5,435 research outputs found
Psychosocial mediators of change in physical activity in the Welsh national exercise referral scheme: secondary analysis of a randomised controlled trial
Objective:
While an increasing number of randomised controlled trials report impacts of exercise referral schemes (ERS) on physical activity, few have investigated the mechanisms through which increases in physical activity are produced. This study examines whether a National Exercise Referral Scheme (NERS) in Wales is associated with improvements in autonomous motivation, self-efficacy and social support, and whether change in physical activity is mediated by change in these psychosocial processes.<p></p>
Methods:
A pragmatic randomised controlled trial of NERS across 12 LHBs in Wales. Questionnaires measured demographic data and physical activity at baseline. Participants (N = 2160) with depression, anxiety or CHD risk factors were referred by health professionals and randomly assigned to control or intervention. At six months psychological process measures were collected by questionnaire. At 12 months physical activity was assessed by 7 Day PAR telephone interview. Regressions tested intervention effects on psychosocial variables, physical activity before and after adjusting for mediators and socio demographic patterning.<p></p>
Results:
Significant intervention effects were found for autonomous motivation and social support for exercise at 6 months. No intervention effect was observed for self-efficacy. The data are consistent with a hypothesis of partial mediation of the intervention effect by autonomous motivation. Analysis of moderators showed significant improvements in relative autonomy in all subgroups. The greatest improvements in autonomous motivation were observed among patients who were least active at baseline.<p></p>
Discussion:
The present study offered key insights into psychosocial processes of change in an exercise referral scheme, with effects on physical activity mediated by autonomous motivation. Findings support the use of self-determination theory as a framework for ERS. Further research is required to explain socio-demographic patterning in responses to ERS, with changes in motivation occurring among all sub-groups of participants, though not always leading to higher adherence or behavioural change. This highlights the importance of socio-ecological approaches to developing and evaluating behaviour change interventions, which consider factors beyond the individual, including conditions in which improved motivation does or does not produce behavioural change
Is contextualised admission the answer to the access challenge?
This is the final version of the article. Available from Taylor & Francis (Routledge) via the DOI in this record.This article reviews the idea of contextualising applicants to higher education in order to widen access. First, the meaning of contextualised admissions (CAs) is discussed before laying out the rationale for contextualising applicants and the beneficiaries of the policy. The final sections discuss key critiques of CA and conclude by arguing that CA does go some way to addressing the access challenge. To fully realise its potential as a policy intervention though, it is most helpfully part of integrated support for students throughout university and is mindful of the role of universities in wider society to create more equal progression trajectories for young people from a range of backgrounds.This work was supported by Supporting Professionalism in Admissions
A four year longitudinal sero-epidemiological study of bovine herpesvirus type-1 (BHV-1) in adult cattle in 107 unvaccinated herds in south west England
Background: Bovine herpesvirus type-1 (BHV-1) is an important pathogen of cattle that presents with a
variety of clinical signs, including the upper respiratory tract infection infectious bovine rhinotracheitis
(IBR). A seroepidemiological study of BHV-1 antibodies was conducted in England from 2002 – 2004: 29,782 blood samples were taken from 15,736 cattle from 114 herds which were visited on up to three occasions. Antibody concentration was measured using a commercial ELISA. Farm management
information was collected using an interview questionnaire, and herd size and cattle movements were obtained from the cattle tuberculosis testing database and the British Cattle Movement Service. Hierarchical statistical models were used to investigate associations between cattle and herd variables and the continuous outcome percentage positive (PP) values from the ELISA test in unvaccinated herds.
Results: There were 7 vaccinated herds, all with at least one seropositive bovine. In unvaccinated herds 83.2% had at least one BHV-1 seropositive bovine, and the mean cattle and herd BHV-1 seroprevalence were 42.5% and 43.1% respectively. There were positive associations between PP value, age, herd size, presence of dairy cattle. Adult cattle in herds with grower cattle had lower PP values than those in herds without grower cattle. Purchased cattle had significantly lower PP values than homebred cattle, whereas
cattle in herds that were totally restocked after the foot-and-mouth epidemic in 2001 had significantly higher PP values than those in continuously stocked herds. Samples taken in spring and summer had significantly lower PP values than those taken in winter, whereas those taken in autumn had significantly higher PP values than those taken in winter. The risks estimated from a logistic regression model with a binary outcome (seropositive yes/no) were similar.
Conclusion: The prevalence of BHV-1 seropositivity in cattle and herds has increased since the 1970s.
Although the study population prevalence of BHV-1 was temporally stable during study period, the
associations between serological status and cattle age, herd size, herd type, presence of young stock and
restocked versus continuously stocked herds indicate that there is heterogeneity between herds and so
potential for further spread of BHV-1 within and between herds
A four year longitudinal sero-epidemiology study of Neospora caninum in adult cattle from 114 cattle herds in south west England : associations with age, herd and dam-offspring pairs
Background: Neosporosis caused by the protozoan parasite Neospora caninum, is an economically
important cause of abortion, stillbirth, low milk yield, reduced weight gain and premature culling in
cattle. Consequently, a seroepidemiological study of N. caninum antibodies was conducted in
England with 29,782 samples of blood taken from 15,736 cattle from 114 herds visited on three
occasions at yearly intervals. Herds were categorised into lower (< 10%) and higher (≥ 10%)
median herd seroprevalence. Hierarchical models were run to investigate associations between the
sample to positive (S/P) ratio and herd and cattle factors.
Results: Ninety-four percent of herds had at least one seropositive cow; 12.9% of adult cattle had
at least one seropositive test. Approximately 90% of herds were seropositive at all visits; 9 herds
(8%) changed serological status between visits. The median N. caninum seroprevalence in positive
herds was 10% (range 0.4% to 58.8%). There was a positive association between the serostatus of
offspring and dams that were ever seropositive. In the hierarchical model of low seroprevalence
herds there was no significant association between S/P ratio and cattle age. There was a significantly
lower S/P ratio in cattle in herds that were totally restocked after the foot-and-mouth epidemic of
2001 compared with those from continuously stocked herds and cattle purchased into these herds
had a higher S/P ratio than homebred cattle. In the model of high seroprevalence herds the S/P ratio
increased with cattle age, but was not associated with restocking or cattle origin.
Conclusion: There were no strong temporal changes in herd seroprevalence of N. caninum but
90% of herds had some seropositive cattle over this time period. Vertical transmission from
seropositive dams appeared to occur in all herds. In herds with a high seroprevalence the increasing
S/P ratio in 2–4 year old cattle is suggestive of exposure to N. caninum: horizontal transmission
between adult cattle, infection from a local source or recrudescence and abortions. Between-herd
movements of infected cattle enhance the spread of N. caninum, particularly into low
seroprevalence herds. Some restocked herds had little exposure to N. caninum, while in others
infection had spread in the time since restocking
An exploratory randomised controlled trial of a premises-level intervention to reduce alcohol-related harm including violence in the United Kingdom
<b>Background</b><p></p>
To assess the feasibility of a randomised controlled trial of a licensed premises intervention to reduce severe intoxication and disorder; to establish effect sizes and identify appropriate approaches to the development and maintenance of a rigorous research design and intervention implementation.<p></p>
<b>Methods</b><p></p>
An exploratory two-armed parallel randomised controlled trial with a nested process evaluation. An audit of risk factors and a tailored action plan for high risk premises, with three month follow up audit and feedback. Thirty-two premises that had experienced at least one assault in the year prior to the intervention were recruited, match paired and randomly allocated to control or intervention group. Police violence data and data from a street survey of study premises’ customers, including measures of breath alcohol concentration and surveyor rated customer intoxication, were used to assess effect sizes for a future definitive trial. A nested process evaluation explored implementation barriers and the fidelity of the intervention with key stakeholders and senior staff in intervention premises using semi-structured interviews.<p></p>
<b>Results</b><p></p>
The process evaluation indicated implementation barriers and low fidelity, with a reluctance to implement the intervention and to submit to a formal risk audit. Power calculations suggest the intervention effect on violence and subjective intoxication would be raised to significance with a study size of 517 premises.<p></p>
<b>Conclusions</b><p></p>
It is methodologically feasible to conduct randomised controlled trials where licensed premises are the unit of allocation. However, lack of enthusiasm in senior premises staff indicates the need for intervention enforcement, rather than voluntary agreements, and on-going strategies to promote sustainability
Human Research Ethics Committee Experiences and Views About Children's Participation in Research: Results From the MESSI Study.
As part of a larger study, Australian Human Research Ethics Committee (HREC) members and managers were surveyed about their decision-making and views about social research studies with child participants. Responses of 229 HREC members and 42 HREC managers are reported. While most HREC members had received ethical training, HREC training and guidelines specific to research involving children were rare. Most applications involving children had to go through a full ethical review, but few adverse events were reported to HRECs regarding the conduct of the studies. Revisions to study proposals requested by HRECs were mostly related to consent processes and age-appropriate language. One-third of HREC members said that they would approve research on any topic. Most were also concerned that the methodology was appropriate, and the risks and benefits were clearly articulated. Specific training and guidance are needed to increase HREC members' confidence to judge ethical research with children
Blue cone monochromacy: causative mutations and associated phenotypes.
PurposeTo perform a phenotypic assessment of members of three British families with blue cone monochromatism (BCM), and to determine the underlying molecular genetic basis of disease.MethodsAffected members of three British families with BCM were examined clinically and underwent detailed electrophysiological and psychophysical testing. Blood samples were taken for DNA extraction. Molecular analysis involved the amplification of the coding regions of the long (L) and medium (M) wave cone opsin genes and the upstream locus control region (LCR) by polymerase chain reaction (PCR). Gene products were directly sequenced and analyzed.ResultsIn all three families, genetic analysis identified that the underlying cause of BCM involved an unequal crossover within the opsin gene array, with an inactivating mutation. Family 1 had a single 5'-L-M-3' hybrid gene, with an inactivating Cys203Arg (C203R) mutation. Family 3 had an array composed of a C203R inactivated 5'-L-M-3' hybrid gene followed by a second inactive gene. Families 1 and 3 had typical clinical, electrophysiological, and psychophysical findings consistent with stationary BCM. A novel mutation was detected in Family 2 that had a single hybrid gene lacking exon 2. This family presented clinical and psychophysical evidence of a slowly progressive phenotype.ConclusionsTwo of the BCM-causing family genotypes identified in this study comprised different hybrid genes, each of which contained the commonly described C203R inactivating mutation. The genotype in the family with evidence of a slowly progressive phenotype represents a novel BCM mutation. The deleted exon 2 in this family is not predicted to result in a shift in the reading frame, therefore we hypothesize that an abnormal opsin protein product may accumulate and lead to cone cell loss over time. This is the first report of slow progression associated with this class of mutation in the L or M opsin genes in BCM
Post-caesarean section surgical site infections : A retrospective audit and case note review at an Ethiopian referral hospital
Acknowledgements We thank the administrative and clinical staff of the maternity department at FHRH, Ethiopia, for their contributions to data collection and allowing the audit to take place. Funding sources A. Rose received funding from several sources to complete this audit while an undergraduate medical student (The Hospital Saturday Fund, The British Medical and Dental Students’ Trust, The European Wound Management Association, The Highland Council Ross & Cromarty Educational Trust and The Royal College of Physicians and Surgeons of Glasgow).Peer reviewedPublisher PD
Empirical Models for Dark Matter Halos. III. The Kormendy relation and the log(rho_e)-log(R_e) relation
We have recently shown that the 3-parameter density-profile model from
Prugniel & Simien provides a better fit to simulated, galaxy- and
cluster-sized, dark matter halos than an NFW-like model with arbitrary inner
profile slope gamma (Paper I). By construction, the parameters of the
Prugniel-Simien model equate to those of the Sersic R^{1/n} function fitted to
the projected distribution. Using the Prugniel-Simien model, we are therefore
able to show that the location of simulated (10^{12} M_sun) galaxy-sized dark
matter halos in the _e-log(R_e) diagram coincides with that of brightest
cluster galaxies, i.e., the dark matter halos appear consistent with the
Kormendy relation defined by luminous elliptical galaxies. These objects are
also seen to define the new, and equally strong, relation log(rho_e) = 0.5 -
2.5log(R_e), in which rho_e is the internal density at r=R_e. Simulated
(10^{14.5} M_sun) cluster-sized dark matter halos and the gas component of real
galaxy clusters follow the relation log(rho_e) = 2.5[1 - log(R_e)]. Given the
shapes of the various density profiles, we are able to conclude that while
dwarf elliptical galaxies and galaxy clusters can have dark matter halos with
effective radii of comparable size to the effective radii of their baryonic
component, luminous elliptical galaxies can not. For increasingly large
elliptical galaxies, with increasingly large profile shapes `n', to be dark
matter dominated at large radii requires dark matter halos with increasingly
large effective radii compared to the effective radii of their stellar
component.Comment: AJ, in press. (Paper I can be found at astro-ph/0509417
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