96 research outputs found
Bridging the gap between religion and business: A conversation
This article explores some of the tensions that congregational pastors experience in terms of business and religion. It is a dialogue regarding the perceived gap between pastors and business professionals.
“Bridging the gap between religion and business: A conversation by Michael Cafferky and Douglas Jacobs published in the December 2016 issue of Ministry,® International Journal for Pastors, www.MinistryMagazine.org. Used by permission
Initial exploratory investigations of some simple candidate management procedures for southern Bluefin tuna.
Simple constant
proportion and target based empirical candidate management procedures are applied to the
basic grid operating model and a low recruitment robustness test for SBT . The first two approaches , DMM1 and
DMM2 , respectively use CPUE index data only, while DMM3 ad ds gene tagging data to the DMM2 approach.
The key results are that the DMM2 target based approach substantially outperforms the constant proportion
DMM1 one in terms of smoothness of the TAC trajectories, and that (at least as far as investigations have b een
possible to date) the addition of gene tagging data offers little improvement to depletion statistics in instances
where low recruitment has occurred . Performance under DMM2 is unusually good, but this approach still needs
to be subjected to the other robustness tests, and further attempts need to be made to seek more improvement
in performance when gene tagging data are used
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Heat Island Mitigation Assessment and Policy Development for the Kansas City Region
Lawrence Berkeley National Laboratory partnered with Mid-America Regional Council (MARC) to quantify the costs and benefits from the adoption of urban heat island (UHI) countermeasures in the Kansas City region (population 1.5 million), and identify the best regional implementation pathway for MARC. The team selected cool (high-albedo) roofs and increased vegetation as the two countermeasures to evaluate. For vegetation, there were two strategies: (1) planting new trees to shade building surfaces, and (2) increasing urban irrigation (a surrogate for the use of vegetation to manage stormwater) to increase evapotranspiration. Using the Weather Research and Forecasting (WRF) model we simulated selected weeks during summer time, across five years (2011 2015) representing a range of normal summer conditions. We also simulated six of the most intense heatwaves that occurred between 2004 and 2016. We found under typical summer conditions (non-heatwave) average daytime (07:00 19:00 local standard time) regional near-ground air temperature reductions of 0.08 and 0.28 C for cool roofs and urban irrigation, respectively. We calculated the building electricity, electricity cost, and emission savings that result from the reduction in outdoor air temperature (indirect savings) and found maximum regional annual indirect electricity savings of 42.8 GWh for cool roofs and 85.6 GWh for urban irrigationyielding maximum regional annual indirect electricity cost savings of 0.05/m2 roof) and 0.01/m2 irrigated land), respectively, and maximum regional annual CO2 savings of 43.4 kt and 80 kt, respectively.We next evaluated the building energy, energy cost, and emission savings from reducing direct absorbed radiation on the building surfaces using cool roofs and shade trees (direct savings). For cool roofs, we found regional annual direct energy cost savings of 0.15/m2 roof) with regional annual CO2 savings of 66.4 kt. For shade trees, the regional annual direct energy cost savings were 21/tree) with regional annual CO2 savings of 126 kt. We investigated cool roof cost premiums (the additional cost for selecting a cool roof product in lieu of a conventional roof product, estimated to be zero to 100 per tree). The regional cool roof cost premium was calculated using the regional roof area per roofing material type and the range of cool roof product premiums for each material type. The extra cost of selecting cool roofs across the region ranged from 87.1M, while the additional shade trees planted across the region were assumed to cost $102M. When we compared the regional annual direct cost savings to the regional cool-roof cost premium and the regional shade-tree first cost, we found regional simple payback times up to 8.0 years for cool roofs and 4.9 years for trees, respectively.Since this comprehensive assessment of UHI countermeasures is a valuable methodology for other local governments to apply, we developed a step-by-step guide for others to follow. Based on the benefits and costs of the UHI countermeasures, MARC will pursue the inclusion of these countermeasures in existing regional plans where they can complement other regional priorities for transportation, climate resiliency, clean air, and hazard mitigation. They hosted a local workshop in 2016 for stakeholders to introduce the topic and will continue to share these resources to further appropriate adoption of UHI countermeasures
2013 Proceedings: The Next Generation
Will it be Adventist?https://knowledge.e.southern.edu/reysymp/1001/thumbnail.jp
Toward optimal implementation of cancer prevention and control programs in public health: A study protocol on mis-implementation
Abstract Background Much of the cancer burden in the USA is preventable, through application of existing knowledge. State-level funders and public health practitioners are in ideal positions to affect programs and policies related to cancer control. Mis-implementation refers to ending effective programs and policies prematurely or continuing ineffective ones. Greater attention to mis-implementation should lead to use of effective interventions and more efficient expenditure of resources, which in the long term, will lead to more positive cancer outcomes. Methods This is a three-phase study that takes a comprehensive approach, leading to the elucidation of tactics for addressing mis-implementation. Phase 1: We assess the extent to which mis-implementation is occurring among state cancer control programs in public health. This initial phase will involve a survey of 800 practitioners representing all states. The programs represented will span the full continuum of cancer control, from primary prevention to survivorship. Phase 2: Using data from phase 1 to identify organizations in which mis-implementation is particularly high or low, the team will conduct eight comparative case studies to get a richer understanding of mis-implementation and to understand contextual differences. These case studies will highlight lessons learned about mis-implementation and identify hypothesized drivers. Phase 3: Agent-based modeling will be used to identify dynamic interactions between individual capacity, organizational capacity, use of evidence, funding, and external factors driving mis-implementation. The team will then translate and disseminate findings from phases 1 to 3 to practitioners and practice-related stakeholders to support the reduction of mis-implementation. Discussion This study is innovative and significant because it will (1) be the first to refine and further develop reliable and valid measures of mis-implementation of public health programs; (2) bring together a strong, transdisciplinary team with significant expertise in practice-based research; (3) use agent-based modeling to address cancer control implementation; and (4) use a participatory, evidence-based, stakeholder-driven approach that will identify key leverage points for addressing mis-implementation among state public health programs. This research is expected to provide replicable computational simulation models that can identify leverage points and public health system dynamics to reduce mis-implementation in cancer control and may be of interest to other health areas
Beyond literacy and numeracy in patient provider communication: Focus groups suggest roles for empowerment, provider attitude and language
<p>Abstract</p> <p>Background</p> <p>Although the number of people living in the United States with limited English proficiency (LEP) is substantial, the impact of language on patients' experience of provider-patient communication has been little explored.</p> <p>Methods</p> <p>We conducted a series of 12 exploratory focus groups in English, Spanish and Cantonese to elicit discussion about patient-provider communication, particularly with respect to the concerns of the health literacy framework, i.e. ability to accurately understand, interpret and apply information given by providers. Within each language, 2 groups had high education and 2 had low education participants to partially account for literacy levels, which cannot be assessed consistently across three languages. Eighty-five (85) adults enrolled in the focus groups. The resulting video tapes were transcribed, translated and analyzed via content analysis.</p> <p>Results</p> <p>We identified 5 themes: 1) language discordant communication; 2) language concordant communication; 3) empowerment; 4) providers' attitudes; 5) issues with the health care system. Despite efforts by facilitators to elicit responses related to cognitive understanding, issues of interpersonal process were more salient, and respondents did not readily separate issues of accurate understanding from their overall narratives of experience with health care and illness. Thematic codes often appeared to be associated with education level, language and/or culture.</p> <p>Conclusion</p> <p>Our most salient finding was that for most of our participants there was no clear demarcation between literacy and numeracy, language interpretation, health communication, interpersonal relations with their provider and the rest of their experience with the health care system.</p
Randomized controlled trial of molnupiravir SARS-CoV-2 viral and antibody response in at-risk adult outpatients
Viral clearance, antibody response and the mutagenic effect of molnupiravir has not been elucidated in at-risk populations. Non-hospitalised participants within 5 days of SARS-CoV-2 symptoms randomised to receive molnupiravir (n = 253) or Usual Care (n = 324) were recruited to study viral and antibody dynamics and the effect of molnupiravir on viral whole genome sequence from 1437 viral genomes. Molnupiravir accelerates viral load decline, but virus is detectable by Day 5 in most cases. At Day 14 (9 days post-treatment), molnupiravir is associated with significantly higher viral persistence and significantly lower anti-SARS-CoV-2 spike antibody titres compared to Usual Care. Serial sequencing reveals increased mutagenesis with molnupiravir treatment. Persistence of detectable viral RNA at Day 14 in the molnupiravir group is associated with higher transition mutations following treatment cessation. Viral viability at Day 14 is similar in both groups with post-molnupiravir treated samples cultured up to 9 days post cessation of treatment. The current 5-day molnupiravir course is too short. Longer courses should be tested to reduce the risk of potentially transmissible molnupiravir-mutated variants being generated. Trial registration: ISRCTN3044803
SEASTAR: a mission to study ocean submesoscale dynamics and small-scale atmosphere-ocean processes in coastal, shelf and polar seas
High-resolution satellite images of ocean color and sea surface temperature reveal an abundance of ocean fronts, vortices and filaments at scales below 10 km but measurements of ocean surface dynamics at these scales are rare. There is increasing recognition of the role played by small scale ocean processes in ocean-atmosphere coupling, upper-ocean mixing and ocean vertical transports, with advanced numerical models and in situ observations highlighting fundamental changes in dynamics when scales reach 1 km. Numerous scientific publications highlight the global impact of small oceanic scales on marine ecosystems, operational forecasts and long-term climate projections through strong ageostrophic circulations, large vertical ocean velocities and mixed layer re-stratification. Small-scale processes particularly dominate in coastal, shelf and polar seas where they mediate important exchanges between land, ocean, atmosphere and the cryosphere, e.g., freshwater, pollutants. As numerical models continue to evolve toward finer spatial resolution and increasingly complex coupled atmosphere-wave-ice-ocean systems, modern observing capability lags behind, unable to deliver the high-resolution synoptic measurements of total currents, wind vectors and waves needed to advance understanding, develop better parameterizations and improve model validations, forecasts and projections. SEASTAR is a satellite mission concept that proposes to directly address this critical observational gap with synoptic two-dimensional imaging of total ocean surface current vectors and wind vectors at 1 km resolution and coincident directional wave spectra. Based on major recent advances in squinted along-track Synthetic Aperture Radar interferometry, SEASTAR is an innovative, mature concept with unique demonstrated capabilities, seeking to proceed toward spaceborne implementation within Europe and beyond
Evidence for a Grooming Claw in a North American Adapiform Primate: Implications for Anthropoid Origins
Among fossil primates, the Eocene adapiforms have been suggested as the closest relatives of living anthropoids (monkeys, apes, and humans). Central to this argument is the form of the second pedal digit. Extant strepsirrhines and tarsiers possess a grooming claw on this digit, while most anthropoids have a nail. While controversial, the possible presence of a nail in certain European adapiforms has been considered evidence for anthropoid affinities. Skeletons preserved well enough to test this idea have been lacking for North American adapiforms. Here, we document and quantitatively analyze, for the first time, a dentally associated skeleton of Notharctus tenebrosus from the early Eocene of Wyoming that preserves the complete bones of digit II in semi-articulation. Utilizing twelve shape variables, we compare the distal phalanges of Notharctus tenebrosus to those of extant primates that bear nails (n = 21), tegulae (n = 4), and grooming claws (n = 10), and those of non-primates that bear claws (n = 7). Quantitative analyses demonstrate that Notharctus tenebrosus possessed a grooming claw with a surprisingly well-developed apical tuft on its second pedal digit. The presence of a wide apical tuft on the pedal digit II of Notharctus tenebrosus may reflect intermediate morphology between a typical grooming claw and a nail, which is consistent with the recent hypothesis that loss of a grooming claw occurred in a clade containing adapiforms (e.g. Darwinius masillae) and anthropoids. However, a cladistic analysis including newly documented morphologies and thorough representation of characters acknowledged to have states constituting strepsirrhine, haplorhine, and anthropoid synapomorphies groups Notharctus tenebrosus and Darwinius masillae with extant strepsirrhines rather than haplorhines suggesting that the form of pedal digit II reflects substantial homoplasy during the course of early primate evolution
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