  l'adaptation Ă  la pluriethnicitĂ© ainsi que des lacunes internes Ă  l'institution. La concept d'ethnicitĂ© est peu utilisĂ© et souvent abordĂ© sous le terme «communautĂ© culturelle» qui peut englober des communautĂ©s de nature autre qu'ethnique et qui rĂ©duit l'ethnicitĂ© Ă  sa seule dimension culturelle. Il omet Ă©galement de considĂ©rer les membres d'un groupe ethnique qui ne s'identifient pas Ă  la communautĂ©. En conclusion, l'Ă©tude permet de confirmer l'existence d'un discours sur la pluriethnicitĂ© quĂ©bĂ©coise maintenant bien ancrĂ© chez Desjardins et davantage orientĂ© vers l'adaptation de l'institution en offrant des services en anglais et dans d'autres langues.The Desjardins Group is an influential institution in modern QuĂ©bec characterized by civic nationalism and sustained integration of immigrants into the French-speaking majority. Even today, Desjardins continues to identify strongly with this French-speaking majority. The purpose of this thesis is to explore the social precepts of multi-ethnicity in QuĂ©bec at Desjardins. An analysis of the contents of the “Revue Desjardins” magazine from 1998 to 2005 allowed the author to understand the Desjardins position and determine a spatiotemporal rupture point in 2003, the year in which Desjardins’ position expanded to include the mostly English-speaking population of western Montreal Island. At the outset, Desjardins focused on integration into the Group and Quebec society, with an underling concern for greater institutional representation among the population. Thereafter, Desjardins adopted a more all-inclusive approach favouring adaptation to potentially lucrative markets. The linguistic categories of “Anglophone” and “allophone” were first used to tone down the specificity of ethnic groups involved. While the initial period was characterized primarily by perceptions and general policy, the inauguration in 2003 of a service centre for the allophone and Anglophone clientele of western Montreal Island was the culmination of a process of social sensitivity to establish policy guidelines. The entire approach was nuanced with obstacles to adaptation to multi-ethnicity, as well as internal institutional shortcomings. The concept of ethnicity was used sparingly, often blanketed by the term “cultural community.” This term embraces communities other than ethnic groups and reduces ethnicity to the simple expression of cultural dimension. The term also avoids pinpointing members of an ethnic group who do not identify with the community. In conclusion, the study confirmed the existence of a position on multi-ethnicity in QuĂ©bec now solidly anchored within Desjardins and more clearly directed at the institution’s adjustment to offering services in English and other languages

    Évaluation des impacts Ă©nergĂ©tiques et environnementaux de diffĂ©rents modes d'agriculture urbaine en environnement contrĂŽlĂ©

    Get PDF
    La densification des villes, l’augmentation de la demande de production agricole, l’accessibilitĂ© alimentaire, la participation citoyenne, la promotion de l’économie locale, la rĂ©duction du transport ou la rĂ©duction de l’empreinte environnementale sont d’autant de raisons qui expliquent l’intĂ©rĂȘt grimpant pour l’agriculture urbaine. Dans un climat quĂ©bĂ©cois, les productions soutenues sur toute l’annĂ©e doivent se faire dans des espaces contrĂŽlĂ©s. Plusieurs types d’espaces d’agriculture contrĂŽlĂ©e peuvent s’intĂ©grer en ville : serres traditionnelles, serres sur toit ou encore des espaces d’agriculture intĂ©grĂ©e au bĂątiment (eAIB) comme des cultures hydroponiques empilĂ©es verticalement. Toutefois, les impacts potentiels de ces types de production peuvent ĂȘtre trĂšs diffĂ©rents et sont actuellement peu connus. Également, peu de donnĂ©es sont disponibles pour l’analyse de ces types de production. Dans une optique de rĂ©duction de l’empreinte environnementale de la production agricole, il importe de quantifier les impacts potentiels de ces nouveaux types de production. L’objectif principal de ce mĂ©moire est de quantifier les impacts environnementaux potentiels de diffĂ©rents types de production agricole en environnement contrĂŽlĂ© pouvant s’intĂ©grer en ville dans un contexte Ă©nergĂ©tique quĂ©bĂ©cois. Pour ce faire, quatre scĂ©narios sont comparĂ©s en utilisant la mĂ©thode d’analyse environnementale du cycle de vie (ACV) : (1) une serre traditionnelle sur sol, (2) une serre sur toit, (3) un eAIB avec Ă©clairage naturel et artificiel, (4) un eAIB avec Ă©clairage artificiel uniquement, qui sont soit chauffĂ©es au gaz dans le cas des serres ou climatisĂ©s avec des systĂšmes Ă©lectriques pour les eAIB. Comme il existe trĂšs peu de donnĂ©es disponibles sur les consommations Ă©nergĂ©tiques de tels scĂ©narios, des modĂšles Ă©nergĂ©tiques sont montĂ©s pour chaque scĂ©nario Ă  l’aide d’outils de simulation de la performance de bĂątiment (SPB). Une calibration d’un premier modĂšle (serre sur sol) est Ă©galement effectuĂ©e afin de renforcer la confiance dans les estimations des gains thermiques des plantes et des consommations Ă©nergĂ©tiques associĂ©es au maintien des conditions de culture (tempĂ©rature et humiditĂ©). Le modĂšle calibrĂ© a permis d’évaluer certaines mesures de conservation de l’énergie. Parmi les mesures analysĂ©es, les Ă©conomies d’énergie varient entre 5% et 30% et la mesure avec la pĂ©riode de retour sur investissement la plus rapide est l’isolation du mur nord (entre 9 et 16 ans Ă  3,36 $/GJ). En ce qui a trait aux rĂ©sultats de l’ACV, ils tendent Ă  dĂ©montrer qu’aucun scĂ©nario ne performe mieux dans toutes les catĂ©gories d’impacts environnementaux. Les scĂ©narios de la serre sur toit et de l’eAIB avec Ă©clairage naturel obtiennent de meilleurs scores de façon gĂ©nĂ©rale pour l’ensemble des catĂ©gories. Le score du rĂ©chauffement climatique potentiel varie entre 0.62 et 2.79 kg CO2 eq. L’analyse de sensibilitĂ© effectuĂ©e tend Ă  dĂ©montrer que les types d’éclairage et le transport n’affectent pas les tendances gĂ©nĂ©rales des rĂ©sultats, mais que les sources d’énergie de chauffage peuvent grandement influencer les rĂ©sultats. Au QuĂ©bec, la prioritĂ© devrait ĂȘtre donnĂ©e Ă  l’utilisation d’énergies renouvelables (maximisation de l’éclairage naturel, utilisation d’électricitĂ© pour le chauffage, etc.) pour rĂ©duire l’empreinte environnementale de la production agricole

    Suppression of the intrinsic apoptosis pathway by sinaptic activity

    Get PDF
    Synaptic activity promotes resistance to diverse apoptotic insults, the mechanism behind which is incompletely understood. We show here that a coordinated downregulation of core components of the intrinsic apoptosis pathway by neuronal activity forms a key part of the underlying mechanism. Activity-dependent protection against apoptotic insults is associated with inhibition of cytochrome c release in most but not all neurons, indicative of anti-apoptotic signaling both upstream and downstream of this step. We find that enhanced firing activity suppresses expression of the proapoptotic BH3-only member gene Puma in a NMDA receptor-dependent, p53-independent manner. Puma expression is sufficient to induce cytochrome c loss and neuronal apoptosis. Puma deficiency protects neurons against apoptosis and also occludes the protective effect of synaptic activity, while blockade of physiological NMDA receptor activity in the developing mouse brain induces neuronal apoptosis that is preceded by upregulation of Puma. However, enhanced activity can also confer resistance to Puma-induced apoptosis, acting downstream of cytochrome c release. This mechanism is mediated by transcriptional suppression of apoptosome components Apaf-1 and procaspase-9, and limiting caspase-9 activity, since overexpression of procaspase-9 accelerates the rate of apoptosis in active neurons back to control levels. Synaptic activity does not exert further significant anti-apoptotic effects downstream of caspase-9 activation, since an inducible form of caspase-9 overrides the protective effect of synaptic activity, despite activity-induced transcriptional suppression of caspase-3. Thus, suppression of apoptotic gene expression may synergize with other activity-dependent events such as enhancement of antioxidant defenses to promote neuronal survival

    Synaptic NMDA receptor activity boosts intrinsic antioxidant defenses

    Get PDF
    Intrinsic antioxidant defenses are important for neuronal longevity. We found that in rat neurons, synaptic activity, acting via NMDA receptor (NMDAR) signaling, boosted antioxidant defenses by making changes to the thioredoxin-peroxiredoxin (Prx) system. Synaptic activity enhanced thioredoxin activity, facilitated the reduction of overoxidized Prxs and promoted resistance to oxidative stress. Resistance was mediated by coordinated transcriptional changes; synaptic NMDAR activity inactivated a previously unknown Forkhead box O target gene, the thioredoxin inhibitor Txnip. Conversely, NMDAR blockade upregulated Txnip in vivo and in vitro, where it bound thioredoxin and promoted vulnerability to oxidative damage. Synaptic activity also upregulated the Prx reactivating genes Sesn2 (sestrin 2) and Srxn1 (sulfiredoxin), via C/EBPÎČ and AP-1, respectively. Mimicking these expression changes was sufficient to strengthen antioxidant defenses. Trans-synaptic stimulation of synaptic NMDARs was crucial for boosting antioxidant defenses; chronic bath activation of all (synaptic and extrasynaptic) NMDARs induced no antioxidative effects. Thus, synaptic NMDAR activity may influence the progression of pathological processes associated with oxidative damage

    Neuronal Activity Controls the Antagonistic Balance Between Peroxisome Proliferator-Activated Receptor-γ Coactivator-1α and Silencing Mediator of Retinoic Acid and Thyroid Hormone Receptors in Regulating Antioxidant Defenses

    Get PDF
    Transcriptional coactivators and corepressors often have multiple targets and can have opposing actions on transcription and downstream physiological events. The coactivator peroxisome proliferator-activated receptor-Îł coactivator (PGC)-1α is under-expressed in Huntington's disease and is a regulator of antioxidant defenses and mitochondrial biogenesis. We show that in primary cortical neurons, expression of PGC-1α strongly promotes resistance to excitotoxic and oxidative stress in a cell autonomous manner, whereas knockdown increases sensitivity. In contrast, the transcriptional corepressor silencing mediator of retinoic acid and thyroid hormone receptors (SMRT) specifically antagonizes PGC-1α-mediated antioxidant effects. The antagonistic balance between PGC-1α and SMRT is upset in favor of PGC-1α by synaptic activity. Synaptic activity triggers nuclear export of SMRT reliant on multiple regions of the protein. Concommitantly, synaptic activity post-translationally enhances the transactivating potential of PGC-1α in a p38-dependent manner, as well as upregulating cyclic-AMP response element binding protein-dependent PGC-1α transcription. Activity-dependent targeting of PGC-1α results in enhanced gene expression mediated by the thyroid hormone receptor, a prototypical transcription factor coactivated by PGC-1α and repressed by SMRT. As a consequence of these events, SMRT is unable to antagonize PGC-1α-mediated resistance to oxidative stress in synaptically active neurons. Thus, PGC-1α and SMRT are antagonistic regulators of neuronal vulnerability to oxidative stress. Further, this coactivator–corepressor antagonism is regulated by the activity status of the cell, with implications for neuronal viability. Antioxid. Redox Signal. 14, 1425–1436

    Neuronal activity controls the antagonistic between PGC-1α and SMRT in regulating antioxidant defences

    No full text
    Transcriptional coactivators and corepressors often have multiple targets and can have opposing actions on transcription and downstream physiological events. The coactivator peroxisome proliferator-activated receptor-γ coactivator (PGC)-1α is under-expressed in Huntington's disease and is a regulator of antioxidant defenses and mitochondrial biogenesis. We show that in primary cortical neurons, expression of PGC-1α strongly promotes resistance to excitotoxic and oxidative stress in a cell autonomous manner, whereas knockdown increases sensitivity. In contrast, the transcriptional corepressor silencing mediator of retinoic acid and thyroid hormone receptors (SMRT) specifically antagonizes PGC-1α-mediated antioxidant effects. The antagonistic balance between PGC-1α and SMRT is upset in favor of PGC-1α by synaptic activity. Synaptic activity triggers nuclear export of SMRT reliant on multiple regions of the protein. Concommitantly, synaptic activity post-translationally enhances the transactivating potential of PGC-1α in a p38-dependent manner, as well as upregulating cyclic-AMP response element binding protein-dependent PGC-1α transcription. Activity-dependent targeting of PGC-1α results in enhanced gene expression mediated by the thyroid hormone receptor, a prototypical transcription factor coactivated by PGC-1α and repressed by SMRT. As a consequence of these events, SMRT is unable to antagonize PGC-1α-mediated resistance to oxidative stress in synaptically active neurons. Thus, PGC-1α and SMRT are antagonistic regulators of neuronal vulnerability to oxidative stress. Further, this coactivatorcorepressor antagonism is regulated by the activity status of the cell, with implications for neuronal viability

    Suppression of the intrinsic apoptosis pathway by sinaptic activity

    No full text
    Synaptic activity promotes resistance to diverse apoptotic insults, the mechanism behind which is incompletely understood. We show here that a coordinated downregulation of core components of the intrinsic apoptosis pathway by neuronal activity forms a key part of the underlying mechanism. Activity-dependent protection against apoptotic insults is associated with inhibition of cytochrome c release in most but not all neurons, indicative of anti-apoptotic signaling both upstream and downstream of this step. We find that enhanced firing activity suppresses expression of the proapoptotic BH3-only member gene Puma in a NMDA receptor-dependent, p53-independent manner. Puma expression is sufficient to induce cytochrome c loss and neuronal apoptosis. Puma deficiency protects neurons against apoptosis and also occludes the protective effect of synaptic activity, while blockade of physiological NMDA receptor activity in the developing mouse brain induces neuronal apoptosis that is preceded by upregulation of Puma. However, enhanced activity can also confer resistance to Puma-induced apoptosis, acting downstream of cytochrome c release. This mechanism is mediated by transcriptional suppression of apoptosome components Apaf-1 and procaspase-9, and limiting caspase-9 activity, since overexpression of procaspase-9 accelerates the rate of apoptosis in active neurons back to control levels. Synaptic activity does not exert further significant anti-apoptotic effects downstream of caspase-9 activation, since an inducible form of caspase-9 overrides the protective effect of synaptic activity, despite activity-induced transcriptional suppression of caspase-3. Thus, suppression of apoptotic gene expression may synergize with other activity-dependent events such as enhancement of antioxidant defenses to promote neuronal survival

    Multiple dating approach (14C, 230Th/U and 36Cl) of tsunami-transported reef-top boulders on Bonaire (Leeward Antilles) – Current achievements and challenges

    Full text link
    Dating the transport/deposition time of supratidal coarse-clast deposits is difficult, limiting their value for inferring frequency-magnitude patterns of high-energy wave events. On Bonaire (Leeward Antilles, Caribbean), these deposits form prominent landforms, and transport by one or several Holocene tsunamis is assumed at least for the largest clasts. Although a large dataset of 14C and electron spin resonance (ESR) ages is available for major coral rubble ridges and ramparts, it is still debated whether these data reflect the timing of major events, and how these datasets are biased by the reworking of coral fragments. As an attempt to overcome the current challenges for dating the dislocation of singular boulders, three distinct dating methods are implemented and compared: (i) 14C dating of boring bivalves attached to the boulders; (ii) 230Th/U dating of post-depositional, secondary calcite flowstone and subaerial microbialites at the underside of the boulders; and (iii) surface exposure dating of overturned boulders via 36Cl concentration measurements in corals. Approaches (ii) and (iii) have never been applied to coastal boulder deposits so far. The three 14C age estimates are older than 40 ka, i.e. most probably beyond the applicability of the method, which is attributed to post-depositional diagenetic processes, shedding doubt on the usefulness of this method in the local context. The remarkably convergent 230Th/U ages, all pointing to the Late Holocene period (1.0–1.6 ka), are minimum ages for the transport event(s). The microbialite sample yields an age of 1.23 ± 0.23 ka and both flowstone samples are in stratigraphic order: the older (onset of carbonate precipitation) and younger flowstone layers yield ages of 1.59 ± 0.03 and 1.23 ± 0.03 ka, respectively. Four coral samples collected from the topside of overturned boulders yielded similar 36Cl concentration measurements. However, the computed ages are affected by large uncertainties, mostly due to the high natural chlorine concentration. After correction for the inherited component and chemical denudation since platform emergence (inducing additional uncertainty), the calculated 36Cl ages cluster between 2.5 ± 1.3 and 3.0 ± 1.4 ka for three of four boulders whilst the fourth one yields an age of 6.1 ± 1.8 ka, probably related to a higher inheritance. These 230Th/U and 36Cl age estimates are coherent with a suggested tsunami age of < 3.3 ka obtained from the investigation of allochthonous shell horizons in sediment cores of northwestern Bonaire. Whilst 230Th/U dating of post-depositional calcite flowstone appears to be the most robust and/or accurate approach, these results illustrate the potential and current limitations of the applied methods for dating the dislocation of supralittoral boulders in carbonate-reef settings
    corecore